Search Results

Search found 93631 results on 3746 pages for 'chaotic one'.

Page 672/3746 | < Previous Page | 668 669 670 671 672 673 674 675 676 677 678 679  | Next Page >

  • When to use reinterpret_cast?

    - by HeretoLearn
    I am little confused with the applicability of reinterpret_cast vs static_cast. From what I have read the general rules are to use static cast when the types can be interpreted at compile time hence the word static. This is the cast the C++ compiler uses internally for implicit casts also. reinterpret_cast are applicable in two scenarios, convert integer types to pointer types and vice versa or to convert one pointer type to another. The general idea I get is this is unportable and should be avoided. Where I am a little confused is one usage which I need, I am calling C++ from C and the C code needs to hold on to the C++ object so basically it holds a void*. What cast should be used to convert between the void * and the Class type? I have seen usage of both static_cast and reinterpret_cast? Though from what I have been reading it appears static is better as the cast can happen at compile time? Though it says to use reinterpret_cast to convert from one pointer type to another?

    Read the article

  • Will TFS 2010 support non-contiguous merging?

    - by steve_d
    I know that merging non-contiguous changesets at once may not be a good idea. However there is at least one situation in which merging non-contiguous changesets is (probably) not going to break anything: when there are no intervening changes on the affected individual files. (At least, it wouldn't break any worse than would a series of cherry-picked merges, checked in each time; and at least this way you would discover breakage before checking in). For instance, let's say you have a Main and a Development branch. They start out identical (e.g. after a release). They have two files, foo.cs and bar.cs. Alice makes a change in Development\foo.cs and checks it in as changeset #1001. Bob makes a change in Development\bar.cs and checks it in as #1002. Alice makes another change to Development\foo.cs and checks it in as #1003. Now we could in theory merge both changes #1001 and #1003 from dev-to main in a single operation. If we try to merge at the branch level, dev-to-main, we will have to do it as two operations. In this simple, contrived example it's simple enough to merge the one file - but in the real world where there would be many files involved, it's not so simple. Non-contiguous merging is one of the reasons given for why "merge by workitem" is not implemented in TFS.

    Read the article

  • When do Symfony's user attributes get written to session?

    - by Rob Wilkerson
    I have a Symfony app that populates the "widgets" of a portal application and I'm noticing something (that seems) odd. The portal app has iframes that make calls to the Symfony app. On each of those calls, a random user key is passed on the query string. The Symfony app stores that key its session using myUser->setAttribute(). If the incoming value is different from what it has in session, it overwrites the session value. In pseudo-code (and applying a synchronous nature for clarity even though it may not exist): # Widget request arrives with ?foo=bar if the user attribute 'foo' does not equal 'bar' overwrite the user attribute 'foo' with 'bar' end What I'm noticing is that, on a portal page with multiple widgets (read: multiple requests coming in more or less simultaneously) where the value needs to be overwritten, each request is trying to overwrite. Is this a timing problem? When I look at the log prints, I'd expect the first request that arrives to overwrite and subsequent requests to see that the user attribute they received matches what was just put into cache by the initial request. In this scenario, it could be that subsequent requests begin (and are checked) even before the first one--the one that should overwrite the cached value--has completely finished. Are session values not really available to subsequent requests until one request has completed entirely or could there be something else that I'm missing? Thanks.

    Read the article

  • Setting Image.Source doesn't update when loading from a resource.

    - by ChrisF
    I've got this definition in my XAML: <Image Name="AlbumArt" Source="/AlbumChooser2;component/Resources/help.png" /> The image is display OK on startup. In my code I'm looking for mp3's to play and I display the associated album art in this Image. Now if there's no associated image I want to display a "no image" image. So I've got one defined and I load it using: BitmapImage noImage = new BitmapImage( new Uri("/AlbumChooser2;component/Resources/no_image.png", UriKind.Relative)); I've got a helper class that finds the image if there is one (returning it as a BitmapImage), or returns null if there isn't one: if (findImage.Image != null) { this.AlbumArt.Source = findImage.Image; // This works } else { this.AlbumArt.Source = noImage; // This doesn't work } In the case where an image is found the source is updated and the album art gets displayed. In the case where an image isn't found I don't get anything displayed - just a blank. I don't think that it's the setting of AlbumArt.Source that's wrong, but the loading of the BitmapImage. If I use a different image it works, but if I recreate the image it doesn't work. What could be wrong with the image?

    Read the article

  • How can I run an appear effect and a fade effect in scriptaculous? I need them to run in tandam so t

    - by LeeRM
    Hi, Ive been fiddling with this for hours and hours and just cant get it right. First off my sites are already using Prototytpe and Scriptaculous, and to change would take a long time. Basically I am after achieving a slideshow effect similar to jQuery Cycle plugin. I have written most of it but cant get over this hurdle: I need the user to be able to press a control button which will skip the slide to which ever one they have picked. My problem is that if a fade / appear effect is running, then it causes an overlap. I am using queues and they are in their own scope. The problem as I see it is that the fade effect on one slide and the appear effect on the next slide are separate functions. Which means that if the user clicks the control button to move to another slide whilst the animation is inbetween fade & appear, then the next cycle will slot itself in the queue between those 2 effects. The default is to append to the end of the existing queue, which should be fine. But if the appear hasnt been added when a new fade is instantiated, then the queue messes up. I can make it so nothing happens if animation is in effect but thats not the effect I am after. I want to be able to click a slide and whatever is happening to effectively stop and the next slide appear. This is an example of what I am after: http://www.zendesk.com/ Im sorry if that doesnt make sense. Its a tough one to explain. Thanks Lee

    Read the article

  • Trying to create a group of button sprites

    - by user1449653
    Good day, I have like 15 images I need to be buttons. I have buttons working with a Box() (Box - looks like this) class Box(pygame.sprite.Sprite): def __init__(self): pygame.sprite.Sprite.__init__(self) self.image = pygame.Surface((35, 30)) self.image = self.image.convert() self.image.fill((255, 0, 0)) self.rect = self.image.get_rect() self.rect.centerx = 25 self.rect.centery = 505 self.dx = 10 self.dy = 10 I am trying to make the buttons work with image sprites. So I attempted to copy the class style of the box and do the same for my Icons.. code looks like this... class Icons(pygame.sprite.Sprite): def __init__(self): pygame.sprite.Sprite.__init__(self) self.image = pygame.image.load("images/airbrushIC.gif").convert() self.rect = self.image.get_rect() self.rect.x = 25 self.rect.y = 550 the code in the main() rect = image.get_rect() rect.x = 25 rect.y = 550 ic1 = Icons((screen.get_rect().x, screen.get_rect().y)) screen.blit(ic1.image, ic1.rect) pygame.display.update() This code produces a positional (accepts 1 argument but 2 are there) error or an image is not referenced error (inside the Icon class). I'm unsure if this is the right way to go about this anyways.. I know for sure that I need to load all the images (as sprites)... store them in an array... and then have my mouse check if it is clicking one of the items in the array using a for loop. Thanks. EDIT QUESTION 2: class Icons(pygame.sprite.Sprite): def init(self, *args): pygame.sprite.Sprite.init(self, *args) self.image = pygame.image.load("images/airbrushIC.gif").convert() self.rect = self.image.get_rect() ic1 = self.image self.rect.x = 10 self.rect.y = 490 self.image = pygame.image.load("images/fillIC.gif").convert() self.rect = self.image.get_rect() ic2 = self.image self.rect.x = 10 self.rect.y = 540 Thanks to your help I got the Icons class loading ONE image. Its not loading both. Obviously because its being overwritten by the second one. It seems that "class" for this purpose isn't what I need. Which begs the question how I make sprites outside of a class.. If there is a way to make the class work please let me know.

    Read the article

  • Visual Studio internal project references not always working

    - by Chris
    I am using Visual Studio and a solution with 10 or so projects in (mostly VB, some C#) which have various dependencies set up. Usually when I compile the solution it works fine. Occasionally when I do it I get a build error saying that one of the projects referenced is the wrong version (I think always the same one, possibly may be two that can cause problems). In this case going to the solution explorer and right clicking on the mentioned project and saying "rebuild" followed by another full build makes it work fine. I assume there is something set up wrong somewhere but I didn't set up the solution myself initially and a quick look through doesn't show anything immediately wrong. It feels like there is some kind of race condition, that VS is internally setting the version number of the project it needs before that project has been rebuilt and thus gets it wrong or something like that but I'm sure VS should handle all this sort of thing properly. Can anybody please suggest places that I could check for whether this has been correctly set up... And I should finally note that since I don't have reliable repro of this I may not be able to respond to questions too quickly. For example the obvious one of "Could you give the exact error message" will have to wait since I didn't think to copy it this morning, it was only after I cleared it up with the above steps that I thought to post here. Similarly any solutions may take a while to confirm.

    Read the article

  • Is there a way to create subdatabases as a kind of subfolders in sql server?

    - by user193655
    I am creating an application where there is main DB and where other data is stored in secondary databases. The secondary databases follow a "plugin" approach. I use SQL Server. A simple installation of the application will just have the mainDB, while as an option one can activate more "plug-ins" and for every plug-in there will be a new database. Now why I made this choice is because I have to work with an exisiting legacy system and this is the smartest thing I could figure to implement the plugin system. MainDB and Plugins DB have exactly the same schema (basically Plugins DB have some "special content", some important data that one can use as a kind of template - think to a letter template for example - in the application). Plugin DBs are so used in readonly mode, they are "repository of content". The "smart" thing is that the main application can also be used by "plugin writers", they just write a DB inserting content, and by making a backup of the database they creaetd a potential plugin (this is why all DBs has the same schema). Those plugins DB are downloaded from internet as there is a content upgrade available, every time the full PlugIn DB is destroyed and a new one with the same name is creaetd. This is for simplicity and even because the size of this DBs is generally small. Now this works, anyway I would prefer to organize the DBs in a kind of Tree structure, so that I can force the PlugIn DBs to be "sub-DBs" of the main application DB. As a workaround I am thinking of using naming rules, like: ApplicationDB (for the main application DB) ApplicationDB_PlugIn_N (for the N-th plugin DB) When I search for plugin 1 I try to connect to ApplicationDB_PlugIn_1, if I don't find the DB i raise an error. This situation can happen for example if som DBA renamed ApplicationDB_Plugin_1. So since those Plugin DBs are really dependant on ApplicationDB only I was trying to "do the subfolder trick". Can anyone suggest a way to do this? Can you comment on this self-made plugin approach I decribed above?

    Read the article

  • R Tree 50,000 foot overview?

    - by roufamatic
    I'm working on a school project that involves taking a lat/long point and finding the top five closest points in a known list of places. The list is to be stored in memory, with the caveat that we must choose an "appropriate data structure" -- that is, we cannot simply store all the places in an array and compare distances one-by-one in a linear fashion. The teacher suggested grouping the place data by US State to prevent calculating the distance for places that are obviously too far away. I think I can do better. From my research online it seems like an R-Tree or one of its variants might be a neat solution. Unfortunately, that sentence is as far as I've gotten with understanding the actual technique, as the literature is simply too dense for my non-academic head. Can somebody give me a really high overview of what the process is for populating an R-Tree with lat/long data, and then traversing the tree to find those 5 nearest neighbors of a given point? Additionally the project is in C, and I don't have to reinvent the wheel on this, so if you've used an existing open source C implementation of an R Tree I'd be interested in your experiences.

    Read the article

  • Rendering partial for table row with form_tag is getting crazy!

    - by xopht
    I have 23(column)x6(row) table and change the row with link_to_remote function. each tr tag has its own id attribute. change link call change action and change action changes the row using render function wit partial. _change.html.erb <td id="row_1">1</td> . . omitted . . <td id="row_23">23</td> link_to_remote function <%= link_to_remote 'Change', :update => 'row_1', :url => change_path %> change action def change logger.debug render :partial => 'change' end If I coded like above, everything work okay. This means all changed-columns are in one row. But, if I wrap partial code with *form_for* function like below... <% form_for 'change' do %> <td id="row_1">1</td> . . omitted . . <td id="row_23">23</td> <% end %> Then, one column located in one row and that column is the first column. I've looked up the log file, but it was normal html tags. What's wrong?

    Read the article

  • powershell missing member methods in array

    - by Andrew
    Hi Guys I have (yet another) powershell query. I have an array in powershell which i need to use the remove() and split commands on. Normally you set an array (or variable) and the above methods exist. On the below $csv2 array both methods are missing, i have checked using the get-member cmd. How can i go about using remove to get rid of lines with nan. Also how do i split the columns into two different variables. at the moment each element of the array displays one line, for each line i need to convert it into two variables, one for each column. timestamp Utilization --------- ----------- 1276505880 2.0763250000e+00 1276505890 1.7487730000e+00 1276505900 1.6906890000e+00 1276505910 1.7972880000e+00 1276505920 1.8141900000e+00 1276505930 nan 1276505940 nan 1276505950 0.0000000000e+00 $SystemStats = (Get-F5.iControl).SystemStatistics $report = "c:\snmp\data" + $gObj + ".csv" ### Allocate a new Query Object and add the inputs needed $Query = New-Object -TypeName iControl.SystemStatisticsPerformanceStatisticQuery $Query.object_name = $i $Query.start_time = $startTime $Query.end_time = 0 $Query.interval = $interval $Query.maximum_rows = 0 ### Make method call passing in an array of size one with the specified query $ReportData = $SystemStats.get_performance_graph_csv_statistics( (,$Query) ) ### Allocate a new encoder and turn the byte array into a string $ASCII = New-Object -TypeName System.Text.ASCIIEncoding $csvdata = $ASCII.GetString($ReportData[0].statistic_data) $csv2 = convertFrom-CSV $csvdata $csv2

    Read the article

  • I read 3 pages of a JQuery book and here's my reaction and question

    - by George
    My jQuery reaction to the language's flexible "selectors" is probably rooted in this experience: I once had managed a project where a developer constructed a web page that was used by users to provide very flexible search parameters for a search screen using dynamic sql string building based on the user's specified search parameter. The resulting queries were usually very complicated and involved joins to many tables. One of the options that the user had was to choose from one of 3 an options. Depending on the user's choice for this option, the resulting SQL would need to query a different set of database columns. For example, if choice option "A" were selected, the resulting database columns queried would be prefixed with "A_"; if option "B" were selected, he resulting database columns queried would be prefixed with "B_" and so on. The developer choice to write all the complete SQL assuming that the user selected, for example, option "A" and therefore first constructed SQLs of this type: SQL = "SELECT A_COL1, A_COL2, A_COL3 FROM TABLE ..." and then after constructing one of a million possible variations on the Query From Hell, did something like this: If UserOption = "B" then SQL = SQL.Replace("A_","B_") 'replace everywhere End if He insisted that this was the easiest was to code it, and while I understood that, I was concerned about maintenance of this code. You see, this worked for a while, but as the search options grew and the database columns evolved, the various "REPLACE small substring" with another small substring had unexpected consequences when applied to an evolving database and new search options. My feeling is that code should be written as much as possible such that you can add to it without fear of breaking what is already there. I feel a better approach, though a bit more work, would have been to write a function to return the appropriate target column based on a common set name and the user selected option. OK, so what does this have to do with jQuery selectors? Are the ultra flexible JQuery selectors kind of like perform a "replace all" on a SQL string? Handy as hell but potentially creating a maintenance nightmare?

    Read the article

  • crash when using stl vector at instead of operator[]

    - by Jamie Cook
    I have a method as follows (from a class than implements TBB task interface - not currently multithreading though) My problem is that two ways of accessing a vector are causing quite different behaviour - one works and the other causes the entire program to bomb out quite spectacularly (this is a plugin and normally a crash will be caught by the host - but this one takes out the host program as well! As I said quite spectacular) void PtBranchAndBoundIterationOriginRunner::runOrigin(int origin, int time) const // NOTE: const method { BOOST_FOREACH(int accessMode, m_props->GetAccessModes()) { // get a const reference to appropriate vector from member variable // map<int, vector<double>> m_rowTotalsByAccessMode; const vector<double>& rowTotalsForAccessMode = m_rowTotalsByAccessMode.find(accessMode)->second; if (origin != 129) continue; // Additional debug constrain: I know that the vector only has one non-zero element at index 129 m_job->Write("size: " + ToString(rowTotalsForAccessMode.size())); try { // check for early return... i.e. nothing to do for this origin if (!rowTotalsForAccessMode[origin]) continue; // <- this works if (!rowTotalsForAccessMode.at(origin)) continue; // <- this crashes } catch (...) { m_job->Write("Caught an exception"); // but its not an exception } // do some other stuff } } I hate not putting in well defined questions but at the moment my best phrasing is : "WTF?" I'm compiling this with Intel C++ 11.0.074 [IA-32] using Microsoft (R) Visual Studio Version 9.0.21022.8 and my implementation of vector has const_reference operator[](size_type _Pos) const { // subscript nonmutable sequence #if _HAS_ITERATOR_DEBUGGING if (size() <= _Pos) { _DEBUG_ERROR("vector subscript out of range"); _SCL_SECURE_OUT_OF_RANGE; } #endif /* _HAS_ITERATOR_DEBUGGING */ _SCL_SECURE_VALIDATE_RANGE(_Pos < size()); return (*(_Myfirst + _Pos)); } (Iterator debugging is off - I'm pretty sure) and const_reference at(size_type _Pos) const { // subscript nonmutable sequence with checking if (size() <= _Pos) _Xran(); return (*(begin() + _Pos)); } So the only difference I can see is that at calls begin instead of simply using _Myfirst - but how could that possibly be causing such a huge difference in behaviour?

    Read the article

  • Jquery ajax ($.ajax) not working on chrome. please help

    - by racky
    Hi, I need a little help to figure out why the following code does not work on google chrome 5/windows xp. It works well on all other browsers (IE, FF, Safri, Opera etc). Can someone shed some light around this? /* AJAX Request */ jq("#a-post-request").unbind("click").bind("click", function(e){ //jq("#loading").css({"display":"block"}); jq.ajax({ url: "search_data_table.html", type: "get", cache: false, error: function(){alert ("No data found for your search.");}, success: function(data){ jq("#search-results-table tbody").empty().append(data); jq("#search-results").css({"display":"block"}); jq("#search-results-table").trigger("update"); // this one is for the table sorter plugin // set sorting column and direction, this will sort on the first column. var sorting = [[0,0]];// this one is for the table sorter plugin // sort on the first column . jq("#search-results-table").trigger("sorton",[sorting]);// this one is for the table sorter plugin e.preventDefault(); } }); }); Many thanks, Racky

    Read the article

  • If Statements Skipping or Evaluating Strangely, JavaScript and jquery

    - by tlm2021
    So in jQuery, I have a global variable "currentSubNav" that stores a current visible element. The following code executes on "mouseenter". I need it to get store element's ID, check to see if there was one. If there wasn't, set the new visible element to the default. $('#mainMenu a').mouseenter(function() { var newName = $(this).attr("id"); if(newName == ''){ var newName = "default"; } Then it checks to see if the new element matches the current one. If so, it returns. If not, it performs the animations to bring in the new one. if(newName == currentSubNav){ return; }else{ $("div[name=" + currentSubNav + "]").animate({"left": "+=600px", "opacity": "toggle"}, "slow"); $("div[name=" + newName + "]").css({"margin-top": "0"}); $("div[name=" + newName + "]").fadeIn(2000); $("div[name=" + currentSubNav + "]").animate({"left": "-=600px"}, 0); currentSubNav = newName; return; } }); I'm using Chrome at the moment, and according to the dev tools that isn't what happens. Problem #1 "$(this).attr("id");" isn't returning undefined as the documentation claims. It seems to be returning "". BUT, when I have the if statement as I do above, it skips over the statement entirely. I set a breakpoint, but it never pauses execuation, so the statement is never evaluated. Problem #2 After the animations occur, instead of using the return at the end of the statements it goes back and uses the return for the "newName == currentSubNav" if statement. I guess that not a big deal, but it's not the intended behavior. I'm fairly new to JavaScript, and it appears I'm missing something about how JavaScript works. But I can't find what anywhere. Any help? Blockquote

    Read the article

  • How to check the correct radio button.

    - by MrW
    I have a Table containing some information that I need. All these rows also contains a column with a radio button in it so that the user is suppose to be able to check one of the rows as default. When I'm bringing the data back from the DB and want to select the one that's currentlly the default one. <% foreach (var item in (IEnumerable<Locale>) ViewData["Locales"]) { %> <tr> <td> <%= Html.Encode(item.Language.Name) %> </td> <td> <input type="radio" id="defaultLocale" name="defaultLocele" value="on" checked="<%= item.Default == false ? "false" : "true" %>" /> </td> I've also tried to do this: <input type="radio" id="defaultLocale" name="defaultLocele" value="on" checked="<%=item.Default == false ? "" : "checked" %>" /> but nothing seems to do the right thing. I always end up with having the last row in checked, which it isn't for sure.

    Read the article

  • This simple XHTML will not validate. What is the problem?

    - by Justice Conder
    <!DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.0 Strict//EN" "http://www.w3.org/TR/xhtml1/DTD/xhtml1-strict.dtd"> <?xml version="1.0" encoding="UTF-8"?> <html xmlns="http://www.w3.org/1999/xhtml" xml:lang="en" lang="en"> <head> <title>My Title</title> <link rel="stylesheet" type="text/css" href="myStyle.css"/> </head> <body> <div> <h1>Heading One</h1> <p class="para1">Paragraph One</p> <h3>Heading Two</h3> <p>Paragraph Two</p> <h3>Heading Three</h3> <p>Paragraph Three<p> <br /> <a href="Lab1Page2.html">Link One</a> <br /> <a href="Lab1Page3.html">Link Two</a> </div> </body> </html>

    Read the article

  • Mootools Form Post Problem, Abort increasingly+1 with each request

    - by Naresh
    Hi all, i'm using Mootools 1.2. Ihave 15 Forms with same name only change in their id's like form1, form2, form3, ... ,form15 same with their elements. i need to submit all forms by ajax. For that purpos i make a function and call them on each functions onClick event. function is function addStepConfiguration(id,mystrip,comment,error,submitid,i) { $(id).addEvent('submit', function(e) { e.stop(); $(submitid).setStyle('display','none'); loading_Img(i); this.set('send', { onComplete: function(responseText) { $('loading_img'+i).innerHTML = ''; SplittedResText = responseText.split("|"); if(SplittedResText[1]=='undefined') { $(error).innerHTML=SplittedResText[0]; } else { $(comment).innerHTML=SplittedResText[0]; $(mystrip).set('class',SplittedResText[1]); removeMsg.delay(20,'',error); removeMsg.delay(1500,'',comment); } $(submitid).setStyle('display','block'); } }); this.send(); }); } When i submit a form say first one then it submitted and give response normally, but in second time without page refresh, it abort the request one time. in third attempt it abort 2 times..then go on +1 each time. It gives no error, just abort and again request automatically. i can't understand what is the problem. please any one can help me.

    Read the article

  • Code management in different projects with different svn repositories

    - by uzay95
    First of all I want to tell you what kind of system I have and I want to build on. 1- A Solution (has) a- Shared Class Library project (which is for lots of different solutions) b- Another Class Library project (which is only for this solution) c- Web Application project (which main part of this solution) d- Shared Web Service project (which also serves for different solutions) 2- B Solution (has) a- Shared Class Library project (which is for lots of different solutions) c- Windows Form Application project (which is main part of this solution) d- Web Service project (which also serves for different solutions) and other projects like that.... I am using xp-dev.com as our svn repository server. And I opened different projects for these items (Shared Class Library, Web Service project, Windows Form Application project, Web Application project, Another Class Library project) . I want to do the versioning of all these projects of course. My first question is, should I put each project(one solution) to one svn repository to get their revision number later on? Or should I put each of them to different svn repository and keep( write down) their correct version number that is used to publish/deploy every solution? If I use one svn for each project(Shared Class Lib, Web App, Shared Web Service....) how can I relate the right svn address and version on VS.2010 within the real solution? So, how do you manage your repositories and projects?

    Read the article

  • The shell dotfile cookbook

    - by Jason Baker
    I constantly hear from other people about how much of the stuff they've used to customize their *nix setup they've shamelessly stolen from other people. So in that spirit, I'd like to start a place to share that stuff here on SO. Here are the rules: DON'T POST YOUR ENTIRE DOTFILE. Instead, just show us the cool stuff. One recipe per answer You may, however, post multiple versions of your recipe in the same answer. For example, you may post a version that works for bash, a version that works for zsh, and a version that works for csh in the same answer. State what shells you know your recipe will work with in the answer. Let's build this cookbook as a team. If you find out that an answer works with other shells other than the one the author posted, edit it in. If you like an idea and rewrite it to work with another shell, edit the modified version in to the original post. Give credit where credit is due. If you got your idea from someone else, give them credit if possible. And for those of you (justifiably) asking "Why do we need another one of these threads?": Most of what I've seen is along the lines of "post your entire dotfile." Personally, I don't want to try to parse through a person's entire dotfile to figure out what I want. I just want to know about all the cool parts of it. It's helpful to have a single dotfile thread. I think most of the stuff that works in bash will work in zsh and it may be adapted to work with csh fairly easily.

    Read the article

  • Is there a free, smale-scale, not web-based issue/bug tracking system?

    - by Doc Brown
    I know, there were posts before here on SO before concerning issue or bug tracking systems, like this one, but the given answers point either to commercial systems or web-based systems, which both seem to be oversized for our needs. What I am looking for is a non-commercial tool for a team of 3 to 4 developers, which can be used on an existing fileserver, without the need of installing additional server software like a C/S database or a web server. Some things I expect from such a system: allows to remember bugs (with a priority) and issues / ideas for new features (mostly without a priority) description of the issue, perhaps some additional remarks short info who entered the bug/issue entry one or more tags allowing us to group or filter the list Any suggestions? EDIT: I should have said that, but we are using MS Windows clients, Visual Studio development, Tortoise SVN (the latter works fine without a subversion server). And yes, I am strict on "no server software", since all server based solutions I have seen so far seem much to oversized/heavy weighted/too-much-effort-to-be-worth-it. In fact, if no one has a better idea, we are going to use a spreadsheet, but I can't believe there are no ready-made, light weight solutions.

    Read the article

  • Python "callable" attribute (pseudo-property)

    - by mgilson
    In python, I can alter the state of an instance by directly assigning to attributes, or by making method calls which alter the state of the attributes: foo.thing = 'baz' or: foo.thing('baz') Is there a nice way to create a class which would accept both of the above forms which scales to large numbers of attributes that behave this way? (Shortly, I'll show an example of an implementation that I don't particularly like.) If you're thinking that this is a stupid API, let me know, but perhaps a more concrete example is in order. Say I have a Document class. Document could have an attribute title. However, title may want to have some state as well (font,fontsize,justification,...), but the average user might be happy enough just setting the title to a string and being done with it ... One way to accomplish this would be to: class Title(object): def __init__(self,text,font='times',size=12): self.text = text self.font = font self.size = size def __call__(self,*text,**kwargs): if(text): self.text = text[0] for k,v in kwargs.items(): setattr(self,k,v) def __str__(self): return '<title font={font}, size={size}>{text}</title>'.format(text=self.text,size=self.size,font=self.font) class Document(object): _special_attr = set(['title']) def __setattr__(self,k,v): if k in self._special_attr and hasattr(self,k): getattr(self,k)(v) else: object.__setattr__(self,k,v) def __init__(self,text="",title=""): self.title = Title(title) self.text = text def __str__(self): return str(self.title)+'<body>'+self.text+'</body>' Now I can use this as follows: doc = Document() doc.title = "Hello World" print (str(doc)) doc.title("Goodbye World",font="Helvetica") print (str(doc)) This implementation seems a little messy though (with __special_attr). Maybe that's because this is a messed up API. I'm not sure. Is there a better way to do this? Or did I leave the beaten path a little too far on this one? I realize I could use @property for this as well, but that wouldn't scale well at all if I had more than just one attribute which is to behave this way -- I'd need to write a getter and setter for each, yuck.

    Read the article

  • .NET security mechanism to restrict access between two Types in the same project?

    - by jdk
    Question: Is there a mechanism in the .NET Framework to hide one custom Type from another without using separate projects/assemblies? I'm using C# with ASP.NET in a Website project. Note: I'm not talking about access modifiers to hide members of a Type from another type - I mean to hide the Type itself. Background: I'm working in an ASP.NET Website project and the team has decided not to use separate project assemblies for different software layers. Therefore I'm looking for a way to have, for example, a DataAccess/ folder of which I disallow its classes to access other Types in the same ASP.NET Website project. In other words I want to fake the layers and have some kind of security mechanism around each layer to prevent it from accessing another. Obviously there's not a way to enforce this restriction using language-specific OO keywords so I am looking for something else, for example: maybe a permission framework or code access mechanism, maybe something that uses meta data like Attributes. Even something that restricts one namespace from accessing another. I'm unsure the final form it might take. If this were C++ I'd likely be using friend to make as solution, which doesn't translate to C# internal in this case although they're often compared. I don't really care whether the solution actually hides Types from each other or just makes them inaccessible; however I don't want to lock down one Type from all others, another reason access modifiers are not a solution. A runtime or design time answer will suffice. Looking for something easy to implement otherwise it's not worth the effort ...

    Read the article

  • Python server open all ports

    - by user1670178
    I am trying to open all ports using this code, why can I not create a loop to perform this function? http://www.kellbot.com/2010/02/tutorial-writing-a-tcp-server-in-python/ #!/usr/bin/python # This is server.py file ##server.py from socket import * #import the socket library n=1025 while n<1050: ##let's set up some constants HOST = '' #we are the host PORT = n #arbitrary port not currently in use ADDR = (HOST,PORT) #we need a tuple for the address BUFSIZE = 4096 #reasonably sized buffer for data ## now we create a new socket object (serv) ## see the python docs for more information on the socket types/flags serv = socket( AF_INET,SOCK_STREAM) ##bind our socket to the address serv.bind((ADDR)) #the double parens are to create a tuple with one element serv.listen(5) #5 is the maximum number of queued connections we'll allow serv = socket( AF_INET,SOCK_STREAM) ##bind our socket to the address serv.bind((ADDR)) #the double parens are to create a tuple with one element serv.listen(5) #5 is the maximum number of queued connections we'll allow print 'listening...' n=n+1 conn,addr = serv.accept() #accept the connection print '...connected!' conn.send('TEST') conn.close() How do I make this work so that I can specify input range and have the server open all ports up to 65535? #!/usr/bin/python # This is server.py file from socket import * #import the socket library startingPort=input("\nPlease enter starting port: ") startingPort=int(startingPort) #print startingPort def connection(): ## let's set up some constants HOST = '' #we are the host PORT = startingPort #arbitrary port not currently in use ADDR = (HOST,PORT) #we need a tuple for the address BUFSIZE = 4096 #reasonably sized buffer for data def socketObject(): ## now we create a new socket object (serv) serv = socket( AF_INET,SOCK_STREAM) def bind(): ## bind our socket to the address serv = socket( AF_INET,SOCK_STREAM) serv.bind((ADDR)) #the double parens are to create a tuple with one element serv.listen(5) #5 is the maximum number of queued connections we'll allow serv = socket( AF_INET,SOCK_STREAM) print 'listening...' def accept(): conn,addr = serv.accept() #accept the connection print '...connected!' conn.send('TEST') def close(): conn.close() ## Main while startingPort<65535: connection() socketObject() bind() accept() startingPort=startingPort+1

    Read the article

  • how to Add-in load again n again for every instance of an application?

    - by Ashwin Upadhyay
    I have one qus. i created one shared add-in in c#.net. This add-in is working fine. now i want this add-in is load again n again when any office application is opened. For e.g. when i open any MS word document then add-in is load for that and if after that i opened another MS word document without closing previously opened document then add-in is again load for newly opend MS word document. But when i opened MS word at first time the add-in is load and if i opened MS word again but add-in is already loaded. my requirement is like that-my add-in is worked backgroundly that is its work only to record the opening,closing time of the word document and how much time spend onto that word document and also the name of this document. But when i opened one word document then add-in is loaded for that and if againg opened new word document then becaz of previously opened document add-in is not load for that document remember that priviously opened document is not closed. but if i closed previously opened document then for new document add-in is load.

    Read the article

< Previous Page | 668 669 670 671 672 673 674 675 676 677 678 679  | Next Page >