Search Results

Search found 20566 results on 823 pages for 'folder structure'.

Page 673/823 | < Previous Page | 669 670 671 672 673 674 675 676 677 678 679 680  | Next Page >

  • XML parsing by DOM

    - by blackpearl
    NodeList nList2 = doc.getElementsByTagName("dep"); Map<String, List<Map<String, String>>> depMap = new HashMap<String, List<Map<String, String>>>(); for (int temp = 0; temp < nList2.getLength(); temp++) { Element el = (Element)nList2.item(temp); String type=el.getAttribute("type"); Node nNode = nList2.item(temp); if (nNode.getNodeType() == Node.ELEMENT_NODE) { Element eElement = (Element) nNode; List<Map<String,String>> depList = new ArrayList<Map<String,String>>(); String governor = getTagValue("governor", eElement); String dependent = getTagValue("dependent", eElement); Map<String, String> govdepmap = new HashMap<String, String>(); govdepmap.put(governor, dependent); depList.add(govdepmap); List<Map<String,String>> flist = new ArrayList<Map<String,String>>(); flist.add(govdepmap); depMap.put(type, flist); } } I have the following structure in my XML file: going I Now i want to store the "idx" attribute of each "governor" and "dependent" tag. What code should I change or add?

    Read the article

  • How do I get a ComboBox SelectionChanged event to fire from a nested ListBoxItem?

    - by Stephen McCusker
    This is a rather complex problem that has me really confused right now. Any help would be greatly appreciated. The Setup: ListBox of Type A UserControls -ListBoxItem of Type A UserControl --ListBox of Type B UserControls ---ListBoxItem of Type B UserControl ----ListBox of Type C UserControls -----ListBoxItem of Type C UserControl (contains the ComboBox) In other words, the Type A control has a ListBox of Type B controls that has a ListBox of Type C controls. All of the controls are hierarchical in nature. Type A contains the data that's needed to load the Type B controls and the Type B contains the data that's needed to load the Type C controls. The Type C control has a standard ComboBox in it for changing the values of the present items. In addition to the above structure, I have drag and dropping tied to the PreviewMouseLeftButtonDown event on both the Type A and Type B UserControl levels to handle reordering/deleting/etc commands in the GUI. All of this is working as intended. The Problem: When I attempt to change the value in the ComboBox, the SelectionChanged event never fires on the Type C "level" unless I'm careful enough to click on the borders/spacing in between any Type A or B controls. This happens when my ComboBox popout menu overlaps on either a Type A or B control located below itself. The selection events for Type A or B are firing instead of the Type C events, so the ComboBox is never changing its value reliably. In the debugger, the code for handling the drag and drop is triggering on the next ListBoxItem that's located underneath the ComboBox. Thoughts: Is there a way I can make my ComboBox popup take prevalence over the items behind it while double-nested in a ListBox (ie, ignore anything behind it while it's open)? Is there some way to reroute the incorrectly firing SelectionChanged events down to the ComboBox that's supposed to be triggering them?

    Read the article

  • Do I have to allocate and free records when using TList<T> in Delphi?

    - by afrazier
    The question more or less says it all. Given the following record structure: type TPerson = record Name: string; Age: Integer; end; PPerson = ^TPerson; TPersonList = TList<TPerson>; Is the following code valid? procedure ReadPeople(DataSet: TDataSet; PersonList: TPersonList); begin PersonList.Count := DataSet.RecordCount; if DataSet.RecordCount = 0 then Exit; DataSet.First; while not DataSet.Eof do begin PersonList[DataSet.RecNo].Name := DataSet.FieldByName('Name').AsString; PersonList[DataSet.RecNo].Age := DataSet.FieldByName('Age').AsInteger; DataSet.Next; end; end; Do I have to use GetMem/FreeMem to allocate and free records an instance of TPersonList, or am I free to directly access the TPersonList entries directly? My gut says that the code should be valid, though I'm not sure if there's any wrinkles related to record initialization or finalization.

    Read the article

  • Case Insensitive Ternary Search Tree

    - by Yan Cheng CHEOK
    I had been using Ternary Search Tree for a while, as the data structure to implement a auto complete drop down combo box. Which means, when user type "fo", the drop down combo box will display foo food football The problem is, my current used of Ternary Search Tree is case sensitive. My implementation is as follow. It had been used by real world for around 1++ yeas. Hence, I consider it as quite reliable. My Ternary Search Tree code However, I am looking for a case insensitive Ternary Search Tree, which means, when I type "fo", the drop down combo box will show me foO Food fooTBall Here are some key interface for TST, where I hope the new case insentive TST may have similar interface too. /** * Stores value in the TernarySearchTree. The value may be retrieved using key. * @param key A string that indexes the object to be stored. * @param value The object to be stored in the tree. */ public void put(String key, E value) { getOrCreateNode(key).data = value; } /** * Retrieve the object indexed by key. * @param key A String index. * @return Object The object retrieved from the TernarySearchTree. */ public E get(String key) { TSTNode<E> node = getNode(key); if(node==null) return null; return node.data; } An example of usage is as follow. TSTSearchEngine is using TernarySearchTree as the core backbone. Example usage of Ternary Search Tree // There is stock named microsoft and MICROChip inside stocks ArrayList. TSTSearchEngine<Stock> engine = TSTSearchEngine<Stock>(stocks); // I wish it would return microsoft and MICROCHIP. Currently, it just return microsoft. List<Stock> results = engine.searchAll("micro");

    Read the article

  • What is a good way to assign order #s to ordered rows in a table in Sybase

    - by DVK
    I have a table T (structure below) which initially contains all-NULL values in an integer order column: col1 varchar(30), col2 varchar(30), order int NULL I also have a way to order the "colN" columns, e.g. SELECT * FROM T ORDER BY some_expression_involving_col1_and_col2 What's the best way to assign - IN SQL - numeric order values 1-N to the order table, so that the order values match the order of rows returned by the above ORDER BY? In other words, I would like a single query (Sybase SQL syntax so no Oracle's rowcount) which assigns order values so that SELECT * FROM T ORDER BY order returns 100% same order of rows as the query above. The query does NOT necessarily need to update the table T in place, I'm OK with creating a copy of the table T2 if that'll make the query simpler. NOTE1: A solution must be real query or a set of queries, not involving a loop or a cursor. NOTE2: Assume that the data is uniquely orderable according to the order by above - no need to worry about situation when 2 rows can be assigned the same order at random. NOTE3: I would prefer a generic solution, but if you wish a specific example of ordering expression, let's say: SELECT * FROM T ORDER BY CASE WHEN col1="" THEN "AAAAAA" ELSE col1 END, ISNULL(col2, "ZZZ")

    Read the article

  • Have no idea with python-excel read data file

    - by Protoss Reed
    I am a student and haven't a big expirence to do this work. So problem is next. I have a part of code: import matplotlib.pyplot as plt from pylab import * import cmath def sf(prompt): """ """ error_message = "Value must be integer and greater or equal than zero" while True: val = raw_input(prompt) try: val = float(val) except ValueError: print(error_message) continue if val <= 0: print(error_message) continue return val def petrogen_elements(): """Input and calculations the main parameters for pertogen elements""" print "Please enter Petrogen elements: \r" SiO2 = sf("SiO2: ") Al2O3= sf("Al2O3: ") Na2O = sf("Na2O: ") K2O = sf("K2O: ") petro = [SiO2,TiO2,Al2O3,] Sum = sum(petro) Alcal = Na2O + K2O TypeA lcal= Na2O / K2O Ka= (Na2O + K2O)/ Al2O3 print '-'*20, "\r Alcal: %s \r TypeAlcal: %s \ \r Ka: %s \r" % (Alcal, TypeAlcal,Ka,) petrogen_elements() So the problem is next. I have to load and read excel file and read all data in it. After that program have to calculate for example Alcaline, Type of Alcaline etc. Excel file has only this structure 1 2 3 4 5   1 name1 SiO2 Al2O3 Na2O K2O 2 32 12 0.21 0.1 3 name2 SiO2 Al2O3 Na2O K2O 4 45 8 7.54 5 5 name3 SiO2 Al2O3 Na2O K2O 6. … …. …. … … … All excel file has only 5 columns and unlimited rows. User has choice input data or import excel file. First part of work I have done but it stays a big part Finally I need to read all file and calculate the values. I would be so grateful for some advice

    Read the article

  • Using Sphinx with a distutils-built C extension

    - by detly
    I have written a Python module including a submodule written in C: the module itself is called foo and the C part is foo._bar. The structure looks like: src/ foo/__init__.py <- contains the public stuff foo/_bar/bar.c <- the C extension doc/ <- Sphinx configuration conf.py ... foo/__init__.py imports _bar to augment it, and the useful stuff is exposed in the foo module. This works fine when it's built, but obviously won't work in uncompiled form, since _bar doesn't exist until it's built. I'd like to use Sphinx to document the project, and use the autodoc extension on the foo module. This means I need to build the project before I can build the documentation. Since I build with distutils, the built module ends up in some variably named dir build/lib.linux-ARCH-PYVERSION — which means I can't just hard-code the directory into a Sphinx' conf.py. So how do I configure my distutils setup.py script to run the Sphinx builder over the built module? For completeness, here's the call to setup (the 'fake' things are custom builders that subclass build and build_ext): setup(cmdclass = { 'fake': fake, 'build_ext_fake' : build_ext_fake }, package_dir = {'': 'src'}, packages = ['foo'], name = 'foo', version = '0.1', description = desc, ext_modules = [module_real])

    Read the article

  • Added buttons, webview, added outlets, but can't play with them in the code...

    - by Tom
    Hi! I made a toolbar with two buttons on it. I then created two outlets in my class controller. Then I hooked the the controller to the buttons and selected the outlets. Finally I rewritten the class files (that added: IBOutlet id next; IBOutlet id previous; to my .h file). So now, everything looks okay. But then I try somewhere in the code to change the state of one of my button like this: next.enabled = YES; I tried with self. too but unfortunately I receive this error message: error: request for member 'enabled' in something not a structure or union Do you have any idea of what's happening there? And yes I have: #import <UIKit/UIKit.h> :) Using: [next setEnabled:YES]; gives me no error but still doesn't work... And finally, for documenting purposes here's the whole method: - (void)viewDidLoad { [super viewDidLoad]; if (!self.currentLevel) { self.currentLevel = @"1"; } NSArray *etape = [self.etapes objectForKey:self.currentLevel]; if ([etape count] > 0) { self.navigationItem.title = [etape objectAtIndex:1]; if ([etape count] > 1) { [next setEnabled:YES]; } } else { self.navigationItem.title = @"Aucune étape"; } } When I do: NSLog(@"%@", [next class]); It returns (null) ... I guess it is supposed to be UIBarButtonItem... It seems that it is impossible to play with any outlets even if I don't receive any errors while playing with them...

    Read the article

  • Python: circular imports needed for type checking

    - by phild
    First of all: I do know that there are already many questions and answers to the topic of the circular imports. The answer is more or less: "Design your Module/Class structure properly and you will not need circular imports". That is true. I tried very hard to make a proper design for my current project, I in my opinion I was successful with this. But my specific problem is the following: I need a type check in a module that is already imported by the module containing the class to check against. But this throws an import error. Like so: foo.py: from bar import Bar class Foo(object): def __init__(self): self.__bar = Bar(self) bar.py: from foo import Foo class Bar(object): def __init__(self, arg_instance_of_foo): if not isinstance(arg_instance_of_foo, Foo): raise TypeError() Solution 1: If I modified it to check the type by a string comparison, it will work. But I dont really like this solution (string comparsion is rather expensive for a simple type check, and could get a problem when it comes to refactoring). bar_modified.py: from foo import Foo class Bar(object): def __init__(self, arg_instance_of_foo): if not arg_instance_of_foo.__class__.__name__ == "Foo": raise TypeError() Solution 2: I could also pack the two classes into one module. But my project has lots of different classes like the "Bar" example, and I want to seperate them into different module files. After my own 2 solutions are no option for me: Has anyone a nicer solution for this problem?

    Read the article

  • need advice on Zend framework Application architecture, or say approach dealing with modules

    - by simple
    Let me start with the things that I did and how am I using some things to get results I have set up modular structure as: application/ /configs /layouts /models /modules /users /profile /frontend /backend /controllers /views .... I write a plugin that does addes changes with FrontController-setModuleControllerDirectoryName() FrontController-addModuleDirectory() and It is all good I have a changed all the directories according weather admin page is requested in the url or not (it is some thing like /admin/some/some) Let's say I have a single layout for anything that is related to Profile viewing , in this case the "Profile" module. The Profile layout is divided into three parts In the layout I was pulling out the Profile/PhotoController 's index action with a action() $this->action('index', 'photo', 'profile'); Then I have faced few issues 1. Can get passed Params inside the Photo Controller when calling ( profile/profile/index); 2. found out that helper Action() is evil cause it starts another dispatching loop =) --- and now I am thinking that my approach on plugging in controllers modules into layout also evil =). anyhow how Should I deal with plugging in some controllers (another module controllers) into the layout ?

    Read the article

  • find the children in jquery

    - by armin etemadi
    i have a tree structure,there is an unordered list(ul) in that tree.i have li items in it,and in that li items it could be a span or an ul list. this is one part of my codes : <li id="main_li"> <div class="first_division"></div> <span>products</span> <ul style="display: block;"> <li> <div class="division1"></div> <span>products_cat_1</span> <ul style="display: none;"> <li> <span>products_cat_1_milk</span> </li> </ul> </li> <li> <span>products_yoghurt</span> </li> <li> <span>products_butter</span> </li> </ul> </li> i want to access li elements in ul tag where the parent li id is "main_li",i want to get it done by clicking on the span within li. how can i do this with jquery?

    Read the article

  • Google Maps in Drupal: reference to gmap object from JavaScript

    - by user280817
    Is there a way to obtain JavaScript references to the Google maps that are embedded into Drupal pages by the GMap module? I want to be able to manipulate the maps in these pages. I want to pan and zoom them. But I cannot find a reference to an embedded map object. I've dissected the relevant JavaScript objects Drupal.gmap and Drupal.settings.gmap with no success--unless I've overlooked something. The Drupal GMap module doesn't seem to explicitly provide references (within its API) to the GMap objects that it embeds into pages. It just generates themed text which is interpolated into the page. The technique of passing the HTML ID of the map container to either the GMap2 object constructor or the similar Drupal.gmap.getMap() function in order to obtain a map reference doesn't appear to work: Both simply return an instance to a new map, one having the same dimensions and basic characteristics of the original map, but apparently sans all of its overlays (which could contain markers). And I have to call setCenter() on it before I can use it, which initializes the structure, so I know it has no overlays.

    Read the article

  • Select all points in a matrix within 30m of another point

    - by pinnacler
    So if you look at my other posts, it's no surprise I'm building a robot that can collect data in a forest, and stick it on a map. We have algorithms that can detect tree centers and trunk diameters and can stick them on a cartesian XY plane. We're planning to use certain 'key' trees as natural landmarks for localizing the robot, using triangulation and trilateration among other methods, but programming this and keeping data straight and efficient is getting difficult using just Matlab. Is there a technique for sub-setting an array or matrix of points? Say I have 1000 trees stored over 1km (1000m), is there a way to say, select only points within 30m radius of my current location and work only with those? I would just use a GIS, but I'm doing this in Matlab and I'm unaware of any GIS plugins for Matlab. I forgot to mention, this code is going online, meaning it's going on a robot for real-time execution. I don't know if, as the map grows to several miles, using a different data structure will help or if calculating every distance to a random point is what a spatial database is going to do anyway. I'm thinking of mirroring two arrays, one sorted by X and the other by Y. Then bubble sorting to determine the 30m range in that. I do the same for both arrays, X and Y, and then have a third cross link table that will select the individual values. But I don't know, what that's called, how to program that and I'm sure someone already has so I don't want to reinvent the wheel. Cartesian Plane GIS

    Read the article

  • How to make safe frequent DataSource switches for AbstractRoutingDataSource?

    - by serg555
    I implemented Dynamic DataSource Routing for Spring+Hibernate according to this article. I have several databases with same structure and I need to select which db will run each specific query. Everything works fine on localhost, but I am worrying about how this will hold up in real web site environment. They are using some static context holder to determine which datasource to use: public class CustomerContextHolder { private static final ThreadLocal<CustomerType> contextHolder = new ThreadLocal<CustomerType>(); public static void setCustomerType(CustomerType customerType) { Assert.notNull(customerType, "customerType cannot be null"); contextHolder.set(customerType); } public static CustomerType getCustomerType() { return (CustomerType) contextHolder.get(); } public static void clearCustomerType() { contextHolder.remove(); } } It is wrapped inside some ThreadLocal container, but what exactly does that mean? What will happen when two web requests call this piece of code in parallel: CustomerContextHolder.setCustomerType(CustomerType.GOLD); //<another user will switch customer type here to CustomerType.SILVER in another request> List<Item> goldItems = catalog.getItems(); Is every web request wrapped into its own thread in Spring MVC? Will CustomerContextHolder.setCustomerType() changes be visible to other web users? My controllers have synchronizeOnSession=true. How to make sure that nobody else will switch datasource until I run required query for current user? Thanks.

    Read the article

  • Passing Derived Class Instances as void* to Generic Callbacks in C++

    - by Matthew Iselin
    This is a bit of an involved problem, so I'll do the best I can to explain what's going on. If I miss something, please tell me so I can clarify. We have a callback system where on one side a module or application provides a "Service" and clients can perform actions with this Service (A very rudimentary IPC, basically). For future reference let's say we have some definitions like so: typedef int (*callback)(void*); // This is NOT in our code, but makes explaining easier. installCallback(string serviceName, callback cb); // Really handled by a proper management system sendMessage(string serviceName, void* arg); // arg = value to pass to callback This works fine for basic types such as structs or builtins. We have an MI structure a bit like this: Device <- Disk <- MyDiskProvider class Disk : public virtual Device class MyDiskProvider : public Disk The provider may be anything from a hardware driver to a bit of glue that handles disk images. The point is that classes inherit Disk. We have a "service" which is to be notified of all new Disks in the system, and this is where things unravel: void diskHandler(void *p) { Disk *pDisk = reinterpret_cast<Disk*>(p); // Uh oh! // Remainder is not important } SomeDiskProvider::initialise() { // Probe hardware, whatever... // Tell the disk system we're here! sendMessage("disk-handler", reinterpret_cast<void*>(this)); // Uh oh! } The problem is, SomeDiskProvider inherits Disk, but the callback handler can't receive that type (as the callback function pointer must be generic). Could RTTI and templates help here? Any suggestions would be greatly appreciated.

    Read the article

  • how can I save/keep-in-sync an in-memory graph of objects with the database?

    - by Greg
    Question - What is a good best practice approach for how can I save/keep-in-sync an jn-memory graph of objects with the database? Background: That is say I have the classes Node and Relationship, and the application is building up a graph of related objects using these classes. There might be 1000 nodes with various relationships between them. The application needs to query the structure hence an in-memory approach is good for performance no doubt (e.g. traverse the graph from Node X to find the root parents) The graph does need to be persisted however into a database with tables NODES and RELATIONSHIPS. Therefore what is a good best practice approach for how can I save/keep-in-sync an jn-memory graph of objects with the database? Ideal requirements would include: build up changes in-memory and then 'save' afterwards (mandatory) when saving, apply updates to database in correct order to avoid hitting any database constraints (mandatory) keep persistence mechanism separate from model, for ease in changing persistence layer if needed, e.g. don't just wrap an ADO.net DataRow in the Node and Relationship classes (desirable) mechanism for doing optimistic locking (desirable) Or is the overhead of all this for a smallish application just not worth it and I should just hit the database each time for everything? (assuming the response times were acceptable) [would still like to avoid if not too much extra overhead to remain somewhat scalable re performance]

    Read the article

  • Add child to existing parent record in entity framework.

    - by Shawn Mclean
    My relationship between the parent and child is that they are connected by an edge. It is similiar to a directed graph structure. DAL: public void SaveResource(Resource resource) { context.AddToResources(resource); //Should also add children. context.SaveChanges(); } public Resource GetResource(int resourceId) { var resource = (from r in context.Resources .Include("ToEdges").Include("FromEdges") where r.ResourceId == resourceId select r).SingleOrDefault(); return resource; } Service: public void AddChildResource(int parentResourceId, Resource childResource) { Resource parentResource = repository.GetResource(parentResourceId); ResourceEdge inEdge = new ResourceEdge(); inEdge.ToResource = childResource; parentResource.ToEdges.Add(inEdge); repository.SaveResource(parentResource); } Error: An object with the same key already exists in the ObjectStateManager. The existing object is in the Unchanged state. An object can only be added to the ObjectStateManager again if it is in the added state. Image: I have been told this is the sequence in submitting a child to an already existing parent: Get parent - Attach Child to parent - submit parent. That is the sequence I used. The code above is extracted from an ASP.NET MVC 2 application using the repository pattern.

    Read the article

  • python packaging causes importerror

    - by Absolute0
    I am getting an annoying import error when I try to import a variable in an init.py file. I have attached the files involved and my directory structure: #/home/me/app/app/__init__.py from flaskext.sqlalchemy import SQLAlchemy db = SQLAlchemy(app) #/home/me/app/app/models/__init__.py from datetime import datetime from app import db #shell [me@archlinux app]$ pwd /home/me/app [me@archlinux app]$ ./manage.py /home/me/app/app/__init__.pyc Traceback (most recent call last): File "./manage.py", line 7, in <module> from app import app File "/home/me/app/app/__init__.py", line 3, in <module> from app.views.post import post File "/home/me/app/app/views/post.py", line 4, in <module> from app.models import Post File "/home/me/app/app/models/__init__.py", line 5, in <module> from app import db ImportError: cannot import name db [me@archlinux app]$ tree . +-- apikey.txt +-- manage.py +-- app ¦   +-- forms ¦   ¦   +-- __init__.py ¦   ¦   +-- __init__.py~ ¦   +-- __init__.py ¦   +-- __init__.py~ ¦   +-- __init__.pyc ¦   +-- models ¦   ¦   +-- __init__.py ¦   ¦   +-- __init__.py~ ¦   ¦   +-- __init__.pyc ¦   +-- static ¦   ¦   +-- css ¦   ¦   ¦   +-- style.css ¦   ¦   +-- images ¦   ¦   ¦   +-- favicon.png ¦   ¦   ¦   +-- logo.png ¦   ¦   ¦   +-- text_logo.png ¦   ¦   ¦   +-- thumb_down_active.png ¦   ¦   ¦   +-- thumb_down_inactive.png ¦   ¦   ¦   +-- thumb_up_active.png ¦   ¦   ¦   +-- thumb_up_inactive.png ¦   ¦   +-- js ¦   ¦   ¦   +-- index.js ¦   ¦   +-- sitemap.xml ¦   +-- templates ¦   ¦   +-- 404.html ¦   ¦   +-- 500.html ¦   ¦   +-- about.html ¦   ¦   +-- base.html ¦   ¦   +-- feedback ¦   ¦   ¦   +-- feedback_form.html ¦   ¦   +-- form.html ¦   ¦   +-- posts ¦   ¦   ¦   +-- comment.html ¦   ¦   ¦   +-- post.html ¦   ¦   ¦   +-- posts.html ¦   ¦   +-- spam.html ¦   ¦   +-- terms.html ¦   ¦   +-- users ¦   ¦   +-- login_form.html ¦   ¦   +-- sign_up_form.html ¦   +-- util ¦   ¦   +-- forms.py ¦   ¦   +-- honeypot.py ¦   ¦   +-- __init__.py ¦   ¦   +-- __init__.py~ ¦   ¦   +-- json_http.py ¦   ¦   +-- models.py ¦   ¦   +-- spam.py ¦   +-- views ¦   +-- feedback.py ¦   +-- __init__.py ¦   +-- __init__.pyc ¦   +-- post.py ¦   +-- post.pyc ¦   +-- user.py +-- settings.py +-- settings.pyc +-- TiddlyWiki.html 13 directories, 49 files What might be the problem?

    Read the article

  • Awkward looking uses of Contract.ValueAtReturn()

    - by devoured elysium
    I am designing a method that will add an element to an internal list. The structure of the class is something along the lines of: class MyCustomerDatabase { private IList<Customer> _customers = new List<Customer>(); public int NumberOfCustomers { get { return _customers; } } public void AddCustomer(Customer customer) { _customers.Add(customer); } } Now, I was thinking of adding a Contract.Ensures() about the size of the _customers growing by 1 with this call. The problem is that I end up with some weird looking code: public void AddCustomer(Customer customer) { int numberOfCustomersAtReturn; Contract.Ensures(Contract.ValueAtReturn<int>(out numberOfCustomersAtReturn) == Contract.OldValue<int>(NumberOfCustomers) + 1); _customers.Add(customer); numberOfCustomersAtReturn = NumberOfCustomers; } The main problem is that properties are in fact methods, so you can't just reference them direcly when using Contract.ValueAtReturn() as its only parameter accepts variables as out. The situation gets even odder if I want to achieve the same but this time with a method that should return a value: public int MyReturningMethod() { ... return abc(); //abc will add by one the number of customers in list } //gets converted to public int MyReturningMethod() { int numberOfCustomersAtReturn; Contract.Ensures(Contract.ValueAtReturn<int>(out numberOfCustomersAtReturn) == Contract.OldValue<int>(NumberOfCustomers) + 1); int returnValue = abc(); numberOfCustomersAtReturn = NumberOfCustomers; return returnValue; } This seems pretty clumsy :( Code Contracts should aim to get things clearer and this seems right the opposite. Am I doing something wrong? Thanks

    Read the article

  • Performing calculations by subsets of data in R

    - by Vivi
    I want to perform calculations for each company number in the column PERMNO of my data frame, the summary of which can be seen here: > summary(companydataRETS) PERMNO RET Min. :10000 Min. :-0.971698 1st Qu.:32716 1st Qu.:-0.011905 Median :61735 Median : 0.000000 Mean :56788 Mean : 0.000799 3rd Qu.:80280 3rd Qu.: 0.010989 Max. :93436 Max. :19.000000 My solution so far was to create a variable with all possible company numbers compns <- companydataRETS[!duplicated(companydataRETS[,"PERMNO"]),"PERMNO"] And then use a foreach loop using parallel computing which calls my function get.rho() which in turn perform the desired calculations rhos <- foreach (i=1:length(compns), .combine=rbind) %dopar% get.rho(subset(companydataRETS[,"RET"],companydataRETS$PERMNO == compns[i])) I tested it for a subset of my data and it all works. The problem is that I have 72 million observations, and even after leaving the computer working overnight, it still didn't finish. I am new in R, so I imagine my code structure can be improved upon and there is a better (quicker, less computationally intensive) way to perform this same task (perhaps using apply or with, both of which I don't understand). Any suggestions?

    Read the article

  • Different EF Property DataType than Storage Layer Possible?

    - by dj_kyron
    Hi, I am putting together a WCF Data Service for PatientEntities using Entity Framework. My solution needs to address these requirements: Property DateOfBirth of entity Patient is stored in SQL Server as string. It would be ideal if the entity class did not also use the "string" type but rather a DateTime type. (I would expect this to be possible since we're abstracting away from the storage layer). Where could a conversion mechanism be put in place that would convert to and from DateTime/string so that the entity and SQL Server are in sync?. I cannot change the storage layer's structure, so I have to work around it. WCF Data Services (Read-only, so no need for saving changes) need to be used since clients will be able to use LINQ expressions to consume the service. They can generate results based on any given query scenario they need and not be constrained by a single method such as GetPatient(int ID). I've tried to use DTOs, but run into problem of mapping the ObjectContext to a DTO, I don't think that is theoretically possible...or too complicated if it is. I've tried to use Self Tracking Entities but they require the metadata from the .edmx file if I'm correct, and this isn't allowing a different property data type. I also want to add customizations to my Entity getter methods so that a property "MRN" of type "string" needs to have .Replace("MR~", string.Empty) performed before it is returned. I can add this to the getter methods but the problem with that is Entity Framework will overwrite that next time it refreshes the entity classes. Is there a permanent place I can put these? Should I use POCO instead? How would that work with WCF Data Services? Where would the service grab the metadata?

    Read the article

  • Adding XOR function to bigint library

    - by Jason Gooner
    Hi, I'm using this Big Integer library for Javascript: http://www.leemon.com/crypto/BigInt.js and I need to be able to XOR two bigInts together and sadly the library doesn't include such a function. The library is relatively simple so I don't think it's a huge task, just confusing. I've been trying to hack one together but not having much luck, would be very grateful if someone could lend me a hand. This is what I've attempted (might be wrong). But im guessing the structure is going to be quite similar to some of the other functions in there. function xor(x, y) { var c, k, i; var result = new Array(0); // big int for result k=x.length>y.length ? x.length : y.length; // array length of the larger num // Make sure result is the correct array size? maybe: result = expand(result, k); // ? for (c=0, i=0; i < k; i++) { // Do some xor here } // return the bigint xor result return result; } What confuses me is I don't really understand how it stores numbers in the array blocks for the bigInt. I don't think it's a case of simply bigintC[i] = bigintA[i] ^ bigintB[i], then most other functions have some masking operation at the end that I don't understand. I would really appreciate any help getting this working. Thanks

    Read the article

  • Changing the indexing on existing table in SQL Server 2000

    - by Raj
    Guys, Here is the scenario: SQL Server 2000 (8.0.2055) Table currently has 478 million rows of data. The Primary Key column is an INT with IDENTITY. There is an Unique Constraint imposed on two other columns with a Non-Clustered Index. This is a vendor application and we are only responsible for maintaining the DB. Now the vendor has recommended doing the following "to improve performance" Drop the PK and Clustered Index Drop the non-clustered index on the two columns with the UNIQUE CONSTRAINT Recreate the PK, with a NON-CLUSTERED index Create a CLUSTERED index on the two columns with the UNIQUE CONSTRAINT I am not convinced that this is the right thing to do. I have a number of concerns. By dropping the PK and indexes, you will be creating a heap with 478 million rows of data. Then creating a CLUSTERED INDEX on two columns would be a really mammoth task. Would creating another table with the same structure and new indexing scheme and then copying the data over, dropping the old table and renaming the new one be a better approach? I am also not sure how the stored procs will react. Will they continue using the cached execution plan, considering that they are not being explicitly recompiled. I am simply not able to understand what kind of "performance improvement" this change will provide. I think that this will actually have the reverse effect. All thoughts welcome. Thanks in advance, Raj

    Read the article

  • CLI include paths to run zend framework via cron

    - by summerg
    I wrote a command line utility using Zend Framework to do some nightly reporting. It uses a ton of the same functionality the accompanying site. It works great when I run it by hand, but when I run it on cron I have include path issues. Seems like it should be easily fixed with set_include_path, but maybe I'm missing something? My directory structure looks like this: /var/www/clientname/ application Globals.php commandline commandline_bootstrap.php public_html public_bootstrap.php library Zend In public_bootstrap.php I use set_include_path without a problem, relative to the current directory: set_include_path('../library' . PATH_SEPARATOR . get_include_path()); If I understand correctly, in commandline_bootstrap.php I need to put in the absolute path, so cron knows where everything is. My file starts like this: error_reporting(E_ALL); set_include_path('/var/www/clientname/library' . PATH_SEPARATOR . get_include_path()); require_once "../application/Globals.php"; But when I run it via cron I get the following error: PHP Fatal error: require_once(): Failed opening required '../application/Globals.php' (include_path='/var/www/clientname/library/') in /var/www/clientname/commandline/zfcli.php on line 11 I think PHP is accepting my new path, because when I run it command line and dump the phpinfo I can see: include_path = /var/www/clientname/library/:.:/usr/share/pear:/usr/share/php = .:/usr/share/pear:/usr/share/php I admit the syntax here looks a little strange, but I can’t figure out how to fix it. Any suggestions would be greatly appreciated. Thanks summer

    Read the article

  • Using XSLT to Find Nodes Given a Set of Parameters

    - by davecardwell
    Sorry about the title—wasn’t sure how to word it. Basically I have some XML like this: <countries> <country handle="bangladesh"/> <country handle="india"/> <country handle="pakistan"/> </countries> And some XSLT like this (which doesn’t work): <xsl:template match="/countries"> <xsl:param name="popular"/> <xsl:apply-templates select="country[count($popular/country[@handle = current()/@handle]) &gt; 0]" /> </xsl:template> <xsl:template match="/countries/country"> … </xsl:template> I want to pass in a list of popular destinations like this: <popular> <country handle="india"/> <country handle="pakistan"/> </popular> …to the /countries template and have it only operate on the ones in the $popular param. At the moment this simply does nothing. Changing the selector to country[true()] operates on them all, so at least I know the basic structure is right. Any ideas? I think I may be getting confused by what is currently “current()”.

    Read the article

< Previous Page | 669 670 671 672 673 674 675 676 677 678 679 680  | Next Page >