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  • parallel computation for an Iterator of elements in Java

    - by Brian Harris
    I've had the same need a few times now and wanted to get other thoughts on the right way to structure a solution. The need is to perform some operation on many elements on many threads without needing to have all elements in memory at once, just the ones under computation. As in, Iterables.partition is insufficient because it brings all elements into memory up front. Expressing it in code, I want to write a BulkCalc2 that does the same thing as BulkCalc1, just in parallel. Below is sample code that illustrates my best attempt. I'm not satisfied because it's big and ugly, but it does seem to accomplish my goals of keeping threads highly utilized until the work is done, propagating any exceptions during computation, and not having more than numThreads instances of BigThing necessarily in memory at once. I'll accept the answer which meets the stated goals in the most concise way, whether it's a way to improve my BulkCalc2 or a completely different solution. interface BigThing { int getId(); String getString(); } class Calc { // somewhat expensive computation double calc(BigThing bigThing) { Random r = new Random(bigThing.getString().hashCode()); double d = 0; for (int i = 0; i < 100000; i++) { d += r.nextDouble(); } return d; } } class BulkCalc1 { final Calc calc; public BulkCalc1(Calc calc) { this.calc = calc; } public TreeMap<Integer, Double> calc(Iterator<BigThing> in) { TreeMap<Integer, Double> results = Maps.newTreeMap(); while (in.hasNext()) { BigThing o = in.next(); results.put(o.getId(), calc.calc(o)); } return results; } } class SafeIterator<T> { final Iterator<T> in; SafeIterator(Iterator<T> in) { this.in = in; } synchronized T nextOrNull() { if (in.hasNext()) { return in.next(); } return null; } } class BulkCalc2 { final Calc calc; final int numThreads; public BulkCalc2(Calc calc, int numThreads) { this.calc = calc; this.numThreads = numThreads; } public TreeMap<Integer, Double> calc(Iterator<BigThing> in) { ExecutorService e = Executors.newFixedThreadPool(numThreads); List<Future<?>> futures = Lists.newLinkedList(); final Map<Integer, Double> results = new MapMaker().concurrencyLevel(numThreads).makeMap(); final SafeIterator<BigThing> it = new SafeIterator<BigThing>(in); for (int i = 0; i < numThreads; i++) { futures.add(e.submit(new Runnable() { @Override public void run() { while (true) { BigThing o = it.nextOrNull(); if (o == null) { return; } results.put(o.getId(), calc.calc(o)); } } })); } e.shutdown(); for (Future<?> future : futures) { try { future.get(); } catch (InterruptedException ex) { // swallowing is OK } catch (ExecutionException ex) { throw Throwables.propagate(ex.getCause()); } } return new TreeMap<Integer, Double>(results); } }

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  • php, mySQL & AJAX: Unable to use sessions across the scripts in the same domain

    - by Devner
    Hi all, I have the following pages: page1.php, page2.php and page3.php. Code in each of them is as below CODE: page1.php <script type="text/javascript"> $(function(){ $('#imgID').upload({ submit_to_url: "page2.php", file_name: 'myfile1', description : "Image", limit : 1, file_types : "*.jpg", }) }); </script> <body> <form action="page3.php" method="post" enctype="multipart/form-data" name="frm1" id="frm1"> //Some other text fields <input type="submit" name="submit" id="submit" value="Submit" /> </form> </body> page2.php <?php session_start(); $a = $_SESSION['a']; $b = $_SESSION['b']; $c = $_SESSION['c']; $res = mysql_query("SELECT col FROM table WHERE col1 = $a AND col2 = $b AND col3 = $c LIMIT 1"); $num_rows = mysql_num_rows($res); echo $num_rows; //echos 0 when in fact it should have been 1 because the data in the Session exists. //Ok let's proceed further //... Do some stuff... //Store some more values and create new session variables (and assume that page1.php is going to be able to use it) $_SESSION['d'] = 'd'; $_SESSION['e'] = 'e'; $_SESSION['f'] = 'f'; if (move_uploaded_file($_FILES['file']['tmp_name'], $file)) { echo "success"; } else { echo "error ".$_FILES['file']['error']; } ?> page3.php <?php session_start(); if( isset($_POST['submit']) ) { //These sessions are non-existent although the AJAX request //to page2.php may have created them when called via AJAX from within page1.php echo $_SESSION['d'].$_SESSION['e'].$_SESSION['f']; ?> } ?> As the code says it I am posting some info via AJAX call from page1.php to page2.php. page2.php is supposed to be able to use the session values from page1.php i.e. $_SESSION['a'], $_SESSION['b'] and $_SESSION['c'] but it does not. Why? How can I fix this? page2.php is creating some more sessions after some processing is done and a response is sent back to page1.php. The submit button of the form on page1.php is hit and the page gets POST'ed to page3.php. But when the SESSION info that gets created in page2.php is echoed, it's blank signifying that SESSIONS from page2.php are not used. How can I fix this? I looked over a lot of information and have spent about 50 hours trying to do different things with my scripts before arriving at the above conclusions. My app. is custom made using function (not OOPS) and does not use any PHP frameworks & I am not even about to use any as my knowledge of OOP concepts is limited any many frameworks are object oriented. I came across race conditions, but the solutions provided don't help too much. One more solution of using DB to hold sessions and seek and retrieve from DB is the last thing on my mind and I really want to avoid creating table, coding and maintaining code for a task as simple as just keeping sessions across pages in the same domain. So my request is: Is there a way that I can solve the above problem(s) via simple coding in present conditions? Any help is appreciated. Thank you.

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  • Doxygen for C++ template class member specialization

    - by Ziv
    When I write class templates, and need to fully-specialize members of those classes, Doxygen doesn't recognize the specialization - it documents only the generic definition, or (if there are only specializations) the last definition. Here's a simple example: ===MyClass.hpp=== #ifndef MYCLASS_HPP #define MYCLASS_HPP template<class T> class MyClass{ public: static void foo(); static const int INT_CONST; static const T TTYPE_CONST; }; /* generic definitions */ template<class T> void MyClass<T>::foo(){ printf("Generic foo\n"); } template<class T> const int MyClass<T>::INT_CONST = 5; /* specialization declarations */ template<> void MyClass<double>::foo(); template<> const int MyClass<double>::INT_CONST; template<> const double MyClass<double>::TTYPE_CONST; template<> const char MyClass<char>::TTYPE_CONST; #endif === MyClass.cpp === #include "MyClass.hpp" /* specialization definitions */ template<> void MyClass<double>::foo(){ printf("Specialized double foo\n"); } template<> const int MyClass<double>::INT_CONST = 10; template<> const double MyClass<double>::TTYPE_CONST = 3.141; template<> const char MyClass<char>::TTYPE_CONST = 'a'; So in this case, foo() will be documented as printing "Generic foo," INT_CONST will be documented as set to 5, with no mention of the specializations, and TTYPE_CONST will be documented as set to 'a', with no mention of 3.141 and no indication that 'a' is a specialized case. I need to be able to document the specializations - either within the documentation for MyClass<T>, or on new pages for MyClass<double>, MyClass<char>. How do I do this? Can Doxygen even handle this? Am I possibly doing something wrong in the declarations/code structure that's keeping Doxygen from understanding what I want? I should note two related cases: A) For templated functions, specialization works fine, e.g.: /* functions that are global/in a namespace */ template<class T> void foo(){ printf("Generic foo\n"); } template<> void foo<double>(){ printf("Specialized double foo\n"); } This will document both foo() and foo(). B) If I redeclare the entire template, i.e. template<> class MyClass<double>{...};, then MyClass<double> will get its own documentation page, as a seperate class. But this means actually declaring an entirely new class - there is no relation between MyClass<T> and MyClass<double> if MyClass<double> itself is declared. So I'd have to redeclare the class and all its members, and repeat all the definitions of class members, specialized for MyClass<double>, all to make it appear as though they're using the same template. Very awkward, feels like a kludge solution. Suggestions? Thanks much :) --Ziv

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  • How do I code this relationship in SQLAlchemy?

    - by Martin Del Vecchio
    I am new to SQLAlchemy (and SQL, for that matter). I can't figure out how to code the idea I have in my head. I am creating a database of performance-test results. A test run consists of a test type and a number (this is class TestRun below) A test suite consists the version string of the software being tested, and one or more TestRun objects (this is class TestSuite below). A test version consists of all test suites with the given version name. Here is my code, as simple as I can make it: from sqlalchemy import * from sqlalchemy.ext.declarative import declarative_base from sqlalchemy.orm import relationship, backref, sessionmaker Base = declarative_base() class TestVersion (Base): __tablename__ = 'versions' id = Column (Integer, primary_key=True) version_name = Column (String) def __init__ (self, version_name): self.version_name = version_name class TestRun (Base): __tablename__ = 'runs' id = Column (Integer, primary_key=True) suite_directory = Column (String, ForeignKey ('suites.directory')) suite = relationship ('TestSuite', backref=backref ('runs', order_by=id)) test_type = Column (String) rate = Column (Integer) def __init__ (self, test_type, rate): self.test_type = test_type self.rate = rate class TestSuite (Base): __tablename__ = 'suites' directory = Column (String, primary_key=True) version_id = Column (Integer, ForeignKey ('versions.id')) version_ref = relationship ('TestVersion', backref=backref ('suites', order_by=directory)) version_name = Column (String) def __init__ (self, directory, version_name): self.directory = directory self.version_name = version_name # Create a v1.0 suite suite1 = TestSuite ('dir1', 'v1.0') suite1.runs.append (TestRun ('test1', 100)) suite1.runs.append (TestRun ('test2', 200)) # Create a another v1.0 suite suite2 = TestSuite ('dir2', 'v1.0') suite2.runs.append (TestRun ('test1', 101)) suite2.runs.append (TestRun ('test2', 201)) # Create another suite suite3 = TestSuite ('dir3', 'v2.0') suite3.runs.append (TestRun ('test1', 102)) suite3.runs.append (TestRun ('test2', 202)) # Create the in-memory database engine = create_engine ('sqlite://') Session = sessionmaker (bind=engine) session = Session() Base.metadata.create_all (engine) # Add the suites in version1 = TestVersion (suite1.version_name) version1.suites.append (suite1) session.add (suite1) version2 = TestVersion (suite2.version_name) version2.suites.append (suite2) session.add (suite2) version3 = TestVersion (suite3.version_name) version3.suites.append (suite3) session.add (suite3) session.commit() # Query the suites for suite in session.query (TestSuite).order_by (TestSuite.directory): print "\nSuite directory %s, version %s has %d test runs:" % (suite.directory, suite.version_name, len (suite.runs)) for run in suite.runs: print " Test '%s', result %d" % (run.test_type, run.rate) # Query the versions for version in session.query (TestVersion).order_by (TestVersion.version_name): print "\nVersion %s has %d test suites:" % (version.version_name, len (version.suites)) for suite in version.suites: print " Suite directory %s, version %s has %d test runs:" % (suite.directory, suite.version_name, len (suite.runs)) for run in suite.runs: print " Test '%s', result %d" % (run.test_type, run.rate) The output of this program: Suite directory dir1, version v1.0 has 2 test runs: Test 'test1', result 100 Test 'test2', result 200 Suite directory dir2, version v1.0 has 2 test runs: Test 'test1', result 101 Test 'test2', result 201 Suite directory dir3, version v2.0 has 2 test runs: Test 'test1', result 102 Test 'test2', result 202 Version v1.0 has 1 test suites: Suite directory dir1, version v1.0 has 2 test runs: Test 'test1', result 100 Test 'test2', result 200 Version v1.0 has 1 test suites: Suite directory dir2, version v1.0 has 2 test runs: Test 'test1', result 101 Test 'test2', result 201 Version v2.0 has 1 test suites: Suite directory dir3, version v2.0 has 2 test runs: Test 'test1', result 102 Test 'test2', result 202 This is not correct, since there are two TestVersion objects with the name 'v1.0'. I hacked my way around this by adding a private list of TestVersion objects, and a function to find a matching one: versions = [] def find_or_create_version (version_name): # Find existing for version in versions: if version.version_name == version_name: return (version) # Create new version = TestVersion (version_name) versions.append (version) return (version) Then I modified my code that adds the records to use it: # Add the suites in version1 = find_or_create_version (suite1.version_name) version1.suites.append (suite1) session.add (suite1) version2 = find_or_create_version (suite2.version_name) version2.suites.append (suite2) session.add (suite2) version3 = find_or_create_version (suite3.version_name) version3.suites.append (suite3) session.add (suite3) Now the output is what I want: Suite directory dir1, version v1.0 has 2 test runs: Test 'test1', result 100 Test 'test2', result 200 Suite directory dir2, version v1.0 has 2 test runs: Test 'test1', result 101 Test 'test2', result 201 Suite directory dir3, version v2.0 has 2 test runs: Test 'test1', result 102 Test 'test2', result 202 Version v1.0 has 2 test suites: Suite directory dir1, version v1.0 has 2 test runs: Test 'test1', result 100 Test 'test2', result 200 Suite directory dir2, version v1.0 has 2 test runs: Test 'test1', result 101 Test 'test2', result 201 Version v2.0 has 1 test suites: Suite directory dir3, version v2.0 has 2 test runs: Test 'test1', result 102 Test 'test2', result 202 This feels wrong to me; it doesn't feel right that I am manually keeping track of the unique version names, and manually adding the suites to the appropriate TestVersion objects. Is this code even close to being correct? And what happens when I'm not building the entire database from scratch, as in this example. If the database already exists, do I have to query the database's TestVersion table to discover the unique version names? Thanks in advance. I know this is a lot of code to wade through, and I appreciate the help.

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  • WP7: play MP3 using Media with phonegap/Cordova

    - by Loda
    My problem: I use the Media Class from Cordova. The MP3 file is only played once (the first time). Code: Add this code to the Cordova Starter project to reproduce my problem: var playCounter = 0; function playMP3(){ console.log("playMP3() counter " + playCounter); var my_media = new Media("app/www/test.mp3");//ressource buildAction == content my_media.play(); playCounter++; } [...] <p onclick="playMP3();">Click to Play MP3</p> VS output: [...] GapBrowser_Navigated :: /app/www/index.html 'UI Task' (Managed): Loaded 'System.ServiceModel.Web.dll' 'UI Task' (Managed): Loaded 'System.ServiceModel.dll' Log:"onDeviceReady. You should see this message in Visual Studio's output window." 'UI Task' (Managed): Loaded 'Microsoft.Xna.Framework.dll' Log:"playMP3() counter 0" 'UI Task' (Managed): Loaded 'System.SR.dll' Log:"media on status :: {\"id\": \"fa123123-bc55-a266-f447-8881bd32e2aa\", \"msg\": 1, \"value\": 1}" A first chance exception of type 'System.ArgumentException' occurred in mscorlib.dll Log:"media on status :: {\"id\": \"fa123123-bc55-a266-f447-8881bd32e2aa\", \"msg\": 1, \"value\": 2}" Log:"media on status :: {\"id\": \"fa123123-bc55-a266-f447-8881bd32e2aa\", \"msg\": 2, \"value\": 2.141}" Log:"media on status :: {\"id\": \"fa123123-bc55-a266-f447-8881bd32e2aa\", \"msg\": 1, \"value\": 4}" Log:"playMP3() counter 1" A first chance exception of type 'System.ArgumentException' occurred in mscorlib.dll A first chance exception of type 'System.IO.IOException' occurred in mscorlib.dll A first chance exception of type 'System.IO.IsolatedStorage.IsolatedStorageException' occurred in mscorlib.dll Log:"media on status :: {\"id\": \"2de3388c-bbb6-d896-9e27-660f1402bc2a\", \"msg\": 9, \"value\": 5}" My Config: cordova-1.6.1.js Lumia 800 WP 7.5 (7.10.7740.16) WorkAround (kind of): Desactivate the app (turn off the screen) reactivate the app (turn on the screen) - you get one more shot. Any help is welcome as I am blocked on this since may days and I found no usefull information anywhere. Also, Can you tell me if this code work on your config ? . . . Update: add a demo code using a global var. Keeping the instance alive. result The test2.mp3 is played and can replay fine. the test.mp3 is not played at all. It is the first file you play that will work. Code function onDeviceReady() { document.getElementById("welcomeMsg").innerHTML += "Cordova is ready! version=" + window.device.cordova; console.log("onDeviceReady. You should see this message in Visual Studio's output window."); my_media = new Media("app/www/test.mp3");//ressource buildAction == content my_media2 = new Media("app/www/test2.mp3");//ressource buildAction == content } var playCounter = 0; var my_media = null; function playMP3(){ console.log("playMP3() counter " + playCounter); my_media.play(); playCounter++; } var my_media2 = null; function playMP32(){ console.log("playMP32() counter " + playCounter); my_media2.play(); playCounter++; } </script> [...] <p onclick="playMP3();">Click to Play MP3</p> <p onclick="playMP32();">Click to Play MP3 2</p> VS output: Log:"onDeviceReady. You should see this message in Visual Studio's output window." INFO: startPlayingAudio could not find mediaPlayer for 71888b14-86fe-4769-95c9-a9bb05d5555b Log:"playMP32() counter 0" INFO: startPlayingAudio could not find mediaPlayer for 71888b14-86fe-4769-95c9-a9bb05d5555b Log:"playMP32() counter 1" Log:"playMP3() counter 2" INFO: startPlayingAudio could not find mediaPlayer for b60fa266-d105-a295-a5be-fa2c6b824bc1 A first chance exception of type 'System.ArgumentException' occurred in System.Windows.dll Error: El parámetro es incorrecto. Log:"playMP32() counter 3" INFO: startPlayingAudio could not find mediaPlayer for 71888b14-86fe-4769-95c9-a9bb05d5555b Can anybody reproduce this ? link to bug report: https://issues.apache.org/jira/browse/CB-941

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  • Do you have suggestions for these assembly mnemonics?

    - by Noctis Skytower
    Greetings! Last semester in college, my teacher in the Computer Languages class taught us the esoteric language named Whitespace. In the interest of learning the language better with a very busy schedule (midterms), I wrote an interpreter and assembler in Python. An assembly language was designed to facilitate writing programs easily, and a sample program was written with the given assembly mnemonics. Now that it is summer, a new project has begun with the objective being to rewrite the interpreter and assembler for Whitespace 0.3, with further developments coming afterwards. Since there is so much extra time than before to work on its design, you are presented here with an outline that provides a revised set of mnemonics for the assembly language. This post is marked as a wiki for their discussion. Have you ever had any experience with assembly languages in the past? Were there some instructions that you thought should have been renamed to something different? Did you find yourself thinking outside the box and with a different paradigm than in which the mnemonics were named? If you can answer yes to any of those questions, you are most welcome here. Subjective answers are appreciated! Stack Manipulation (IMP: [Space]) Stack manipulation is one of the more common operations, hence the shortness of the IMP [Space]. There are four stack instructions. hold N Push the number onto the stack copy Duplicate the top item on the stack copy N Copy the nth item on the stack (given by the argument) onto the top of the stack swap Swap the top two items on the stack drop Discard the top item on the stack drop N Slide n items off the stack, keeping the top item Arithmetic (IMP: [Tab][Space]) Arithmetic commands operate on the top two items on the stack, and replace them with the result of the operation. The first item pushed is considered to be left of the operator. add Addition sub Subtraction mul Multiplication div Integer Division mod Modulo Heap Access (IMP: [Tab][Tab]) Heap access commands look at the stack to find the address of items to be stored or retrieved. To store an item, push the address then the value and run the store command. To retrieve an item, push the address and run the retrieve command, which will place the value stored in the location at the top of the stack. save Store load Retrieve Flow Control (IMP: [LF]) Flow control operations are also common. Subroutines are marked by labels, as well as the targets of conditional and unconditional jumps, by which loops can be implemented. Programs must be ended by means of [LF][LF][LF] so that the interpreter can exit cleanly. L: Mark a location in the program call L Call a subroutine goto L Jump unconditionally to a label if=0 L Jump to a label if the top of the stack is zero if<0 L Jump to a label if the top of the stack is negative return End a subroutine and transfer control back to the caller halt End the program I/O (IMP: [Tab][LF]) Finally, we need to be able to interact with the user. There are IO instructions for reading and writing numbers and individual characters. With these, string manipulation routines can be written. The read instructions take the heap address in which to store the result from the top of the stack. print chr Output the character at the top of the stack print int Output the number at the top of the stack input chr Read a character and place it in the location given by the top of the stack input int Read a number and place it in the location given by the top of the stack Question: How would you redesign, rewrite, or rename the previous mnemonics and for what reasons?

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  • Where should I create my DbCommand instances?

    - by Domenic
    I seemingly have two choices: Make my class implement IDisposable. Create my DbCommand instances as private readonly fields, and in the constructor, add the parameters that they use. Whenever I want to write to the database, bind to these parameters (reusing the same command instances), set the Connection and Transaction properties, then call ExecuteNonQuery. In the Dispose method, call Dispose on each of these fields. Each time I want to write to the database, write using(var cmd = new DbCommand("...", connection, transaction)) around the usage of the command, and add parameters and bind to them every time as well, before calling ExecuteNonQuery. I assume I don't need a new command for each query, just a new command for each time I open the database (right?). Both of these seem somewhat inelegant and possibly incorrect. For #1, it is annoying for my users that I this class is now IDisposable just because I have used a few DbCommands (which should be an implementation detail that they don't care about). I also am somewhat suspicious that keeping a DbCommand instance around might inadvertently lock the database or something? For #2, it feels like I'm doing a lot of work (in terms of .NET objects) each time I want to write to the database, especially with the parameter-adding. It seems like I create the same object every time, which just feels like bad practice. For reference, here is my current code, using #1: using System; using System.Net; using System.Data.SQLite; public class Class1 : IDisposable { private readonly SQLiteCommand updateCookie = new SQLiteCommand("UPDATE moz_cookies SET value = @value, expiry = @expiry, isSecure = @isSecure, isHttpOnly = @isHttpOnly WHERE name = @name AND host = @host AND path = @path"); public Class1() { this.updateCookie.Parameters.AddRange(new[] { new SQLiteParameter("@name"), new SQLiteParameter("@value"), new SQLiteParameter("@host"), new SQLiteParameter("@path"), new SQLiteParameter("@expiry"), new SQLiteParameter("@isSecure"), new SQLiteParameter("@isHttpOnly") }); } private static void BindDbCommandToMozillaCookie(DbCommand command, Cookie cookie) { long expiresSeconds = (long)cookie.Expires.TotalSeconds; command.Parameters["@name"].Value = cookie.Name; command.Parameters["@value"].Value = cookie.Value; command.Parameters["@host"].Value = cookie.Domain; command.Parameters["@path"].Value = cookie.Path; command.Parameters["@expiry"].Value = expiresSeconds; command.Parameters["@isSecure"].Value = cookie.Secure; command.Parameters["@isHttpOnly"].Value = cookie.HttpOnly; } public void WriteCurrentCookiesToMozillaBasedBrowserSqlite(string databaseFilename) { using (SQLiteConnection connection = new SQLiteConnection("Data Source=" + databaseFilename)) { connection.Open(); using (SQLiteTransaction transaction = connection.BeginTransaction()) { this.updateCookie.Connection = connection; this.updateCookie.Transaction = transaction; foreach (Cookie cookie in SomeOtherClass.GetCookieArray()) { Class1.BindDbCommandToMozillaCookie(this.updateCookie, cookie); this.updateCookie.ExecuteNonQuery(); } transaction.Commit(); } } } #region IDisposable implementation protected virtual void Dispose(bool disposing) { if (!this.disposed && disposing) { this.updateCookie.Dispose(); } this.disposed = true; } public void Dispose() { this.Dispose(true); GC.SuppressFinalize(this); } ~Class1() { this.Dispose(false); } private bool disposed; #endregion }

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  • ADO program to list members of a large group.

    - by AlexGomez
    Hi everyone, I'm attempting to list all the members in a Active Directory group using ADO. The problem I have is that many of these groups have over 1500 members and ADSI cannot handle more than 1500 items in a multi-valued attribute. Fortunately I came across Richard Muller's wonderful VBScript that handles more than 1500 members at http://www.rlmueller.net/DocumentLargeGroup.htm I modified his code as shown below so that I can list ALL the groups and its memberships in a certain OU. However, I'm keeping getting the exception shown below: "ADODB.Recordset: Item cannot be found in the collection corresponding to the requested name or ordinal." My program appears to get stuck at: strPath = adoRecordset.Fields("ADsPath").Value Set objGroup = GetObject(strPath) All I am doing above is issuing the query to get back a recordset consisting of the ADsPath for each group in the OU. It then walks through the recordset and grabs the ADsPath for the first group and store its in a variable named strPath; we then use the value of that variable to bind to the group account for that group. It really should work! Any idea why the code below doesn't work for me? Any pointers will be great appreciated. Thanks. Option Explicit Dim objRootDSE, strDNSDomain, adoCommand Dim adoConnection, strBase, strAttributes Dim strFilter, strQuery, adoRecordset Dim strDN, intCount, blnLast, intLowRange Dim intHighRange, intRangeStep, objField Dim objGroup, objMember, strName ' Determine DNS domain name. Set objRootDSE = GetObject("LDAP://RootDSE") 'strDNSDomain = objRootDSE.Get("DefaultNamingContext") strDNSDomain = "XXXXXXXX" ' Use ADO to search Active Directory. Set adoCommand = CreateObject("ADODB.Command") Set adoConnection = CreateObject("ADODB.Connection") adoConnection.Provider = "ADsDSOObject" adoConnection.Open = "Active Directory Provider" adoCommand.ActiveConnection = adoConnection adoCommand.Properties("Page Size") = 100 adoCommand.Properties("Timeout") = 30 adoCommand.Properties("Cache Results") = False ' Specify base of search. strBase = "<LDAP://" & strDNSDomain & ">" ' Specify the attribute values to retrieve. strAttributes = "member" ' Filter on objects of class "group" strFilter = "(&(objectClass=group)(samAccountName=*))" ' Enumerate direct group members. ' Use range limits to handle more than 1000/1500 members. ' Setup to retrieve 1000 members at a time. blnLast = False intRangeStep = 999 intLowRange = 0 IntHighRange = intLowRange + intRangeStep Do While True If (blnLast = True) Then ' If last query, retrieve remaining members. strQuery = strBase & ";" & strFilter & ";" _ & strAttributes & ";range=" & intLowRange _ & "-*;subtree" Else ' If not last query, retrieve 1000 members. strQuery = strBase & ";" & strFilter & ";" _ & strAttributes & ";range=" & intLowRange & "-" _ & intHighRange & ";subtree" End If adoCommand.CommandText = strQuery Set adoRecordset = adoCommand.Execute adoRecordset.MoveFirst intCount = 0 Do Until adoRecordset.EOF strPath = adoRecordset.Fields("ADsPath").Value Set objGroup = GetObject(strPath) For Each objField In adoRecordset.Fields If (VarType(objField) = (vbArray + vbVariant)) _ Then For Each strDN In objField.Value ' Escape any forward slash characters, "/", with the backslash ' escape character. All other characters that should be escaped are. strDN = Replace(strDN, "/", "\/") ' Check dictionary object for duplicates. 'If (objGroupList.Exists(strDN) = False) Then ' Add to dictionary object. 'objGroupList.Add strDN, True ' Bind to each group member, to find member's samAccountName Set objMember = GetObject("LDAP://" & strDN) ' Output group cn, group samaAccountName and group member's samAccountName. Wscript.Echo objMember.samAccountName intCount = intCount + 1 'End if Next End If Next adoRecordset.MoveNext Loop adoRecordset.Close ' If this is the last query, exit the Do While loop. If (blnLast = True) Then Exit Do End If ' If the previous query returned no members, then the previous ' query for the next 1000 members failed. Perform one more ' query to retrieve remaining members (less than 1000). If (intCount = 0) Then blnLast = True Else ' Setup to retrieve next 1000 members. intLowRange = intHighRange + 1 intHighRange = intLowRange + intRangeStep End If Loop

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  • mySQL to .XSL help

    - by kielie
    hi guys, I have to create a script that takes a mySQL table, and exports it into .XSL format, and then saves that file into a specified folder on the web host. I got it working, but now I can't seem to get it to automatically save the file to the location without prompting the user. It needs to run every day at a specified time, so it can save the previous days leads into a .XSL file on the web host. Here is the code: <?php // DB TABLE Exporter // // How to use: // // Place this file in a safe place, edit the info just below here // browse to the file, enjoy! // CHANGE THIS STUFF FOR WHAT YOU NEED TO DO $dbhost = "-"; $dbuser = "-"; $dbpass = "-"; $dbname = "-"; $dbtable = "-"; // END CHANGING STUFF $cdate = date("Y-m-d"); // get current date // first thing that we are going to do is make some functions for writing out // and excel file. These functions do some hex writing and to be honest I got // them from some where else but hey it works so I am not going to question it // just reuse // This one makes the beginning of the xls file function xlsBOF() { echo pack("ssssss", 0x809, 0x8, 0x0, 0x10, 0x0, 0x0); return; } // This one makes the end of the xls file function xlsEOF() { echo pack("ss", 0x0A, 0x00); return; } // this will write text in the cell you specify function xlsWriteLabel($Row, $Col, $Value ) { $L = strlen($Value); echo pack("ssssss", 0x204, 8 + $L, $Row, $Col, 0x0, $L); echo $Value; return; } // make the connection an DB query $dbc = mysql_connect( $dbhost , $dbuser , $dbpass ) or die( mysql_error() ); mysql_select_db( $dbname ); $q = "SELECT * FROM ".$dbtable." WHERE date ='$cdate'"; $qr = mysql_query( $q ) or die( mysql_error() ); // Ok now we are going to send some headers so that this // thing that we are going make comes out of browser // as an xls file. // header("Pragma: public"); header("Expires: 0"); header("Cache-Control: must-revalidate, post-check=0, pre-check=0"); header("Content-Type: application/force-download"); header("Content-Type: application/octet-stream"); header("Content-Type: application/download"); //this line is important its makes the file name header("Content-Disposition: attachment;filename=export_".$dbtable.".xls "); header("Content-Transfer-Encoding: binary "); // start the file xlsBOF(); // these will be used for keeping things in order. $col = 0; $row = 0; // This tells us that we are on the first row $first = true; while( $qrow = mysql_fetch_assoc( $qr ) ) { // Ok we are on the first row // lets make some headers of sorts if( $first ) { foreach( $qrow as $k => $v ) { // take the key and make label // make it uppper case and replace _ with ' ' xlsWriteLabel( $row, $col, strtoupper( ereg_replace( "_" , " " , $k ) ) ); $col++; } // prepare for the first real data row $col = 0; $row++; $first = false; } // go through the data foreach( $qrow as $k => $v ) { // write it out xlsWriteLabel( $row, $col, $v ); $col++; } // reset col and goto next row $col = 0; $row++; } xlsEOF(); exit(); ?> I tried using, fwrite to accomplish this, but it didn't seem to go very well, I removed the header information too, but nothing worked. Here is the original code, as I found it, any help would be greatly appreciated. :-) Thanx in advance. :-)

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  • MVC design in Cocoa - are all 3 always necessary? Also: naming conventions, where to put Controller

    - by Nektarios
    I'm new to MVC although I've read a lot of papers and information on the web. I know it's somewhat ambiguous and there are many different interpretations of MVC patterns.. but the differences seem somewhat minimal My main question is - are M, V, and C always going to be necessary to be doing this right? I haven't seen anyone address this in anything I've read. Examples (I'm working in Cocoa/Obj-c although that shouldn't much matter).. 1) If I have a simple image on my GUI, or a text entry field that is just for a user's convenience and isn't saved or modified, these both would be V (view) but there's no M (no data and no domain processing going on), and no C to bridge them. So I just have some aspects that are "V" - seems fine 2) I have 2 different and visible windows that each have a button on them labeled as "ACTIVATE FOO" - when a user clicks the button on either, both buttons press in and change to say "DEACTIVATE FOO" and a third window appears with label "FOO". Clicking the button again will change the button on both windows to "ACTIVATE FOO" and will remove the third "FOO" window. In this case, my V consists of the buttons on both windows, and I guess also the third window (maybe all 3 windows). I definitely have a C, my Controller object will know about these buttons and windows and will get their clicks and hold generic states regarding windows and buttons. However, whether I have 1 button or 10 button, my window is called "FOO" or my window is called "BAR", this doesn't matter. There's no domain knowledge or data here - just control of views. So in this example, I really have "V" and "C" but no "M" - is that ok? 3) Final example, which I am running in to the most. I have a text entry field as my View. When I enter text in this, say a number representing gravity, I keep it in a Model that may do things like compute physics of a ball while taking in to account my gravity parameter. Here I have a V and an M, but I don't understand why I would need to add a C - a controller would just accept the signals from the View and pass it along to the Model, and vice versa. Being as the C is just a pure passthrough, it's really "junk" code and isn't making things any more reusable in my opinion. In most situations, when something changes I will need to change the C and M both in nearly identical ways. I realize it's probably an MVC beginner's mistake to think most situations call for only V and M.. leads me in to next subject 4) In Cocoa / Xcode / IB, I guess my Controllers should always be an instantiated object in IB? That is, I lay all of my "V" components in IB, and for each collection of View objects (things that are related) I should have an instantiated Controller? And then perhaps my Models should NOT be found in IB, and instead only found as classes in Xcode that tie in with Controller code found there. Is this accurate? This could explain why you'd have a Controller that is not really adding value - because you are keeping consistent.. 5) What about naming these things - for my above example about FOO / BAR maybe something that ends in Controller would be the C, like FancyWindowOpeningController, etc? And for models - should I suffix them with like GravityBallPhysicsModel etc, or should I just name those whatever I like? I haven't seen enough code to know what's out there in the wild and I want to get on the right track early on Thank you in advance for setting me straight or letting me know I'm on the right track. I feel like I'm starting to get it and most of what I say here makes sense, but validation of my guessing would help me feel confident..

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  • Paperclip: "missing" image when uses has_one

    - by EricR
    I'm working on a website that allows people who run bed and breakfast businesses to post their accommodations. I would like to require that they include a "profile image" of the accommodation when they post it, but I also want to give them the option to add more images later (this will be developed after). I thought the best thing to do would be to use the Paperclip gem and have a Accommodation and a Photo in my application, the later belonging to the first as an association. A new Photo record is created when they create an Accommodation. It has both id and accommodation_id attributes. However, the image is never uploaded and none of the Paperclip attributes get set (image_file_name: nil, image_content_type: nil, image_file_size: nil), so I get Paperclip's "missing" photo. Any ideas on this one? It's been keeping me stuck for a few days now. Accommodation models/accommodation.rb class Accommodation < ActiveRecord::Base validates_presence_of :title, :description, :photo, :thing, :location attr_accessible :title, :description, :thing, :borough, :location, :spaces, :price has_one :photo end controllers/accommodation_controller.erb class AccommodationsController < ApplicationController before_filter :login_required, :only => {:new, :edit} uses_tiny_mce ( :options => { :theme => 'advanced', :theme_advanced_toolbar_location => 'top', :theme_advanced_toolbar_align => 'left', :theme_advanced_buttons1 => 'bold,italic,underline,bullist,numlist,separator,undo,redo', :theme_advanced_buttons2 => '', :theme_advanced_buttons3 => '' }) def index @accommodations = Accommodation.all end def show @accommodation = Accommodation.find(params[:id]) end def new @accommodation = Accommodation.new end def create @accommodation = Accommodation.new(params[:accommodation]) @accommodation.photo = Photo.new(params[:photo]) @accommodation.user_id = current_user.id if @accommodation.save flash[:notice] = "Successfully created your accommodation." render :action => 'show' else render :action => 'new' end end def edit @accommodation = Accommodation.find(params[:id]) end def update @accommodation = Accommodation.find(params[:id]) if @accommodation.update_attributes(params[:accommodation]) flash[:notice] = "Successfully updated accommodation." render :action => 'show' else render :action => 'edit' end end def destroy @accommodation = Accommodation.find(params[:id]) @accommodation.destroy flash[:notice] = "Successfully destroyed accommodation." redirect_to :inkeep end private def check_owner end end views/accommodations/_form.html.erb <%= form_for @accommodation, :html => {:multipart => true} do |f| %> <%= f.error_messages %> <p> Title<br /> <%= f.text_field :title, :size => 60 %> </p> <p> Description<br /> <%= f.text_area :description, :rows => 17, :cols => 75, :class => "mceEditor" %> </p> <p> Photo<br /> <%= f.file_field :photo %> </p> [... snip ...] <p><%= f.submit %></p> <% end %> Photo The controller and views are still the same as when Rails generated them. models/photo.erb class Photo < ActiveRecord::Base attr_accessible :image_file_name, :image_content_type, :image_file_size belongs_to :accommodation has_attached_file :image, :styles => { :thumb=> "100x100#", :small => "150x150>" } end

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  • Problems with passing an anonymous temporary function-object to a templatized constructor.

    - by Akanksh
    I am trying to attach a function-object to be called on destruction of a templatized class. However, I can not seem to be able to pass the function-object as a temporary. The warning I get is (if the comment the line xi.data = 5;): warning C4930: 'X<T> xi2(writer (__cdecl *)(void))': prototyped function not called (was a variable definition intended?) with [ T=int ] and if I try to use the constructed object, I get a compilation error saying: error C2228: left of '.data' must have class/struct/union I apologize for the lengthy piece of code, but I think all the components need to be visible to assess the situation. template<typename T> struct Base { virtual void run( T& ){} virtual ~Base(){} }; template<typename T, typename D> struct Derived : public Base<T> { virtual void run( T& t ) { D d; d(t); } }; template<typename T> struct X { template<typename R> X(const R& r) { std::cout << "X(R)" << std::endl; ptr = new Derived<T,R>(); } X():ptr(0) { std::cout << "X()" << std::endl; } ~X() { if(ptr) { ptr->run(data); delete ptr; } else { std::cout << "no ptr" << std::endl; } } Base<T>* ptr; T data; }; struct writer { template<typename T> void operator()( const T& i ) { std::cout << "T : " << i << std::endl; } }; int main() { { writer w; X<int> xi2(w); //X<int> xi2(writer()); //This does not work! xi2.data = 15; } return 0; }; The reason I am trying this out is so that I can "somehow" attach function-objects types with the objects without keeping an instance of the function-object itself within the class. Thus when I create an object of class X, I do not have to keep an object of class writer within it, but only a pointer to Base<T> (I'm not sure if I need the <T> here, but for now its there). The problem is that I seem to have to create an object of writer and then pass it to the constructor of X rather than call it like X<int> xi(writer(); I might be missing something completely stupid and obvious here, any suggestions?

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  • Is there a library available which easily can record and replay results of API calls?

    - by Billy ONeal
    I'm working on writing various things that call relatively complicated Win32 API functions. Here's an example: //Encapsulates calling NtQuerySystemInformation buffer management. WindowsApi::AutoArray NtDll::NtQuerySystemInformation( SystemInformationClass toGet ) const { AutoArray result; ULONG allocationSize = 1024; ULONG previousSize; NTSTATUS errorCheck; do { previousSize = allocationSize; result.Allocate(allocationSize); errorCheck = WinQuerySystemInformation(toGet, result.GetAs<void>(), allocationSize, &allocationSize); if (allocationSize <= previousSize) allocationSize = previousSize * 2; } while (errorCheck == 0xC0000004L); if (errorCheck != 0) { THROW_MANUAL_WINDOWS_ERROR(WinRtlNtStatusToDosError(errorCheck)); } return result; } //Client of the above. ProcessSnapshot::ProcessSnapshot() { using Dll::NtDll; NtDll ntdll; AutoArray systemInfoBuffer = ntdll.NtQuerySystemInformation( NtDll::SystemProcessInformation); BYTE * currentPtr = systemInfoBuffer.GetAs<BYTE>(); //Loop through the results, creating Process objects. SYSTEM_PROCESSES * asSysInfo; do { // Loop book keeping asSysInfo = reinterpret_cast<SYSTEM_PROCESSES *>(currentPtr); currentPtr += asSysInfo->NextEntryDelta; //Create the process for the current iteration and fill it with data. std::auto_ptr<ProcImpl> currentProc(ProcFactory( static_cast<unsigned __int32>(asSysInfo->ProcessId), this)); NormalProcess* nptr = dynamic_cast<NormalProcess*>(currentProc.get()); if (nptr) { nptr->SetProcessName(asSysInfo->ProcessName); } // Populate process threads for(ULONG idx = 0; idx < asSysInfo->ThreadCount; ++idx) { SYSTEM_THREADS& sysThread = asSysInfo->Threads[idx]; Thread thread( currentProc.get(), static_cast<unsigned __int32>(sysThread.ClientId.UniqueThread), sysThread.StartAddress); currentProc->AddThread(thread); } processes.push_back(currentProc); } while(asSysInfo->NextEntryDelta != 0); } My problem is in mocking out the NtDll::NtQuerySystemInformation method -- namely, that the data structure returned is complicated (Well, here it's actually relatively simple but it can be complicated), and writing a test which builds the data structure like the API call does can take 5-6 times as long as writing the code that uses the API. What I'd like to do is take a call to the API, and record it somehow, so that I can return that recorded value to the code under test without actually calling the API. The returned structures cannot simply be memcpy'd, because they often contain inner pointers (pointers to other locations in the same buffer). The library in question would need to check for these kinds of things, and be able to restore pointer values to a similar buffer upon replay. (i.e. check each pointer sized value if it could be interpreted as a pointer within the buffer, change that to an offset, and remember to change it back to a pointer on replay -- a false positive rate here is acceptable) Is there anything out there that does anything like this?

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  • C++ templated factory constructor/de-serialization

    - by KRao
    Hi, I was looking at the boost serialization library, and the intrusive way to provide support for serialization is to define a member function with signature (simplifying): class ToBeSerialized { public: //Define this to support serialization //Notice not virtual function! template<class Archive> void serialize(Archive & ar) {.....} }; Moreover, one way to support serilization of derived class trough base pointers is to use a macro of the type: //No mention to the base class(es) from which Derived_class inherits BOOST_CLASS_EXPORT_GUID(Derived_class, "derived_class") where Derived_class is some class which is inheriting from a base class, say Base_class. Thanks to this macro, it is possible to serialize classes of type Derived_class through pointers to Base_class correctly. The question is: I am used in C++ to write abstract factories implemented through a map from std::string to (pointer to) functions which return objects of the desired type (and eveything is fine thanks to covariant types). Hover I fail to see how I could use the above non-virtual serialize template member function to properly de-serialize (i.e. construct) an object without knowing its type (but assuming that the type information has been stored by the serializer, say in a string). What I would like to do (keeping the same nomenclature as above) is something like the following: XmlArchive xmlArchive; //A type or archive xmlArchive.open("C:/ser.txt"); //Contains type information for the serialized class Base_class* basePtr = Factory<Base_class>::create("derived_class",xmlArchive); with the function on the righ-hand side creating an object on the heap of type Derived_class (via default constructor, this is the part I know how to solve) and calling the serialize function of xmlArchive (here I am stuck!), i.e. do something like: Base_class* Factory<Base_class>::create("derived_class",xmlArchive) { Base_class* basePtr = new Base_class; //OK, doable, usual map string to pointer to function static_cast<Derived_class*>( basePtr )->serialize( xmlArchive ); //De-serialization, how????? return basePtr; } I am sure this can be done (boost serialize does it but its code is impenetrable! :P), but I fail to figure out how. The key problem is that the serialize function is a template function. So I cannot have a pointer to a generic templated function. As the point in writing the templated serialize function is to make the code generic (i.e. not having to re-write the serialize function for different Archivers), it does not make sense then to have to register all the derived classes for all possible archive types, like: MY_CLASS_REGISTER(Derived_class, XmlArchive); MY_CLASS_REGISTER(Derived_class, TxtArchive); ... In fact in my code I relies on overloading to get the correct behaviour: void serialize( XmlArchive& archive, Derived_class& derived ); void serialize( TxtArchive& archive, Derived_class& derived ); ... The key point to keep in mind is that the archive type is always known, i.e. I am never using runtime polymorphism for the archive class...(again I am using overloading on the archive type). Any suggestion to help me out? Thank you very much in advance! Cheers

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  • hosting simple python scripts in a container to handle concurrency, configuration, caching, etc.

    - by Justin Grant
    My first real-world Python project is to write a simple framework (or re-use/adapt an existing one) which can wrap small python scripts (which are used to gather custom data for a monitoring tool) with a "container" to handle boilerplate tasks like: fetching a script's configuration from a file (and keeping that info up to date if the file changes and handle decryption of sensitive config data) running multiple instances of the same script in different threads instead of spinning up a new process for each one expose an API for caching expensive data and storing persistent state from one script invocation to the next Today, script authors must handle the issues above, which usually means that most script authors don't handle them correctly, causing bugs and performance problems. In addition to avoiding bugs, we want a solution which lowers the bar to create and maintain scripts, especially given that many script authors may not be trained programmers. Below are examples of the API I've been thinking of, and which I'm looking to get your feedback about. A scripter would need to build a single method which takes (as input) the configuration that the script needs to do its job, and either returns a python object or calls a method to stream back data in chunks. Optionally, a scripter could supply methods to handle startup and/or shutdown tasks. HTTP-fetching script example (in pseudocode, omitting the actual data-fetching details to focus on the container's API): def run (config, context, cache) : results = http_library_call (config.url, config.http_method, config.username, config.password, ...) return { html : results.html, status_code : results.status, headers : results.response_headers } def init(config, context, cache) : config.max_threads = 20 # up to 20 URLs at one time (per process) config.max_processes = 3 # launch up to 3 concurrent processes config.keepalive = 1200 # keep process alive for 10 mins without another call config.process_recycle.requests = 1000 # restart the process every 1000 requests (to avoid leaks) config.kill_timeout = 600 # kill the process if any call lasts longer than 10 minutes Database-data fetching script example might look like this (in pseudocode): def run (config, context, cache) : expensive = context.cache["something_expensive"] for record in db_library_call (expensive, context.checkpoint, config.connection_string) : context.log (record, "logDate") # log all properties, optionally specify name of timestamp property last_date = record["logDate"] context.checkpoint = last_date # persistent checkpoint, used next time through def init(config, context, cache) : cache["something_expensive"] = get_expensive_thing() def shutdown(config, context, cache) : expensive = cache["something_expensive"] expensive.release_me() Is this API appropriately "pythonic", or are there things I should do to make this more natural to the Python scripter? (I'm more familiar with building C++/C#/Java APIs so I suspect I'm missing useful Python idioms.) Specific questions: is it natural to pass a "config" object into a method and ask the callee to set various configuration options? Or is there another preferred way to do this? when a callee needs to stream data back to its caller, is a method like context.log() (see above) appropriate, or should I be using yield instead? (yeild seems natural, but I worry it'd be over the head of most scripters) My approach requires scripts to define functions with predefined names (e.g. "run", "init", "shutdown"). Is this a good way to do it? If not, what other mechanism would be more natural? I'm passing the same config, context, cache parameters into every method. Would it be better to use a single "context" parameter instead? Would it be better to use global variables instead? Finally, are there existing libraries you'd recommend to make this kind of simple "script-running container" easier to write?

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  • merge 2 php arrays which aren't of the same length by value

    - by Iain Urquhart
    Excuse me if this has indeed been asked before, I couldn't see anything that fitted my needs out of the dozens of similar titled posts out there ;) I'm trying to merge 2 php arrays which aren't of the same length, and merge them on a value that exists from identical key = values within both arrays. My first query produces an array from a nested set: array ( 1 => array ( 'node_id' => 1, 'lft' => 1, 'rgt' => 4, 'moved' => 0, 'label' => 'Home', 'entry_id' => 1, 'template_path' => '', 'custom_url' => '/', 'extra' => '', 'childs' => 1, 'level' => 0, 'lower' => 0, 'upper' => 0 ), 2 => array ( 'node_id' => 2, 'lft' => 2, 'rgt' => 3, 'moved' => 0, 'label' => 'Home', 'entry_id' => NULL, 'template_path' => '', 'custom_url' => 'http://google.com/', 'extra' => '', 'childs' => 0, 'level' => 1, 'lower' => 0, 'upper' => 0 ) ); My second array returns some additional key/values I'd like to insert to the above array: array ( 'entry_id' => 1, 'entry_title' => 'This is my title', ); I want to merge both of the arrays inserting the additional information into those that match on the key 'entry_id', as well as keeping the sub arrays which don't match. So, by combining the two arrays, I'd end up with array ( 1 => array ( 'node_id' => 1, 'lft' => 1, 'rgt' => 4, 'moved' => 0, 'label' => 'Home', 'entry_id' => 1, 'template_path' => '', 'custom_url' => '/', 'extra' => '', 'childs' => 1, 'level' => 0, 'lower' => 0, 'upper' => 0, 'entry_title' => 'This is my title' ), 2 => array ( 'node_id' => 2, 'lft' => 2, 'rgt' => 3, 'moved' => 0, 'label' => 'Home', 'entry_id' => NULL, 'template_path' => '', 'custom_url' => 'http://google.com/', 'extra' => '', 'childs' => 0, 'level' => 1, 'lower' => 0, 'upper' => 0, 'entry_title' => NULL ) ); Actually, writing this out makes me think I should do it via sql... Any help/advice greatly appreciated...

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  • How to find an element in an array in C

    - by gkaykck
    I am trying to find the location of an element in the array. I have tried to use this code i generated for(i=0;i<10;i++) { if (strcmp(temp[0],varptr[i])==0) j=i; } varptr is a pointer which points to array var[11][10] and it is by the definition *varptr[11][10]. I have assigned strings to var[i] and i want to get the "i" number of my element NOT THE ADRESS. Thanks for any comment. EDit: temp is also a pointer which points to the string that i want to check. Also i am using the 2D array for keeping variable names and their address. So yes i want to keep it inside a 2D array. The question is this code is not working at all, it does not assigns i to j, so i wonder where is the problem with this idea? writing a "break" does not change if the code works or not, it just optimizes the code a little. Full Code: #include <stdio.h> #include <string.h> #include <ctype.h> double atof(char*); int main(void) { char in[100], *temp[10],var[11][10],*varptr[11][10]; int i,j, n = 0,fullval=0; double val[11]; strcpy(var[11], "ans"); for(i=0;i<11;i++) { for(j=0;j<10;j++) varptr[i][j]=&var[i][j]; } START: printf("Enter the expression: "); fflush(stdout); for(i=0;i<10;i++) temp[i]=NULL; if (fgets(in, sizeof in, stdin) != NULL) { temp[0] = strtok(in, " "); if (temp[0] != NULL) { for (n = 1; n < 10 && (temp[n] = strtok(NULL," ")) != NULL; n++) ; } if (*temp[0]=="quit") { goto FINISH;} if (isdigit(*temp[0])) { if (*temp[1]=='+') val[0] = atof(temp[0])+atof(temp[2]); else if (*temp[1]=='-') val[0] = atof(temp[0])-atof(temp[2]); else if (*temp[1]=='*') val[0] = atof(temp[0])*atof(temp[2]); else if (*temp[1]=='/') val[0] = atof(temp[0])/atof(temp[2]); printf("%s = %f\n",var[11],val[0]); goto START; } else if (temp[1]==NULL) //asking the value of a variable { for(i=0;i<10;i++) { if (strcmp(temp[0],varptr[i])==0) j=i; } printf("%s = %d\n",var[j],val[j]); goto START; } if (*temp[1]==61) { strcpy(var[fullval], temp[0]); if ((temp[3])!=NULL) { } val[fullval]=atof(temp[2]); printf("%s = %f\n",var[fullval],val[fullval]); fullval++; goto START; } if (*temp[1]!=61) { } } getch(); FINISH: return 0; }

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  • XSLT split text and preserve HTML tags

    - by Lycaon
    I have an xml that has a description node: <config> <desc>A <b>first</b> sentence here. The second sentence with some link <a href="myurl">The link</a>. The <u>third</u> one.</desc> </config> I am trying to split the sentences using dot as separator but keeping in the same time in the HTML output the eventual HTML tags. What I have so far is a template that splits the description but the HTML tags are lost in the output due to the normalize-space and substring-before functions. My current template is given below: <xsl:template name="output-tokens"> <xsl:param name="sourceText" /> <!-- Force a . at the end --> <xsl:variable name="newlist" select="concat(normalize-space($sourceText), ' ')" /> <!-- Check if we have really a point at the end --> <xsl:choose> <xsl:when test ="contains($newlist, '.')"> <!-- Find the first . in the string --> <xsl:variable name="first" select="substring-before($newlist, '.')" /> <!-- Get the remaining text --> <xsl:variable name="remaining" select="substring-after($newlist, '.')" /> <!-- Check if our string is not in fact a . or an empty string --> <xsl:if test="normalize-space($first)!='.' and normalize-space($first)!=''"> <p><xsl:value-of select="normalize-space($first)" />.</p> </xsl:if> <!-- Recursively apply the template for the remaining text --> <xsl:if test="$remaining"> <xsl:call-template name="output-tokens"> <xsl:with-param name="sourceText" select="$remaining" /> </xsl:call-template> </xsl:if> </xsl:when> <!--If no . was found --> <xsl:otherwise> <p> <!-- If the string does not contains a . then display the text but avoid displaying empty strings --> <xsl:if test="normalize-space($sourceText)!=''"> <xsl:value-of select="normalize-space($sourceText)" />. </xsl:if> </p> </xsl:otherwise> </xsl:choose> </xsl:template> and I am using it in the following manner: <xsl:template match="config"> <xsl:call-template name="output-tokens"> <xsl:with-param name="sourceText" select="desc" /> </xsl:call-template> </xsl:template> The expected output is: <p>A <b>first</b> sentence here.</p> <p>The second sentence with some link <a href="myurl">The link</a>.</p> <p>The <u>third</u> one.</p>

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  • Opinions on Copy Protection / Software Licensing via phoning home?

    - by Jakobud
    I'm developing some software that I'm going to eventually sell. I've been thinking about different copy protection mechanisms, both custom and 3rd party. I know that no copy protection is 100% full-proof, but I need to at least try. So I'm looking for some opinions to my approach I'm thinking about: One method I'm thinking about is just having my software connect to a remote server when it starts up, in order to verify the license based off the MAC address of the ethernet port. I'm not sure if the server would be running a MySQL database that retrieves the license information, or what... Is there a more simple way? Maybe some type of encrypted file that is read? I would make the software still work if it can't connect to the server. I don't want to lock someone out just because they don't have internet access at that moment in time. In case you are wondering, the software I'm developing is extremely internet/network dependant. So its actually quite unlikely that the user wouldn't have internet access when using it. Actually, its pretty useless without internet/network access. Anyone know what I would do about computers that have multiple MAC addresses? A lot of motherboards these days have 2 ethernet ports. And most laptops have 1 ethernet, 1 wifi and Bluetooth MAC addresses. I suppose I could just pick a MAC port and run with it. Not sure if it really matters A smarty and tricky user could determine the server that the software is connecting to and perhaps add it to their host file so that it always trys to connect to localhost. How likely do you think this is? And do you think its possible for the software to check if this is being done? I guess parsing of the host file could always work. Look for your server address in there and see if its connecting to localhost or something. I've considered dongles, but I'm trying to avoid them just because I know they are a pain to work with. Keeping them updated and possibly requiring the customer to run their own license server is a bit too much for me. I've experienced that and it's a bit of a pain that I wouldn't want to put my customers through. Also I'm trying to avoid that extra overhead cost of using 3rd party dongles. Also, I'm leaning toward connecting to a remote server to verify authentication as opposed to just sending the user some sort of license file because what happens when the user buys a new computer? I have to send them a replacement license file that will work with their new computer, but they will still be able to use it on their old computer as well. There is no way for me to 'de-authorize' their old computer without asking them to run some program on it or something. Also, one important note, with the software I would make it very clear to the user in the EULA that the software connects to a remote server to verify licensing and that no personal information is sent. I know I don't care much for software that does that kinda stuff without me knowing. Anyways, just looking for some opinions for people who have maybe gone down this kinda road. It seems like remote-server-dependent-software would be one of the most effective copy-protection mechanisms, not just because of difficulty of circumventing, but also could be pretty easy to manage the licenses on the developers end.

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  • complex css image centering help?

    - by Tenshiko
    My problem is a bit more complex than the title says. Sorry, I don't know how to be more specific... I'm working on a website and I came across a part where I should display some thumbnails. The thing is, the thumbnails are not matching in dimensions. (I know, it sounds ridiculous, since this is thumbnails are for, right?) No, there is simply NO WAY to create them in the same dimensions!! I've managed to create a HTML+CSS structure to fix this problem, and the images are not stretching to fit their containers if they are smaller while keeping their aspect ratio. The only issue remaining, is to center the images. Since setting margin to "0 auto" or "auto 0" are not helping, I've tried setting up multiple containers and setting the margins to position the images. This is also not working: if I put a 120x120 picture in a 120x80 inner container, and I set the container's top and left margin to -50%, the margins become -60px both. Can this be fixed? Or is there yet another way to center images? I'm open to any suggestions! HTML: <div id="roll"> <div class="imgfix"> <div class="outer"> <div class="inner"> @if (ImageDimensionHelper.WhereToAlignImg(item.Width, item.Height, 120, 82) == ImgAlign.Width) <!-- ImageDimensionHelper tells me if the image should fit the container with its width or height. I set the class of the img accordingly. --> { <img class="width" src="@Url.Content(item.URL)" alt="@item.Name"/> } else { <img class="height" src="@Url.Content(item.URL)" alt="@item.Name"/> } </div> </div> </div> </div> CSS: .imgfix{ overflow:hidden; } .imgfix .outer { width:100%; height:100%;} .imgfix .inner { width:100%; height:100%; margin-top:-50%; margin-left:-50%; } /*This div (.inner) gets -60px for both margins every time, regardless of the size of itself, or the image inside it*/ #roll .imgfix { width:120px; height:82px; border: 1px #5b91ba solid; } #roll .imgfix .outer { margin-top:41px; margin-left:60px; } /*since I know specificly what these margins should be, I set them explicitly, because 50% got the wrong size.*/ #roll .imgfix img.width { width:120px; height:auto; margin: auto 0; } #roll .imgfix img.height { height:82px; width:auto; margin: 0 auto; }

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  • Changes to data inside class not being shown when accessed from outside class.

    - by Hypatia
    I have two classes, Car and Person. Car has as one of its members an instance of Person, driver. I want to move a car, while keeping track of its location, and also move the driver inside the car and get its location. However, while this works from inside the class (I have printed out the values as they are calculated), when I try to access the data from main, there's nothing there. I.e. the array position[] ends up empty. I am wondering if there is something wrong with the way I have set up the classes -- could it be a problem of the scope of the object? I have tried simplifying the code so that I only give what is necessary. Hopefully that covers everything that you would need to see. The constructer Car() fills the offset array of driver with nonzero values. class Car{ public: Container(float=0,float=0,float=0); ~Container(); void move(float); void getPosition(float[]); void getDriverPosition(float[]); private: float position[3]; Person driver; float heading; float velocity; }; class Person{ public: Person(float=0,float=0,float=0); ~Person(); void setOffset(float=0,float=0,float=0); void setPosition(float=0,float=0,float=0); void getOffset(float[]); void getPosition(float[]); private: float position[3]; float offset[3]; }; Some of the functions: void Car::move(float time){ float distance = velocity*time; location[0] += distance*cos(PI/2 - heading); location[1] += distance*sin(PI/2 - heading); float driverLocation [3]; float offset[3]; driver->getOffset(offset); for (int i = 0; i < 3; i++){ driverLocation[i] = offset[i] + location[i]; } } void Car::getDriverPosition(float p[]){ driver.getPosition(p); } void Person::getPosition(float p[]){ for (int i = 0; i < 3; i++){ p[i] = position[i]; } } void Person::getOffset(float o[]){ for (int i = 0; i < 3; i++){ o[i] = offset[i]; } } In Main: Car * car = new Car(); car->move(); float p[3]; car->getDriverPosition(p); When I print driverLocation[] inside the move() function, I have actual nonzero values. When I print p[] inside main, all I get are zeros.

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  • jQuery bug when trying to insert partial elements before() / after() ?

    - by RedGlobe
    I'm trying to wrap a div around an element (my 'template' div) by using jQuery's before() and after(). When I try to insert a closing after the selected element, it actually gets placed before the target. Example: <!DOCTYPE html> <html lang="en"> <head> <meta charset="UTF-8" /> <title>Div Wrap</title> <script src="http://code.jquery.com/jquery-1.4.4.min.js"></script> <script> $('document').ready(function() { var beforestr = "<div id=\"wrap\"><div id=\"header\">Top</div><div id=\"page\">"; var afterstr = "</div><div id=\"footer\">Bottom</div></div>"; $('#template').before(beforestr); $('#template').after(afterstr); }); </script> </head> <body> <div id="template"> <h1>Page Title</h1> <p>Pellentesque habitant morbi tristique senectus et netus et malesuada fames ac turpis egestas. Mauris placerat eleifend leo. Quisque sit amet est et sapien ullamcorper pharetra. <script>document.write('This script should still work and might contain variables. Please don\'t recommend concatenation.');</script> Donec non enim in turpis pulvinar facilisis.</p> </div> </body> </html> The result is: <div id="wrap"> <div id="header">Top</div> <div id="page"> </div> </div> <div id="template"> <h1>Page Title</h1> <p>Pellentesque habitant morbi tristique senectus et netus et malesuada fames ac turpis egestas. Mauris placerat eleifend leo. Quisque sit amet est et sapien ullamcorper pharetra. This script should still work and might contain variables. Please don't recommend concatenation. Donec non enim in turpis pulvinar facilisis.</p> </div> <div id="footer">Bottom</div> Why are my closing wrap and page divs getting placed before the target, when I'm trying to place them after() ? Is there an alternative way to accomplish this (keeping in mind I may need to call script functions within the template div)? As I'm sure you're aware, best practices aren't what I'm going for here.

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  • Java: Object Array assignment in for loop

    - by Hackster
    I am trying to use Dijkstra's algorithm to find the shortest path from a specific vertex (v0) to the rest of them. That is solved and works well with this code from this link below: http://en.literateprograms.org/index.php?title=Special:DownloadCode/Dijkstra%27s_algorithm_(Java)&oldid=15444 I am having trouble with assigning the Edge array in a for loop from the user input, as opposed to hard-coding it like it is here. Any help assigning a new edge to Edge[] adjacencies from each vertex? Keeping in mind it could be 1 or multiple edges. class Vertex implements Comparable<Vertex> { public final String name; public Edge[] adjacencies; public double minDistance = Double.POSITIVE_INFINITY; public Vertex previous; public Vertex(String argName) { name = argName; } public String toString() { return name; } public int compareTo(Vertex other){ return Double.compare(minDistance, other.minDistance); } } class Edge{ public final Vertex target; public final double weight; public Edge(Vertex argTarget, double argWeight){ target = argTarget; weight = argWeight; } } public static void main(String[] args) { Vertex v[] = new Vertex[3]; Vertex v[0] = new Vertex("Harrisburg"); Vertex v[1] = new Vertex("Baltimore"); Vertex v[2] = new Vertex("Washington"); v0.adjacencies = new Edge[]{ new Edge(v[1], 1), new Edge(v[2], 3) }; v1.adjacencies = new Edge[]{ new Edge(v[0], 1), new Edge(v[2], 1),}; v2.adjacencies = new Edge[]{ new Edge(v[0], 3), new Edge(v[1], 1) }; Vertex[] vertices = { v0, v1, v2}; /*Three vertices with weight: V0 connects (V1,1),(V2,3) V1 connects (V0,1),(V2,1) V2 connects (V1,1),(V2,3) */ computePaths(v0); for (Vertex v : vertices){ System.out.println("Distance to " + v + ": " + v.minDistance); List<Vertex> path = getShortestPathTo(v); System.out.println("Path: " + path); } } } The above code works well in finding the shortest path from v0 to all the other vertices. The problem occurs when assigning the new edge[] to edge[] adjacencies. For example this does not produce the correct output: for (int i = 0; i < total_vertices; i++){ s = br.readLine(); char[] line = s.toCharArray(); for (int j = 0; j < line.length; j++){ if(j % 4 == 0 ){ //Input: vertex weight vertex weight: 1 1 2 3 int vert = Integer.parseInt(String.valueOf(line[j])); int w = Integer.parseInt(String.valueOf(line[j+2])); v[i].adjacencies = new Edge[] {new Edge(v[vert], w)}; } } } As opposed to this: v0.adjacencies = new Edge[]{ new Edge(v[1], 1), new Edge(v[2], 3) }; How can I take the user input and make an Edge[], to pass it to adjacencies? The problem is it could be 0 edges or many. Any help would be much appreciated Thanks!

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  • Testing for Adjacent Cells In a Multi-level Grid

    - by Steve
    I'm designing an algorithm to test whether cells on a grid are adjacent or not. The catch is that the cells are not on a flat grid. They are on a multi-level grid such as the one drawn below. Level 1 (Top Level) | - - - - - | | A | B | C | | - - - - - | | D | E | F | | - - - - - | | G | H | I | | - - - - - | Level 2 | -Block A- | -Block B- | | 1 | 2 | 3 | 1 | 2 | 3 | | - - - - - | - - - - - | | 4 | 5 | 6 | 4 | 5 | 6 | ... | - - - - - | - - - - - | | 7 | 8 | 9 | 7 | 8 | 9 | | - - - - - | - - - - - | | -Block D- | -Block E- | | 1 | 2 | 3 | 1 | 2 | 3 | | - - - - - | - - - - - | | 4 | 5 | 6 | 4 | 5 | 6 | ... | - - - - - | - - - - - | | 7 | 8 | 9 | 7 | 8 | 9 | | - - - - - | - - - - - | . . . . . . This diagram is simplified from my actual need but the concept is the same. There is a top level block with many cells within it (level 1). Each block is further subdivided into many more cells (level 2). Those cells are further subdivided into level 3, 4 and 5 for my project but let's just stick to two levels for this question. I'm receiving inputs for my function in the form of "A8, A9, B7, D3". That's a list of cell Ids where each cell Id has the format (level 1 id)(level 2 id). Let's start by comparing just 2 cells, A8 and A9. That's easy because they are in the same block. private static RelativePosition getRelativePositionInTheSameBlock(String v1, String v2) { RelativePosition relativePosition; if( v1-v2 == -1 ) { relativePosition = RelativePosition.LEFT_OF; } else if (v1-v2 == 1) { relativePosition = RelativePosition.RIGHT_OF; } else if (v1-v2 == -BLOCK_WIDTH) { relativePosition = RelativePosition.TOP_OF; } else if (v1-v2 == BLOCK_WIDTH) { relativePosition = RelativePosition.BOTTOM_OF; } else { relativePosition = RelativePosition.NOT_ADJACENT; } return relativePosition; } An A9 - B7 comparison could be done by checking if A is a multiple of BLOCK_WIDTH and whether B is (A-BLOCK_WIDTH+1). Either that or just check naively if the A/B pair is 3-1, 6-4 or 9-7 for better readability. For B7 - D3, they are not adjacent but D3 is adjacent to A9 so I can do a similar adjacency test as above. So getting away from the little details and focusing on the big picture. Is this really the best way to do it? Keeping in mind the following points: I actually have 5 levels not 2, so I could potentially get a list like "A8A1A, A8A1B, B1A2A, B1A2B". Adding a new cell to compare still requires me to compare all the other cells before it (seems like the best I could do for this step is O(n)) The cells aren't all 3x3 blocks, they're just that way for my example. They could be MxN blocks with different M and N for different levels. In my current implementation above, I have separate functions to check adjacency if the cells are in the same blocks, if they are in separate horizontally adjacent blocks or if they are in separate vertically adjacent blocks. That means I have to know the position of the two blocks at the current level before I call one of those functions for the layer below. Judging by the complexity of having to deal with mulitple functions for different edge cases at different levels and having 5 levels of nested if statements. I'm wondering if another design is more suitable. Perhaps a more recursive solution, use of other data structures, or perhaps map the entire multi-level grid to a single-level grid (my quick calculations gives me about 700,000+ atomic cell ids). Even if I go that route, mapping from multi-level to single level is a non-trivial task in itself.

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  • Qt: TableWidget's ItemAt() acting weirdly

    - by emredog
    Hi, i'm working on a windows application, where in a dialog i query some data from Postgres, and manually show the output in a table widget. m_ui->tableWidget->setRowCount(joinedData.count()); for(int i=0; i<joinedData.count(); i++) //for each row { m_ui->tableWidget->setItem(i, 0, new QTableWidgetItem(joinedData[i].bobin.referenceNumber)); m_ui->tableWidget->setItem(i, 1, new QTableWidgetItem(QString::number(joinedData[i].bobin.width))); m_ui->tableWidget->setItem(i, 2, new QTableWidgetItem(QString::number(joinedData[i].tolerance.getHole()))); m_ui->tableWidget->setItem(i, 3, new QTableWidgetItem(QString::number(joinedData[i].tolerance.getLessThanZeroFive()))); m_ui->tableWidget->setItem(i, 4, new QTableWidgetItem(QString::number(joinedData[i].tolerance.getZeroFive_to_zeroSeven()))); m_ui->tableWidget->setItem(i, 5, new QTableWidgetItem(QString::number(joinedData[i].tolerance.getZeroFive_to_zeroSeven_repetitive()))); m_ui->tableWidget->setItem(i, 6, new QTableWidgetItem(QString::number(joinedData[i].tolerance.getZeroSeven_to_Three()))); m_ui->tableWidget->setItem(i, 7, new QTableWidgetItem(QString::number(joinedData[i].tolerance.getThree_to_five()))); m_ui->tableWidget->setItem(i, 8, new QTableWidgetItem(QString::number(joinedData[i].tolerance.getMoreThanFive()))); } Also, based on row and column information, i paint some of these tablewidgetitems to some colors, but i don't think it's relevant. I reimplemented the QDialog's contextMenuEvent, to obtain the right clicked tableWidgetItem's row and column coordinates: void BobinFlanView::contextMenuEvent(QContextMenuEvent *event) { QMenu menu(m_ui->tableWidget); //standard actions menu.addAction(this->markInactiveAction); menu.addAction(this->markActiveAction); menu.addSeparator(); menu.addAction(this->exportAction); menu.addAction(this->exportAllAction); //obtain the rightClickedItem QTableWidgetItem* clickedItem = m_ui->tableWidget->itemAt(m_ui->tableWidget->mapFromGlobal(event->globalPos())); // if it's a colored one, add some more actions if (clickedItem && clickedItem->column()>1 && clickedItem->row()>0) { //this is a property, i'm keeping this for a later use this->lastRightClickedItem = clickedItem; //debug purpose: QMessageBox::information(this, "", QString("clickedItem = %1, %2").arg(clickedItem->row()).arg(clickedItem->column())); QMessageBox::information(this, "", QString("globalClick = %1, %2\ntransformedPos = %3, %4").arg(event->globalX()).arg(event->globalY()) .arg(m_ui->tableWidget->mapFromGlobal(event->globalPos()).x()).arg(m_ui->tableWidget->mapFromGlobal(event->globalPos()).y())); menu.addSeparator(); menu.addAction(this->changeSelectedToleranceToUygun); menu.addAction(this->changeSelectedToleranceToUyar); menu.addAction(this->changeSelectedToleranceToDurdurUyar); //... some other irrevelant 'enable/disable' activities menu.exec(event->globalPos()); } The problem is, when i right click on the same item i get the same global coordinates, but randomly different row-column information. For instance, the global pos is exactly 600,230 but row-column pair is randomly (5,3) and (4,3). I mean, what?! Also, when i click to an item from the last to rows (later than 13, i guess) will never go into condition "if (clickedItem && clickedItem-column()1 && clickedItem-row()0)", i think it's mainly because 'clickedItem' is null. I'll be more than glad to share any more information, or even the full cpp-h-ui trio in order to get help. Thanks a lot.

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