Search Results

Search found 21963 results on 879 pages for 'lance may'.

Page 737/879 | < Previous Page | 733 734 735 736 737 738 739 740 741 742 743 744  | Next Page >

  • Keyboard not dismissed

    - by sgosha
    I am developing a messaging application that have SMS.app-like UI. Conversation screen has text input field at the bottom which is moved up with keyboard. Tapping on conversation area dismisses keyboard by calling resignFirstResponder method on UITextView that we use. This usually works fine, but users report a weird bug which I can't reproduce and fix. People say that sometimes onscreen keyboard doesn't go away when they tap on conversation area, though text input field loses input focus. Once the view enters that abnormal state users are able to type with keyboard, but text that is being entered is not visible anywhere. This bug happens in one of conversation views and since then no one text input field in other views doesn't work as expected. The only way to stop this weird behavior is killing application from multitasking bar. Even more weird thing is that keyboard stays visible while navigating between view controllers in UINavigationController. I noticed two things: - if tap on ' Anyone else experiencing same problems. Any ideas on what may cause this bug?

    Read the article

  • Problem in displaying image in FireFox

    - by Param-Ganak
    Hello friends, I have a JSP page on which I have a div tag in which there is a a IMG tag. Using this IMG tag I want to show an image in it. Here the source path of an image is comes from database so I assigned a JSP variable using JSP scriplet. This JSP variable have the source path of an image. This path of image may be of different machine or of same machine i.e. images are stored on different machine or on same machine i.e. on local machine on different drive. The problem is that how to give path of image stored on different machine as well as on same machine. I have tried different ways like by giving ip address of that machine. Here is the path that of local machine where the image is stored img src= file:\localhost\D:\ScannedSheets\testproj/batch1/IMG001.jpg style="z-index:1; position:absolute; top:0; left:0; width:850; height:1099" With this syntax the image is visible in Internet Explorer but With the same syntax Its not visible in FireFox, Google Chrome etc. Please Guide me in friends. Also tell me that how to give path of the image stored on different machine which works In Internet Explorer, FireFox, Google chrome etc.

    Read the article

  • Accettend letter and other graphic simbols PHP->JS

    - by Kreker
    I have to read a txt via file php. This file contains some normal so may contains this kind of symbols : € é ò à ° % etc I read the content in php with file_get_contents and transform these for inserenting in SQL database. $contFile = file_get_contents($pathFile); $testoCommento = htmlspecialchars($contFile,ENT_QUOTES); $testoCommento = addslashes($testoCommento); Now if I have this text for example : "l'attesa ?é cruciale fino a quando il topo non viene morso dall'?€" in the database I have this: l&#039;attesa è cruciale fino a quando il topo non veniene morso dall&#039;€ When I was GETTING the data from the database I use the php function for decode html entites $descrizione = htmlspecialchars_decode($risultato['descrizione'],ENT_QUOTES); $descrizione = addslashes($descrizione); Now I use jasvascript and AJAX for getting the table content and display to an HTML page In the browser instead of getting the correct text (€,è) I have square symbol. I think there is some mess with charset code/decode but never figured out. The SQL' table is in "utf8_unicode_ci" format and the column in "utf8_general_ci". The content-type of the page is <meta http-equiv="Content-Type" content="text/html; charset=utf-8" /> Thanks for help me!

    Read the article

  • Troubleshooting multiple GET variables In PHP

    - by V413HAV
    This may be a very simple question but I don't what's the wrong thing am doing here... To explain you clearly, I've set a real simple example below: <ul> <li><a href="test.php?link1=true">Link 1</a></li> <li><a href="test.php?link2=true">Link 2</a></li> <li><a href="test.php?link3=true">Link 3</a></li> </ul> <?php if(isset($_GET['link1'])) { if(($_GET['link1']) == 'true') { echo 'This Is Link 1'; } } if(isset($_GET['link2'])) { if(($_GET['link2']) == 'true') { echo 'This Is Link 2'; } } if(isset($_GET['link3'])) { if(($_GET['link3']) == 'true') { echo 'This Is Link 3'; } } ?> This is a test.php page, here I've set 3 different arguments for $_GET, and show contents accordingly, now everything works perfect, the only thing am not understanding is how to block this kind of url say if user clicks on link 1 the url will be : http://localhost/test.php?link1=true And the Output of this url is This is Link 1 Now if I change this url to : http://localhost/test.php?link3=true&link2=true&link1=true And the Output what I get is This Is Link 1This Is Link 2This Is Link 3 Now this is ok here, but it's very annoying if someone types this and see's forms one below the other, any way I can stop this tampering?

    Read the article

  • [Apache] Creating rewrite rules for multiple urls in the same folder

    - by DavidYell
    I have been asked by our client to convert a site we created into SEO friendly url format. I've managed to crack a small way into this, but have hit a problem with having the same urls in the same folder. I am trying to rewrite the following urls, /review/index.php?cid=intercasino /review/submit.php?cid=intercasino /review/index.php?cid=intercasino&page=2#reviews I would like to get them to, /review/intercasino /submit-review/intercasino /review/intercasino/2#reviews I've almost got it working using the following rule, RewriteRule (submit-review)/(.*)$ review/submit.php?cid=$2 [L] RewriteRule (^review)/(.*) review/index.php?cid=$2 The problem, you may already see, is that /submit-review rewrites to /review, which in turn gets rewritten to index.php, thus my review submission page is lost in place of my index page. I figured that putting [L] would prevent the second rule being called, but it seems that it rewrites both urls in two seperate passes. I've also tried [QSE], and [S=1] I would rather not have to move my files into different folders to get the rewriting to work, as that just seems too much like bad practise. If anyone could give me some pointers on how to differentiate between these similar urls that would be great! Thanks (Ref: http://httpd.apache.org/docs/2.0/mod/mod_rewrite.html)

    Read the article

  • need an empty XML while unmarshalling a JAXB annotated class

    - by sswdeveloper
    I have a JAXB annotated class Customer as follows @XmlRootElement(namespace = "http://www.abc.com/customer") public class Customer{ private String name; private Address address; @XmlTransient private HashSet set = new HashSet<String>(); public String getName(){ return name; } @XmlElement(name = "Name", namespace = "http://www.abc.com/customer" ) public void setName(String name){ this.name = name; set.add("name"); } public String getAddress(){ return address; } @XmlElement(name = "Address", namespace = "http://www.abc.com/customer") public void setAddress(Address address){ this.address = address; set.add("address"); } public HashSet getSet(){ return set; } } I need to return an empty XML representing this to the user, so that he may fill the necesary values in the XML and send a request So what I require is : <Customer> <Name></Name> <Address></Address> </Customer> If i simply create an empty object Customer cust = new Customer() ; marshaller.marshall(cust,sw); all I get is the toplevel element since the other fields of the class are unset. What can I do to get such an empty XML? I tried adding the nillable=true annotation to the elements however, this returns me an XML with the xsi:nil="true" which then causes my unmarshaller to ignore this. How do I achieve this?

    Read the article

  • Cached data accessed by reference?

    - by arthurdent510
    I am running into an odd problem, and this is the only thing I can think of. I'm storing a list in cache, and I am randomly losing items from my list as users use the site. I have a class that is called that either goes to cache and returns the list from there, or if the cache is over a certain time frame old, it goes to the database and refreshes the cache. So when I pull the data from cache, this is what it looks like.... results = (List<Software>)cache["software"]; And then I return results and do some processing, filter for security, and eventually it winds up on the screen. For each Software record, there can be multiple resources attached to it, and based on how the security goes they may see some, all, or none of the records. So in the security check it will remove some of those resources from the software record. So my question is.... when I return my results list, is it a reference directly to the cache object? So when I remove a resource from the software object, it is really removing from cache as well? If that is the case, is there any way to not return it as a reference? Thanks!

    Read the article

  • SQL problem - select accross multiple tables (user groups)

    - by morpheous
    I have a db schema which looks something like this: create table user (id int, name varchar(32)); create table group (id int, name varchar(32)); create table group_member (foobar_id int, user_id int, flag int); I want to write a query that allows me to so the following: Given a valid user id (UID), fetch the ids of all users that are in the same group as the specified user id (UID) AND have group_member.flag=3. Rather than just have the SQL. I want to learn how to think like a Db programmer. As a coder, SQL is my weakest link (since I am far more comfortable with imperative languages than declarative ones) - but I want to change that. Anyway here are the steps I have identified as necessary to break down the task. I would be grateful if some SQL guru can demonstrate the simple SQL statements - i.e. atomic SQL statements, one for each of the identified subtasks below, and then finally, how I can combine those statements to make the ONE statement that implements the required functionality. Here goes (assume specified user_id [UID] = 1): //Subtask #1. Fetch list of all groups of which I am a member Select group.id from user inner join group_member where user.id=group_member.user_id and user.id=1 //Subtask #2 Fetch a list of all members who are members of the groups I am a member of (i.e. groups in subtask #1) Not sure about this ... select user.id from user, group_member gm1, group_member gm2, ... [Stuck] //Subtask #3 Get list of users that satisfy criteria group_member.flag=3 Select user.id from user inner join group_member where user.id=group_member.user_id and user.id=1 and group_member.flag=3 Once I have the SQL for subtask2, I'd then like to see how the complete SQL statement is built from these subtasks (you dont have to use the SQL in the subtask, it just a way of explaining the steps involved - also, my SQL may be incorrect/inefficient, if so, please feel free to correct it, and point out what was wrong with it). Thanks

    Read the article

  • Convert asp.net application to windows forms app

    - by rogdawg
    I have written and deployed an ASP.NET application that is pretty complex. It uses XSL transformations to create web forms for a large variety of data objects. The data comes from the database as XML via a web service. Now, I need to create a Windows desktop application that will provide a small subset of the web applications functionality to a user who may not have access to the web (working in remote areas). I will provide the data syncing using the MS Sync Framework. And I will have the desktop use a local data store. I would like to use the same xslt files in the desktop app that I use in the web app for the form creation so that, if changes are made, the desktop app can update itself when it connects and syncs its data. But, I am wondering how to replicate the asp.net codebehind logic of my web app in the windows forms. If I use a browser control to render the XSLTransformation result, then how could I handle click events, etc, in the form? Also, can I launch other windows as "dialog boxes" from my windows forms (I do this in my web app using RadControls functionality)? Thanks for any advice you can give.

    Read the article

  • EFv1 mapping 1 to many Relationship to POCOs

    - by Scott
    I'm trying to work through a problem where I'm mapping EF Entities to POCO which serve as DTO. I have two tables within my database, say Products and Categories. A Product belongs to one category and one category may contain many Products. My EF entities are named efProduct and efCategory. Within each entity there is the proper Navigation Property between efProduct and efCategory. My Poco objects are simple public class Product { public string Name { get; set; } public int ID { get; set; } public double Price { get; set; } public Category ProductType { get; set; } } public class Category { public int ID { get; set; } public string Name { get; set; } public List<Product> products { get; set; } } To get a list of products I am able to do something like public IQueryable<Product> GetProducts() { return from p in ctx.Products select new Product { ID = p.ID, Name = p.Name, Price = p.Price ProductType = p.Category }; } However there is a type mismatch error because p.Category is of type efCategory. How can I resolve this? That is, how can I convert p.Category to type Category? I know in .NET EF has added support for POCO, but I'm forced to use .NET 3.5 SP1.

    Read the article

  • Save object in CoreData

    - by John
    I am using CoreData with iPhone SDK. I am making a notes app. I have a table with note objects displayed from my model. When a button is pressed I want to save the text in the textview to the object being edited. How do I do this? I've been trying several things but none seem to work. Thanks EDIT: NSManagedObjectContext *context = [fetchedResultsController managedObjectContext]; NSEntityDescription *entity = [[fetchedResultsController fetchRequest] entity]; NSManagedObject *newManagedObject = [NSEntityDescription insertNewObjectForEntityForName:[entity name] inManagedObjectContext:context]; [newManagedObject setValue:detailViewController.textView.text forKey:@"noteText"]; NSError *error; if (![context save:&error]) { /* Replace this implementation with code to handle the error appropriately. abort() causes the application to generate a crash log and terminate. You should not use this function in a shipping application, although it may be useful during development. If it is not possible to recover from the error, display an alert panel that instructs the user to quit the application by pressing the Home button. */ NSLog(@"Unresolved error %@, %@", error, [error userInfo]); abort(); } The above code saves it correctly but it saves it as a new object. I want it to be saved as the one I have selected in my tableView.

    Read the article

  • jQuery Suspected Naming Convention Problem

    - by donfigga
    Hi all, I'm having a problem with this jQuery function, the portion of the function that renames the id, class and name of the dropdown only works for the first dropdown, subsequent ones do not work, any ideas? I suspect it may have something to do with naming convention as in cat.parent_id but it is required for asp.net mvc model binding. $(document).ready(function () { $("table select").live("change", function () { var id = $(this).attr('id'); if ($(this).attr('classname') != "selected") { var rowIndex = $(this).closest('tr').prevAll().length; $.getJSON("/Category/GetSubCategories/" + $(this).val(), function (data) { if (data.length > 0) { //problematic portion $("#" + id).attr('classname', 'selected'); $("#" + id).attr('name', 'sel' + rowIndex); $("#" + id).attr('id', 'sel' + rowIndex); var position = ($('table').get(0)); var tr = position.insertRow(rowIndex + 1); var td1 = tr.insertCell(-1); var td2 = tr.insertCell(-1); td1.appendChild(document.createTextNode('SubCategory')); var sel = document.createElement("select"); sel.name = 'parent_id'; sel.id = 'parent_id'; sel.setAttribute('class', 'unselected'); td2.appendChild(sel); $('#parent_id').append($("<option></option>").attr("value", "-1").text("-please select item-")); $.each(data, function (GetSubCatergories, Category) { $('#parent_id').append($("<option></option>"). attr("value", Category.category_id). text(Category.name)); }); sel.name = 'cat.parent_id'; sel.id = 'cat.parent_id'; } }); } }); });

    Read the article

  • Check a list of packages to install with apt-get

    - by Joel
    I am writing a post-install script for Ubuntu in Perl (same script as seen here). One of the steps is to install a list of packages. The problem is that if apt-get install fails in some of many different ways for any one of the packages the script dies badly. I would like to prevent that from happening. This happens because of the ways that apt-get install fails for packages that it doesn't like. For example when I try to install a nonsense word (i.e. typed in the wrong package name) $ sudo apt-get install oblihbyvl Reading package lists... Done Building dependency tree Reading state information... Done E: Unable to locate package oblihbyvl but if instead the package name has been obsoleted (installing handbrake from ppa) $ sudo apt-get install handbrake Reading package lists... Done Building dependency tree Reading state information... Done Package handbrake is not available, but is referred to by another package. This may mean that the package is missing, has been obsoleted, or is only available from another source E: Package 'handbrake' has no installation candidate $ apt-cache search handbrake handbrake-cli - versatile DVD ripper and video transcoder - command line handbrake-gtk - versatile DVD ripper and video transcoder - GTK GUI I have tried parsing the results of apt-cache and apt-get -s install to try to catch all possibilities before doing the install, but I seem to keep finding new ways to allow failures to continue to the actual install system command. My question is, is there some facility either in Perl (e.g. a module, though I would like to avoid installing modules if possible as this is supposed to be the first thing run after a new install of Ubuntu) or apt-* or dpkg that would let me be sure that the packages are all available to be installed before installing and if not fail gracefully in some way that lets the user decide what to do?

    Read the article

  • How do I prevent a branch from being pushed to another branch in BZR?

    - by cabbey
    We use a dev-test-prod branching scheme with bzr 2. I'd like to setup a bzr hook on the prod branch that will reject a push from the test branch. Looking at the bzr docs, this looks doable, but I'm kinda surprised that my searches don't turn up any one having done it, at least not via any of the keywords I've thought to search by. I'm hoping someone has already gotten this working and can share their path to success. My current thought is to use the pre_change_branch_tip hook to check for the presence of a file on the test branch. If it's present, fail the commit. You may ask, why test for a file, why not just test the branch name? Because I actually need to handle the case where our developers have branched their devel branch, pulled in the shared test branch and are now (erroneously) pushing that test branch to production instead of pushing their feature branch to production. And it seems a billion times easier to look for a file in the new branch than to try to interrogate the sending branch's lineage. So has someone done this? seen it done? or do I get to venture out into the uncharted wasteland that is hook development with bzr? :)

    Read the article

  • Connecting grouped dots/points on a scatter plot based on distance

    - by ToNoY
    I have 2 sets of depth point measurements, for example: > a depth value 1 2 2 2 4 3 3 6 4 4 8 5 5 16 40 6 18 45 7 20 58 > b depth value 1 10 10 2 12 20 3 14 35 I want to show both groups in one figure plotted with depth and with different symbols as you can see here plot(a$value, a$depth, type='b', col='green', pch=15) points(b$value, b$depth, type='b', col='red', pch=14) The plot seems okay, but the annoying part is that the green symbols are all connected (though I want connected lines also). I want connection only when one group has a continued data points at 2 m interval i.e. the symbols should be connected with a line from 2 to 8 m (green) and then group B symbols should be connected from 10-14 m (red) and again group A symbols should be connected (green), which means I do NOT want to see the connection between 8 m sample with the 16 m for group A. An easy solution may be dividing the group A into two parts (say, A-shallow and A-deep) and then plotting A-shallow, B, and A-deep separately. But this is completely impractical because I have thousands of data points with hundreds of groups i.e. I have to produce many depth profiles. Therefore, there has to be a way to program so that dots are NOT connected beyond a prescribed frequency/depth interval (e.g. 2 m in this case) for a particular group of samples. Any idea?

    Read the article

  • Speed comparison - Template specialization vs. Virtual Function vs. If-Statement

    - by Person
    Just to get it out of the way... Premature optimization is the root of all evil Make use of OOP etc. I understand. Just looking for some advice regarding the speed of certain operations that I can store in my grey matter for future reference. Say you have an Animation class. An animation can be looped (plays over and over) or not looped (plays once), it may have unique frame times or not, etc. Let's say there are 3 of these "either or" attributes. Note that any method of the Animation class will at most check for one of these (i.e. this isn't a case of a giant branch of if-elseif). Here are some options. 1) Give it boolean members for the attributes given above, and use an if statement to check against them when playing the animation to perform the appropriate action. Problem: Conditional checked every single time the animation is played. 2) Make a base animation class, and derive other animations classes such as LoopedAnimation and AnimationUniqueFrames, etc. Problem: Vtable check upon every call to play the animation given that you have something like a vector<Animation>. Also, making a separate class for all of the possible combinations seems code bloaty. 3) Use template specialization, and specialize those functions that depend on those attributes. Like template<bool looped, bool uniqueFrameTimes> class Animation. Problem: The problem with this is that you couldn't just have a vector<Animation> for something's animations. Could also be bloaty. I'm wondering what kind of speed each of these options offer? I'm particularly interested in the 1st and 2nd option because the 3rd doesn't allow one to iterate through a general container of Animations. In short, what is faster - a vtable fetch or a conditional?

    Read the article

  • What are the interets of synthetic methods?

    - by romaintaz
    Problem One friend suggested an interesting problem. Given the following code: public class OuterClass { private String message = "Hello World"; private class InnerClass { private String getMessage() { return message; } } } From an external class, how may I print the message variable content? Of course, changing the accessibility of methods or fields is not allowed. (the source here, but it is a french blog) Solution The code to solve this problem is the following: try { Method m = OuterClass.class.getDeclaredMethod("access$000", OuterClass.class); OuterClass outerClass = new OuterClass(); System.out.println(m.invoke(outerClass, outerClass)); } catch (Exception e) { e.printStackTrace(); } Note that the access$000 method name is not really standard (even if this format is the one that is strongly recommanded), and some JVM will name this method access$0. Thus, a better solution is to check for synthetic methods: Method method = null; int i = 0; while ((method == null) && (i < OuterClass.class.getDeclaredMethods().length)) { if (OuterClass.class.getDeclaredMethods()[i].isSynthetic()) { method = OuterClass.class.getDeclaredMethods()[i]; } i++; } if (method != null) { try { System.out.println(method.invoke(null, new OuterClass())); } catch (Exception e) { e.printStackTrace(); } } So the interesting point in this problem is to highlight the use of synthetic methods. With these methods, I can access a private field as it was done in the solution. Of course, I need to use reflection, and I think that the use of this kind of thing can be quite dangerous... Question What is the interest - for me, as a developer - of a synthetic method? What can be a good situation where using the synthetic can be useful?

    Read the article

  • Debugging instance of another thread altering my data

    - by Mick
    I have a huge global array of structures. Some regions of the array are tied to individual threads and those threads can modify their regions of the array without having to use critical sections. But there is one special region of the array which all threads may have access to. The code that accesses these parts of the array needs to carefully use critical sections (each array element has its own critical section) to prevent any possibility of two threads writing to the structure simultaneously. Now I have a mysterious bug I am trying to chase, it is occurring unpredictably and very infrequently. It seems that one of the structures is being filled with some incorrect number. One obvious explanation is that another thread has accidentally been allowed to set this number when it should be excluded from doing so. Unfortunately it seems close to impossible to track this bug. The array element in which the bad data appears is different each time. What I would love to be able to do is set some kind of trap for the bug as follows: I would enter a critical section for array element N, then I know that no other thread should be able to touch the data, then (until I exit the critical section) set some kind of flag to a debugging tool saying "if any other thread attempts to change the data here please break and show me the offending patch of source code"... but I suspect no such tool exists... or does it? Or is there some completely different debugging methodology that I should be employing.

    Read the article

  • Nice way to break a reply up into pieces in ruby

    - by ChaosR
    Hello, I'm writing an IRCd. For this topic it doesn't really matter if you know much about IRC. Its a simple code style problem. Quick overview of the problem: No message may be longer than 512 characters If the message is more, it must be broken into pieces The NAMES reply sends all the nicknames of users on a channel, and quickly grows beyond 512 characters. I currently concocted this marvelous piece of code, it works perfectly. However, its just not "ruby-like". This piece of code is more what you expect in some piece of C code. # 11 is the number of all fixed characters combined in the reply pre_length = 11 + servername.length + mynick.length + channel.name.length list = [""] i = 0 channel.nicks.each do |nick, client| list[i+=1] = "" if list[i].length + nick.length + pre_length > 500 list[i] << "#{channel.mode_char(client)}#{client.nick} " end list.each { |l| send_numeric(RPL_NAMREPLY, channel.name, l.strip) } send_numeric(RPL_ENDOFNAMES, channel.name) So my question is, any ideas to do this more nicely? PS. code has been slightly modified to make it easier to understand out-of-context

    Read the article

  • Better language or checking tool?

    - by rwallace
    This is primarily aimed at programmers who use unmanaged languages like C and C++ in preference to managed languages, forgoing some forms of error checking to obtain benefits like the ability to work in extremely resource constrained systems or the last increment of performance, though I would also be interested in answers from those who use managed languages. Which of the following would be of most value? A language that would optionally compile to CLR byte code or to machine code via C, and would provide things like optional array bounds checking, more support for memory management in environments where you can't use garbage collection, and faster compile times than typical C++ projects. (Think e.g. Ada or Eiffel with Python syntax.) A tool that would take existing C code and perform static analysis to look for things like potential null pointer dereferences and array overflows. (Think e.g. an open source equivalent to Coverity.) Something else I haven't thought of. Or put another way, when you're using C family languages, is the top of your wish list more expressiveness, better error checking or something else? The reason I'm asking is that I have a design and prototype parser for #1, and an outline design for #2, and I'm wondering which would be the better use of resources to work on after my current project is up and running; but I think the answers may be useful for other tools programmers also. (As usual with questions of this nature, if the answer you would give is already there, please upvote it.)

    Read the article

  • What makes you trust that a piece of open source software is not malicious?

    - by Daniel DiPaolo
    We developers are in a unique position when it comes to the ability to not only be skeptical about the capabilities provided by open source software, but to actively analyze the code since it is freely available. In fact, one may even argue that open source software developers have a social responsibility to do so to contribute to the community. But at what point do you as a developer say, "I better take a look at what this is doing before I trust using it" for any given thing? Is it a matter of trusting code with your personal information? Does it depend on the source you're getting it from? What spurred this question on was a post on Hacker News to a javascript bookmarklet that supposedly tells you how "exposed" your information on Facebook is as well as recommending some fixes. I thought for a second "I'd rather not start blindly running this code over all my (fairly locked down) Facebook information so let me check it out". The bookmarklet is simple enough, but it calls another javascript function which at the time (but not anymore) was highly compressed and undecipherable. That's when I said "nope, not gonna do it". So even though I could have verified the original uncompressed javascript from the Github site and even saved a local copy to verify and then run without hitting their server, I wasn't going to. It's several thousand lines and I'm not a total javascript guru to begin with. Yet, folks are using it anyway. Even (supposedly) bright developers. What makes them trust the script? Did they all scrutinize it line by line? Do they know the guy personally and trust him not to do anything bad? Do they just take his word? What makes you trust that a piece of open source software is not malicious?

    Read the article

  • Best way to limit results in MySQL with user subcategories

    - by JM4
    I am trying to essentially solve for the following: 1) Find all users in the system who ONLY have programID 1. 2) Find all users in the system who have programID 1 AND any other active program. My tables structures (in very simple terms are as follows): users userID | Name ================ 1 | John Smith 2 | Lewis Black 3 | Mickey Mantle 4 | Babe Ruth 5 | Tommy Bahama plans ID | userID | plan | status --------------------------- 1 | 1 | 1 | 1 2 | 1 | 2 | 1 3 | 1 | 3 | 1 4 | 2 | 1 | 1 5 | 2 | 3 | 1 6 | 3 | 1 | 0 7 | 3 | 2 | 1 8 | 3 | 3 | 1 9 | 3 | 4 | 1 10 | 4 | 2 | 1 11 | 4 | 4 | 1 12 | 5 | 1 | 1 I know I can easily find all members with a specific plan with something like the following: SELECT * FROM users a JOIN plans b ON (a.userID = b.userID) WHERE b.plan = 1 AND b.status = 1 but this will only tell me which users have an 'active' plan 1. How can I tell who ONLY has plan 1 (in this case only userID 5) and how to tell who has plan 1 AND any other active plan? Update: This is not to get a count, I will actually need the original member information, including all the plans they have so a COUNT(*) response may not be what I'm trying to achieve.

    Read the article

  • Where can I view rountrip information in my ASP.NET application?

    - by ajax81
    Hi All, I'm playing around with storing application settings in my database, but I think I may have created a situation where superfluous roundtrips are being made. Is there an easy way to view roundtrips made to an MS Access (I know, I know) backend? I guess while I'm here, I should ask for advice on the best way to handle this project. I'm building an app that generates links based on file names (files are numbered ints, 0-5000). The files are stored on network shares, arranged by name, and the paths change frequently as files are bulk transfered to create space, etc. Example: Files 1000 - 2000 go to /path/1000s Files 2001 - 3000 go to /path/2000s Files 3001 - 4000 go to /path/3000s etc I'm sure by now you can see where I'm going with this. Ultimately, I'm trying to avoid making a roundtrip to get the paths for every single file as they are displayed in a gridview. I'm open to the notion that I've gone about this all wrong and that my idea might be rubbish. I've toyed around with the notion of just creating a flat file, but if I do that, do I still run into the problem of having that file opened and closed for every file displayed in a gridview?

    Read the article

  • How do I add the go language to gitg's list of viewable sources?

    - by Hotei
    Hoping a 'git' guru will help out here. I am just beginning to "git" for the first time and have (among other things :-) ) git and gitg installed from Ubuntu 10.4 / AMD64 distribution (ie. maybe not 'latest' version but not ancient). I am trying to look at the go code I've committed via gitg and in the "tree tab" it says :Cannot display file content as text. However, the "details tab" shows the diffs of the same file just fine. I know gitg's "tree tab" is working because I can use the tree view on *.c / *.html / *.txt etc just fine. Is there a way to tweak gitg into understanding that "*.go" is just text? A little more context: Installed gitg version is 0.0.5 - ie a version behind latest - 0.0.6 - source of which I am looking thru now. I do have a working /usr/share/gtksourceview-2.0/language-specs/ go.lang. It works just fine as highlighter in gedit. It appears that gitg may require displayable files to have a mime type of "text/plain", so I added that to go.lang No joy. gitg still fails on *.go I'm relatively sure the fix is simple, just don't know where to look.

    Read the article

  • C Map String to Function

    - by Scriptonaut
    So, I'm making a Unix minishell, and have come to a roadblock. I need to be able to execute built-in functions, so I made a function: int exec_if_built_in(char **args) It takes an array of strings(the first being the command, and the rest being arguments). For non built-in commands I simply use something like execvp, however I need to find a way to map the first string to a function. I was thinking of making two arrays, one of strings, and another with their corresponding function pointers. However, since many of these functions will be different(return and accept different things), this approach won't work. I also thought of making an array of structs with a name property and a function pointer property, however once again due to the varied nature of the functions I'll be using, this won't work. So, what's the best way to execute a function based on the input of a string? How do I map a string to a certain function? I'm not very familiar with function pointers so I may be missing something. Thank you guys for the help :)

    Read the article

< Previous Page | 733 734 735 736 737 738 739 740 741 742 743 744  | Next Page >