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  • using paypals html api is safe?

    - by ajsie
    im trying out paypals html api where you specify price, item_name, customer information and so on in the html: <form action="https://www.paypal.com/cgi-bin/webscr" method="post" id="payPalForm"> <input type="hidden" name="cmd" value="_cart" /> <input type="hidden" name="upload" value="1" /> <input type="hidden" name="no_note" value="1" /> <input type="hidden" name="business" value="[email protected]" /> <input type="hidden" name="currency_code" value="SEK" /> <input type="hidden" name="return" value="http://freelanceswitch.com/payment-complete/" /> <input type="hidden" name="tax_rate" value="25" /> <input type="hidden" name="item_name_1" value="Apple Macpro" /> <input type="hidden" name="item_number_1" value="01 - Product 1" /> <input type="hidden" name="amount_1" value="25000" /> <input type="hidden" name="item_name_2" value="Apple Macbook" /> <input type="hidden" name="item_number_2" value="02 - Product 2" /> <input type="hidden" name="amount_2" value="12500" /> <input type="hidden" name="item_name_3" value="Apple Macbook Air" /> <input type="hidden" name="item_number_3" value="03 - Product 3" /> <input type="hidden" name="amount_3" value="12500" /> <input type="submit" name="Submit" value="Submit" /> </form> when the user clicks submit it takes him/her to paypals payment page. but doesn't this mean that a hacker could change the order by manipulating the html code? i can´t figure out how paypal prevents this security problem.

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  • Facebook og:url ignored in favour of a Facebook hosted page about the og entity

    - by Dan
    I am trying to implement the Like button on my pages. Those pages represent the review page for a product. When a user Likes the page, it shows up in Facebook (not as a link, but as liking an entity), however when you click on the entity in Facebook it links through to a facebook.com hosted page representing the page. I want the user to be redirected to the og:url page? This happens for example when you Like an artist page on Grroveshar: http://grooveshark.com/#!/artist/Elbow/4795 I am clearly "doing it wrong". I am using the following markup to include the SDK. MYAPPID is included by the code generator Facebook provides so I assume it is required. <div id="fb-root"></div> <script>(function(d, s, id) { var js, fjs = d.getElementsByTagName(s)[0]; if (d.getElementById(id)) return; js = d.createElement(s); js.id = id; js.src = "//connect.facebook.net/en_US/all.js#xfbml=1&appId=MYAPPID"; fjs.parentNode.insertBefore(js, fjs); }(document, 'script', 'facebook-jssdk'));</script> Then my code to render the Like button. <div class="fb-like" data-send="false" data-width="450" data-show-faces="true"></div> And finally my og tags: <meta property="og:title" content="My product" /> <meta property="og:type" content="product" /> <meta property="og:url" content="http://site.com/product_1/" /> <meta property="og:image" content="http://site.com/image1.jpg" /> <meta property="og:site_name" content="My-Site-Name.com" /> <meta property="fb:admins" content="MYFACEBOOKID" /> <meta property="fb:app_id" content="MYAPPID" /> Thanks!

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  • Building a custom (dynamic) dataset and grid

    - by marko.ivanovski.nz
    Hi, I'm in the process of building a dynamic table in which you can add/remove rows & columns so it varies in size depending on what the user wants. Its purpose is to store properties for a product, but there can be from 1 to 10 different properties(columns) per product, and multiple instances(rows) of the product as well. Here's a screenshot of what I mean http://i40.tinypic.com/nbqkxc.jpg As you can see I need the structure to be completely up to the client which is where I'm getting stuck. I've started writing a custom DataSet that has "add column" & "add row" buttons, and have built a custom Table with Textboxes in each cell which builds from that dataset. I have no idea how to store the data on submit though, and to make it even more complex I need to store this in the database as a string which I think I can do by converting it to XML. Any help is appreciated, I think I just need a pointer in the right direction and am happy to do research from there. Thanks in advance. Marko

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  • What's next for all of these Microsoft "overlapping" and "enhanced" products ?

    - by pointlesspolitics
    Recently I attended a road show, organised by MS Gold Partner company in the UK. The products discussed were: SharePoint server (2010 and 2007), Exchange server, Office Communication Server 2007, Exchange hosted services Office Live meeting, Office Communicator, System Center Configuration Manager and Operation Manager, VMware, Windows 7 etc. As Microsoft claims the enhancement in the each product against higher version, I felt that clients are not much interested in all these details. For example Office Communicator, surely they have improved a lot the product and first site all said 'WOW' great product, but nobody wish to pay money for all these extra features. Some argued, they are bogged down by all these increased number of menus. They don't need soft call feature included with mobile call. It apply for all other products as well such as MS office (next what 2 ribbons ?), windows OS and many more. Indeed there must be good features in all these products, but is it worth to spend money and time to update the older system ? Also sometimes these feature will decrease the productivity instead increase it. *So do you think what ever enhancement MS is doing in the products is only for selling purpose, not a real use ?? and I think also keep the developer busy learning the new tools and features. * I am sure some some people here will argue that some people need this sort of features. But I am not talking about NASA or MI5 guys. I am talking of usual businesses and joe public. Any ideas welcome.

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  • Grouping a list of of entities which has a sublist in c#

    - by mikei
    I have a set of Entities which basically has this structure. {Stats Name="<Product name> (en)" TotalResources="10" ..} {DayStats Date="2009-12-10" TotalResources="5"} {DayStats Date="2009-12-11" TotalResources="5"} {Stats} {Stats Name="<Product name> (us)" TotalResources="10" ..} {DayStats Date="2009-12-10" TotalResources="5"} {DayStats Date="2009-12-11" TotalResources="5"} {Stats} ... What I wan't to extract from this set is a new set entities (or entity in the example above) where the first level has been grouped by the (ignoring the country label) where all/some of the properties has been summmed together, including the the sublist of {DayStas} on a per day basis. So the result set of the example would look something like this: {Stats Name="<Product name>" TotalResources="20" ..} {DayStats Date="2009-12-10" TotalResources="10"} {DayStats Date="2009-12-11" TotalResources="10"} {Stats} ... So my question is: Is it possible to do this in a more elegant way in LINQ rather than the vanilla "loop-trhough-each-entity-and-compare"-way? And I wan't the set to contain the same type of entities as the original set ({Stats}, {DayStats}), your answer doesn't need to include code for that, I can probably work that out by myself. Just letting you know incase you need to take that into account. (I'm sorry if this question has been discussed before, I tried searching to no avail. I guess my searching skills are fuubar ;)) Merry christmas =)

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  • SQL: How do I INSERT primary key values from two tables INTO a master table.

    - by Stefan
    Hello, I would appreciate some help with an SQL statement I really can't get my head around. What I want to do is fairly simple, I need to take the values from two different tables and copy them into an master table when a new row is inserted into one of the two tables. The problem is perhaps best explained like this: I have three tables, productcategories, regioncategories and mastertable. --------------------------- TABLE: PRODUCTCATEGORIES --------------------------- COLUMNS: CODE | DESCRIPTION --------------------------- VALUES: BOOKS | Books --------------------------- --------------------------- TABLE: REGIONCATEGORIES --------------------------- COLUMNS: CODE | DESCRIPTION --------------------------- VALUES: EU | European Union --------------------------- --------------------------- TABLE: MASTERTABLE --------------------------- COLUMNS: REGION | PRODUCT --------------------------- VALUES: EU | BOOKS --------------------------- I want the values to be inserted like this when a new row is created in either productcategories or regioncategories. New row is created. --------------------------- TABLE: PRODUCTCATEGORIES --------------------------- COLUMNS: CODE | DESCRIPTION --------------------------- VALUES: BOOKS | Books --------------------------- VALUES: DVD | DVDs --------------------------- And a SQL statement copies the new values into the mastertable. --------------------------- TABLE: MASTERTABLE --------------------------- COLUMNS: REGION | PRODUCT --------------------------- VALUES: EU | BOOKS --------------------------- VALUES: EU | DVD --------------------------- The same goes if a row is created in the regioncategories. New row. --------------------------- TABLE: REGIONCATEGORIES --------------------------- COLUMNS: CODE | DESCRIPTION --------------------------- VALUES: EU | European Union --------------------------- VALUES: US | United States --------------------------- Copied to the mastertable. --------------------------- TABLE: MASTERTABLE --------------------------- COLUMNS: REGION | PRODUCT --------------------------- VALUES: EU | BOOKS --------------------------- VALUES: EU | DVD --------------------------- VALUES: US | BOOKS --------------------------- VALUES: US | DVD --------------------------- I hope it makes sense. Thanks, Stefan

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  • Why are my Fluent NHibernate SubClass Mappings generating redundant columns?

    - by Brook
    I'm using Fluent NHibernate 1.x build 694, built against NH 3.0 I have the following entities public abstract class Card { public virtual int Id { get; set; } public virtual string Name { get; set; } public virtual string Description { get; set; } public virtual Product Product { get; set; } public virtual Sprint Sprint { get; set; } } public class Story:Card { public virtual double Points { get; set; } public virtual int Priority { get; set; } public virtual IList<Task> Tasks { get; set; } } And the following mappings public class CardMap:ClassMap<Card> { public CardMap() { Id(c => c.Id) .Index("Card_Id"); Map(c => c.Name) .Length(50) .Not.Nullable(); Map(c => c.Description) .Length(1024) .Not.Nullable(); References(c=>c.Product) .Not.Nullable(); References(c=>c.Sprint) .Nullable(); } } public class StoryMap : SubclassMap<Story> { public StoryMap() { Map(s => s.Points); Map(s => s.Priority); HasMany(s => s.Tasks); } } When I generate my Schema, the tables are created as follows Card --------- Id Name Description Product_id Sprint_id Story ------------ Card_id Points Priority Product_id Sprint_id What I would have expected would have been to see the columns Product_id and Sprint_id ONLY in the Card table, not the Story table. What am I doing wrong or misunderstanding?

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  • POST xml to php with apache2

    - by Berry
    I'm working on an application that receives XML data via POST, processes it with a PHP script, and returns an XML response. I'm getting the XML with this PHP code: $requestStr = file_get_contents('php://input'); $requests = simplexml_load_string($requestStr); which works fine on the Linux-based product hardware using nginx as the server. However, for testing I'd like to be able to run it on my MacBook Pro, so I can avoid the "build image, install on product, reboot product, wait, test change" loop while I do targeted development on this XML processor. I enabled "web sharing" which starts up Apache, added a rewrite rule to point a convenient URI at my development source directory and used curl to send a request to my PHP script thus: curl -H "Content-Type:text/xml" -d @request.xml http://localhost/test/path/testscript "testscript" is handled by the PHP script fine, but when it goes to read "php:://input" I get nothing -- the empty string. Anyone have a clue why this would work under Linux with nginx and not under MacOS with Apache? I've googled and searched stackoverlow.com to no avail. Thanks for any answers. UPDATE: I've discovered that at least in this configuration, reading from php://stdin will work fine, while php://input will not. Who knew?

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  • array or list into Oracle using cfprocparam

    - by Travis
    I have a list of values I want to insert into a table via a stored procedure. I figured I would pass an array to oracle and loop through the array but I don't see how to pass an array into Oracle. I'd pass a list but I don't see how to work with the list to turn it into an array using PL/SQL (I'm fairly new to PL/SQL). Am I approaching this the wrong way? Using Oracle 9i and CF8. TIA! EDIT Perhaps I'm thinking about this the wrong way? I'm sure I'm not doing anything new here... I figured I'd convert the list to an associative array then loop the array because Oracle doesn't seem to work well with lists (in my limited observation). I'm trying to add a product, then add records for the management team. -- product table productName = 'foo' productDescription = 'bar' ... ... etc -- The managementteam table just has the id of the product and id of the users selected from a drop down. The user IDs are passed in via a list like "1,3,6,20" How should I go about adding the records to the management team table?

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

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

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  • I made a horrible loop.... help fix my logic please

    - by Webnet
    I know I'm doing this a bad way... but I'm having trouble seeing any alternatives. I have an array of products that I need to select 4 of randomly. $rawUpsellList is an array of all of the possible upsells based off of the items in their cart. Each value is a product object. I know this is horribly ugly code but I don't see an alternative now.... someone please put me out of my misery so this code doesn't make it to production..... $rawUpsellList = array(); foreach ($tru->global->cart->getItemList() as $item) { $product = $item->getProduct(); $rawUpsellList = array_merge($rawUpsellList, $product->getUpsellList()); } $upsellCount = count($rawUpsellList); $showItems = 4; if ($upsellCount < $showItems) { $showItems = $upsellCount; } $maxLoop = 20; $upsellList = array(); for ($x = 0; $x <= $showItems; $x++) { $key = rand(0, $upsellCount); if (!array_key_exists($key, $upsellList) && is_object($rawUpsellList[$key])) { $upsellList[$key] = $rawUpsellList[$key]; $x++; } if ($x == $maxLoop) { break; } } Posting this code was highly embarassing...

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  • Is it wise to use temporary tables?

    - by Industrial
    Hi guys, We have a mySQL database table for products. We are utilizing a cache layer to reduce database load, but we think that it's a good idea to minimize the actual data needed to be stored in the cache layer to speed up the application further. All the products in the database, that is visible to visitors have a price attached to them: The prices are stored in a different table, called prices . There are multiple price categories depending on which discount level each visitor (customer) applies to. From time to time, there are campaigns which means that a special price for each product is available. The special prices are stored in a table called specials. Is it a bad to make a temp table that binds the tables together? It would only have the neccessary information and would ofcourse be cached. -------------|-------------|------------ | productId | hasPrice | hasSpecial -------------|-------------|------------ 1 | 1 | 0 2 | 1 | 1 By doing such, it would be super easy to know if the specific product really has a price, without having to iterate through the complete prices or specials table each time a product should be listed or presented. Are temp tables a common thing for web applications or is it just bad design?

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  • PHP Regex to match lines with all-caps with occaisional hyphens.

    - by Yaaqov
    I'm trying to to convert an existing PHP Regular Expression match case to apply to a slightly different style of document. Here's the original style of the document: **FOODS - TYPE A** ___________________________________ **PRODUCT** 1) Mi Pueblito Queso Fresco Authentic Mexican Style Fresh Cheese; 2) La Fe String Cheese **CODE** Sell by date going back to February 1, 2009 And the successfully-running PHP Regex match code that only returns "true" if the line is surrounded by asterisks, and stores each side of the "-" as $m[1] and $m[2], respectively. if ( preg_match('#^\*\*([^-]+)(?:-(.*))?\*\*$#', $line, $m) ) { // only for **header - subheader** $m[2] is set. if ( isset($m[2]) ) { return array(TYPE_HEADER, array(trim($m[1]), trim($m[2]))); } else { return array(TYPE_KEY, array($m[1])); } } So, for line 1: $m[1] = "FOODS" AND $m[2] = "TYPE A"; Line 2 would be skipped; Line 3: $m[1] = "PRODUCT", etc. The question: How would I re-write the above regex match if the headers did not have the asterisks, but still was all-caps, and was at least 4 characters long? For example: FOODS - TYPE A ___________________________________ PRODUCT 1) Mi Pueblito Queso Fresco Authentic Mexican Style Fresh Cheese; 2) La Fe String Cheese CODE Sell by date going back to February 1, 2009 Thank you.

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  • Jquery draggable not working in chrome/safari

    - by jbatson
    I have created a page that uses ajax calls to load product images. The jquery code for drag, drop and clone would not work when in the index.php page so I moved it to the page that gets called to request the products as each product has drag, drop code created for it. Works fine in FF, even IE but not in Safari or Chrome. Below is the jquery code in load_products.php that gets created when the ajax call is made to load the products. http://tandyleatherfactory.net/ Anyone have any idea why wouldn't work in Safari? $(function() {$("#concho_4_2").draggable({ helper: 'clone', cursor: 'pointer', zIndex: '1001', stop: function(event, ui) { offsetElement = $(ui.helper).offset(); offNewContainer = $('#belts').offset(); var dataId = $(ui.helper).attr('id'); ajaxRequest('http://tandyleatherfactory.net/includes/ahah/add_product.php', 'product=4', '#conchos'); var randomnumber = Math.floor(Math.random()*1000000); var newId = 'concho_4_2_'+randomnumber; $(ui.helper).clone(true).removeAttr('id').attr('id',newId).css("left", offsetElement.left-offNewContainer.left-10).css("top", offsetElement.top-offNewContainer.top-10).appendTo('#belts'); $('#'+newId).draggable(); } });

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  • Rackspace Cloud rewrite jpg causes Session reset

    - by willoller
    This may be the .Net version of this question. I have an image script with the following: ... Response.WriteFile(filename); Response.End(); I am rewriting .jpg files using the following rewrite rule in web.config: <rule name="Image Redirect" stopProcessing="true"> <match url="^product-images/(.*).jpg" /> <conditions> <add input="{REQUEST_URI}" pattern="\.(jp?g|JP?G)$" /> </conditions> <action type="Redirect" redirectType="SeeOther" url="/product-images/ProductImage.aspx?path=product-images/{tolower:{R:1}}.jpg" /> </rule> It basically just rewrites the image path into a query parameter. The problem is that (intermittently of course) Mosso returns a new Asp Session cookie which breaks the whole world. Directly accessing a static .jpg file does not cause this problem. Directly accessing the image script does not cause it either. Only rewriting a .jpg file to the .aspx script causes the Session loss. Things I have tried (From the Rackspace doc How can I bypass the cache?) I added Private cacheability to the image script itself: Response.Cache.SetCacheability(HttpCacheability.Private); I tried adding these cache-disabling nodes to web.config: <staticContent> <clientCache cacheControlMode="DisableCache" /> </staticContent> and <httpProtocol> <customHeaders> <add name="Cache-Control private" value="Cache-Control private" </customHeaders> </httpProtocol> The Solution I need The browser cache cannot be disabled. This means potential solutions involving Cache.SetNoStore() or HttpCacheability.NoCache will not work.

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  • SQL Query to duplicate records based on If statement

    - by user328371
    Hi, I'm trying to write an SQL query that will duplicate records depending on a field in another table. I am running mySQL 5. (I know duplicating records shows that the database structure is bad, but I did not design the database and am not in a position to redo it all - it's a shopp ecommerce database running on wordpress.) Each product with a particular attribute needs a link to the same few images, so the product will need a row per image in a table - the database doesn't actually contain the image, just its filename. (the images are of clipart for a customer to select from) Based on these records... SELECT * FROM `wp_shopp_spec` WHERE name='Can Be Personalised' and content='Yes' I want to do something like this.. For each record that matches that query, copy records 5134 - 5139 from wp_shopp_asset but change the id so it's unique and set the cell in column 'parent' to have the value of 'product' from the table wp_shopp_spec. This will mean 6 new records are created for each record matching the above query, all with the same value in 'parent' but with unique ids and every other column copied from the original (ie. records 5134-5139) Hope that's clear enough - any help greatly appreciated.

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  • python add two list and createing a new list

    - by Adam G.
    lst1 = ['company1,AAA,7381.0 ', 'company1,BBB,-8333.0 ', 'company1,CCC, 3079.999 ', 'company1,DDD,5699.0 ', 'company1,EEE,1640.0 ', 'company1,FFF,-600.0 ', 'company1,GGG,3822.0 ', 'company1,HHH,-600.0 ', 'company1,JJJ,-4631.0 ', 'company1,KKK,-400.0 '] lst2 =['company1,AAA,-4805.0 ', 'company1,ZZZ,-2576.0 ', 'company1,BBB,1674.0 ', 'company1,CCC,3600.0 ', 'company1,DDD,1743.998 '] output I need == ['company1,AAA,2576.0','company1,ZZZ,-2576.0 ','company1,KKK,-400.0 ' etc etc] I need to add it similar product number in each list and move it to a new list. I also need any symbol not being added together to be added to that new list. I am having problems with moving through each list. This is what I have: h = [] z = [] a = [] for g in hhl: spl1 = g.split(",") h.append(spl1[1]) for j in c_hhl: spl2 = j.split(",") **if spl2[1] in h: converted_num =(float(spl2[2]) +float(spl1[2])) pos=('{0},{1},{2}'.format(spl2[0],spl2[1],converted_num)) z.append(pos)** else: pos=('{0},{1},{2}'.format(spl2[0],spl2[1],spl2[2])) z.append(pos) for f in z: spl3 = f.split(",") a.append(spl3[1]) for n in hhl[:]: spl4 = n.split(",") if spl4[1] in a: got = (spl4[0],spl4[1],spl4[2]) hhl.remove(n) smash = hhl+z #for i in smash: for i in smash: print(i) I am having problem iterating through the list to make sure I get all of the simliar product to a new list,(bold) and any product not in list 1 but in lst2 to the new list and vice versa. I am sure there is a much easier way.

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  • Keeping dates in order when using date_select and discarding year in Rails?

    - by MikeH
    My app has users who have seasonal products. When a user selects a product, we allow him to also select the product's season. We accomplish this by letting him select a start date and an end date for each product. We're using date_select to generate two sets of drop-downs: one for the start date and one for the end date. Including years doesn't make sense for our model. So we're using the option: discard_year => true To explain our problem, consider that our products are apples. Vendor X carries apples every year from September to January. Years are irrelevant here, and that's why we're using discard_year => true. However, while the specific years are irrelevant, the relative point in time from the start date to the end date is relevant. This is where our problem arises. When you use discard_year => true, Rails does set a year in the database, it just doesn't appear in the views. Rails sets all the years to 0001 in our app. Going back to our apple example, this means that the database now thinks the user has selected September 0001 to January 0001. This is a problem for us for a number of reasons. To solve this, the logic that I need to implement is the following: - If season_start month/date is before season_end month/date, then standard Rails approach is fine. - But, if season_start month/date is AFTER season_end month/date, then I need to dynamically update the database field such that the year for season_end is equal to the year for season_start + 1. My best guess is that I would create a custom method that runs as an after_save or after_update in my products model. But I'm not really sure how to do this. Ideas? Anybody ever had this issue? Thanks!

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  • Codeigniter - accessing variables from an array passed into a page.

    - by Matt
    Hello, I have a controller with an index function as follows: function index() { $this->load->model('products_model'); $data['product'] = $this->products_model->get(3); // 3 = product id $data['product_no'] = 3; $data['main_content'] = 'product_view'; //print_r($data['products']); $this->load->view('includes/template', $data); } This is the get function in the products_model file function get($id) { $results = $this->db->get_where('products', array('id' => $id))->result(); //get the first item $result = $results[0]; return $result; } The products table contains fields such as name, price etc. Please can you tell me how to output variables from $data['product'] after it is passed into the view? I have tried so many things but nothing is working, even though the print_r (commented out) shows the data - it is not being passed into the view. I thought it may have been because the view calls a template file which references the main_content variable: Template file contents: <?php $this->load->view('includes/header'); ?> <?php $this->load->view($main_content); ?> <?php $this->load->view('includes/footer'); ?> but i tried creating a flat view file and still couldn't access the variables. Many thanks,

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  • Is dependency injection only for service type objects and singletons? (and NOT for gui?)

    - by sensui
    I'm currently experimenting with the Google's guice inversion of control container. I previously had singletons for just about any service (database, active directory) my application used. Now I refactored the code: all the dependencies are given as parameters to constructors. So far, so good. Now the hardest part is with the graphical user interface. I face this problem: I have a table (JTable) of products wrapped in an ProductFrame. I give the dependencies as parameters (EditProductDialog). @Inject public ProductFrame(EditProductDialog editProductDialog) { // ... } // ... @Inject public EditProductDialog(DBProductController productController, Product product) { // ... } The problem is that guice can't know what Product I have selected in the table, so it can't know what to inject in the EditProductDialog. Dependency Injection is pretty viral (if I modify one class to use dependency injection I also need to modify all the other classes it interacts with) so my question is should I directly instantiate EditProductDialog? But then I would have to pass manually the DBProductController to the EditProductDialog and I will also need to pass it to the ProductFrame and all this boils down to not using dependency injection at all. Or is my design flawed and because of that I can't really adapt the project to dependecy injection? Give me some examples of how you used dependency injection with the graphical user interface. All the examples found on the Internet are really simple examples where you use some services (mostly databases) with dependency injection.

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  • Implicit Type Conversions in Reflection

    - by bradhe
    So I've written a quick bit of code to help quickly convert between business objects and view models. Not to pimp my own blog, but you can find the details here if you're interested or need to know. One issue I've run in to is that I have a custom collection type, ProductCollection, and I need to turn that in to a string[] in on my model. Obviously, since there is no default implicit cast, I'm getting an exception in my contract converter. So, I thought I would write the next little bit of code and that should solve the problem: public static implicit operator string[](ProductCollection collection) { var list = new List<string>(); foreach (var product in collection) { if (product.Id == null) { list.Add(null); } else { list.Add(product.Id.ToString()); } } return list.ToArray(); } However, it still fails with the same cast exception. I'm wondering if it has something to do with being in reflection? If so, is there anything that I can do here?? I'm open to architectural solutions, too!

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  • How do I make a serialization class for this?

    - by chobo2
    I have something like this (sorry for the bad names) <root xmlns="http://www.domain.com" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.Domain.com Schema.xsd> <product></product> <SomeHighLevelElement> <anotherElment> <lowestElement> </lowestElement> </anotherElment> </SomeHighLevelElement> </root> I have something like this for my class public class MyClass { public MyClass() { ListWrapper= new List<UserInfo>(); } public string product{ get; set; } public List<SomeHighLevelElement> ListWrapper{ get; set; } } public class SomeHighLevelElement { public string lowestElement{ get; set; } } But I don't know how to write the code for the "anotherElement" not sure if I have to make another wrapper around it. Edit I know get a error in my actual xml file. I have this in my tag xmlns="http://www.domain.com" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.Domain.com Schema.xsd Throws an exception on the root line saying there was a error with this stuff. So I don't know if it is mad at the schemaLocation since I am using local host right now or what.

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  • connecting to secure database on private network from website host

    - by jim
    Hello all, I've got a requirement to both read and write data via a .net webservice to a sqlserver database that's on a private network. this database is currently accessed via a vpn connection by remote client software (on standard desktop machines) to get latest product prices and to upload product stock sales. I've been tasked with finding a way to centralise this access from a webservice that the clients then access, rather than them using the vpn route to connect directly to the database. My question is related to my .net service's relationship to the sqlserver database. What are the options for connecting to a private network vpn from a domain host in order to achive the functionality of allowing the webservice to both read and write data to the database. For now, I'm not too concerned about the client connectivity and security (tho i appreciate that this will have to be worked out too), I'm really just interested in discovering the options available in order to allow my .net webservice to connect to the private network in as painless and transparent a way as posible. [edit] the webservice will also be available to the retail website in order for it to lookup product info as well as allocate stock transfers to the same sqlserver db. it will therefore be located on the same domain as the retail site The option of switching the database onto public hosting is not feasible, so I have to work with the scenario as described above for now, unless there's a compelling rationale presented to do otherwise. thanks all... jim

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  • Is there anything bad in declaring static inner class inside interface in java?

    - by Roman
    I have an interface ProductService with method findByCriteria. This method had a long list of nullable parameters, like productName, maxCost, minCost, producer and so on. I refactored this method by introducing Parameter Object. I created class SearchCriteria and now method signature looks like this: findByCriteria (SearchCriteria criteria) I thought that instances of SearchCriteria are only created by method callers and are only used inside findByCriteria method, i.e.: void processRequest() { SearchCriteria criteria = new SearchCriteria () .withMaxCost (maxCost) ....... .withProducer (producer); List<Product> products = productService.findByCriteria (criteria); .... } and List<Product> findByCriteria(SearchCriteria criteria) { return doSmthAndReturnResult(criteria.getMaxCost(), criteria.getProducer()); } So I did not want to create separate public class for SearchCriteria and put it inside ProductServiceInterface: public interface ProductService { List<Product> findByCriteria (SearchCriteria criteria); static class SearchCriteria { ... } } Is there anything bad in this interface? Where whould you place SearchCriteria class?

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  • Recommendations for Continuous integration for Mercurial/Kiln + MSBuild + MSTest

    - by TDD
    We have our source code stored in Kiln/Mercurial repositories; we use MSBuild to build our product and we have Unit Tests that utilize MSTest (Visual Studio Unit Tests). What solutions exist to implement a continuous integration machine (i.e. Build machine). The requirements for this are: A build should be kicked of when necessary (i.e. code has changed in the Repositories we care about) Before the actual build, the latest version of the source code must be acquired from the repository we are building from The build must build the entire product The build must build all Unit Tests The build must execute all unit tests A summary of success/failure must be sent out after the build has finished; this must include information about the build itself but also about which Unit Tests failed and which ones succeeded. The summary must contain which changesets were in this build that were not yet in the previous successful (!) build The system must be configurable so that it can build from multiple branches(/Repositories). Ideally, this system would run on a single box (our product isn't that big) without any server components. What solutions are currently available? What are their pros/cons? From the list above, what can be done and what cannot be done? Thanks

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