Search Results

Search found 3283 results on 132 pages for 'aspect oriented'.

Page 114/132 | < Previous Page | 110 111 112 113 114 115 116 117 118 119 120 121  | Next Page >

  • Database abstraction/adapters for ruby

    - by Stiivi
    What are the database abstractions/adapters you are using in Ruby? I am mainly interested in data oriented features, not in those with object mapping (like active record or data mapper). I am currently using Sequel. Are there any other options? I am mostly interested in: simple, clean and non-ambiguous API data selection (obviously), filtering and aggregation raw value selection without field mapping: SELECT col1, col2, col3 = [val1, val2, val3] not hash of { :col1 = val1 ...} API takes into account table schemas 'some_schema.some_table' in a consistent (and working) way; also reflection for this (get schema from table) database reflection: get list of table columns, their database storage types and perhaps adaptor's abstracted types table creation, deletion be able to work with other tables (insert, update) in a loop enumerating selection from another table without requiring to fetch all records from table being enumerated Purpose is to manipulate data with unknown structure at the time of writing code, which is the opposite to object mapping where structure or most of the structure is usually well known. I do not need the object mapping overhead. What are the options, including back-ends for object-mapping libraries?

    Read the article

  • Communicating with all network computers regardless of IP address

    - by Stephen Jennings
    I'm interested in finding a way to enumerate all accessible devices on the local network, regardless of their IP address. For example, in a 192.168.1.X network, if there is a computer with a 10.0.0.X IP address plugged into the network, I want to be able to detect that rogue computer and preferrably communicate with it as well. Both computers will be running this custom software. I realize that's a vague description, and a full solution to the problem would be lengthy, so I'm really looking for help finding the right direction to go in ("Look into using class XYZ and ABC in this manner") rather than a full implementation. The reason I want this is that our company ships imaged computers to thousands of customers, each of which have different network settings (most use the same IP scheme, but a large percentage do not, and most do not have DHCP enabled on their networks). Once the hardware arrives, we have a hard time getting it up on the network, especially if the IP scheme doesn't match, since there is no one technically oriented on-site. Ideally, I want to design some kind of console to be used from their main workstation which looks out on the network, finds all computers running our software, displays their current IP address, and allows you to change the IP. I know it's possible to do this because we sell a couple pieces of custom hardware which have exactly this capability (plug the hardware in anywhere and view it from another computer regardless of IP), but I'm hoping it's possible to do in .NET 2.0, but I'm open to using .NET 3.5 or P/Invoke if I have to.

    Read the article

  • C++ Program Flow: Sockets in an Object and the Main Function

    - by jfm429
    I have a rather tricky problem regarding C++ program flow using sockets. Basically what I have is this: a simple command-line socket server program that listens on a socket and accepts one connection at a time. When that connection is lost it opens up for further connections. That socket communication system is contained in a class. The class is fully capable of receiving the connections and mirroring the data received to the client. However, the class uses UNIX sockets, which are not object-oriented. My problem is that in my main() function, I have one line - the one that creates an instance of that object. The object then initializes and waits. But as soon as a connection is gained, the object's initialization function returns, and when that happens, the program quits. How do I somehow wait until this object is deleted before the program quits? Summary: main() creates instance of object Object listens Connection received Object's initialization function returns main() exits (!) What I want is for main() to somehow delay until that object is finished with what it's doing (aka it will delete itself) before it quits. Any thoughts?

    Read the article

  • Refactoring code/consolidating functions (e.g. nested for-loop order)

    - by bmay2
    Just a little background: I'm making a program where a user inputs a skeleton text, two numbers (lower and upper limit), and a list of words. The outputs are a series of modifications on the skeleton text. Sample inputs: text = "Player # likes @." (replace # with inputted integers and @ with words in list) lower = 1 upper = 3 list = "apples, bananas, oranges" The user can choose to iterate over numbers first: Player 1 likes apples. Player 2 likes apples. Player 3 likes apples. Or words first: Player 1 likes apples. Player 1 likes bananas. Player 1 likes oranges. I chose to split these two methods of outputs by creating a different type of dictionary based on either number keys (integers inputted by the user) or word keys (from words in the inputted list) and then later iterating over the values in the dictionary. Here are the two types of dictionary creation: def numkey(dict): # {1: ['Player 1 likes apples', 'Player 1 likes...' ] } text, lower, upper, list = input_sort(dict) d = {} for num in range(lower,upper+1): l = [] for i in list: l.append(text.replace('#', str(num)).replace('@', i)) d[num] = l return d def wordkey(dict): # {'apples': ['Player 1 likes apples', 'Player 2 likes apples'..] } text, lower, upper, list = input_sort(dict) d = {} for i in list: l = [] for num in range(lower,upper+1): l.append(text.replace('#', str(num)).replace('@', i)) d[i] = l return d It's fine that I have two separate functions for creating different types of dictionaries but I see a lot of repetition between the two. Is there any way I could make one dictionary function and pass in different values to it that would change the order of the nested for loops to create the specific {key : value} pairs I'm looking for? I'm not sure how this would be done. Is there anything related to functional programming or other paradigms that might help with this? The question is a little abstract and more stylistic/design-oriented than anything.

    Read the article

  • OptimisticLockException in inner transaction ruins outer transaction

    - by Pace
    I have the following code (OLE = OptimisticLockException)... public void outer() { try { middle() } catch (OLE) { updateEntities(); outer(); } } @Transactional public void middle() { try { inner() } catch (OLE) { updateEntities(); middle(); } @Transactional public void inner() { //Do DB operation } inner() is called by other non-transactional methods which is why both middle() and inner() are transactional. As you can see, I deal with OLEs by updating the entities and retrying the operation. The problem I'm having is that when I designed things this way I was assuming that the only time one could get an OLE was when a transaction closed. This is apparently not the case as the call to inner() is throwing an OLE even when the stack is outer()->middle()->inner(). Now, middle() is properly handling the OLE and the retry succeeds but when it comes time to close the transaction it has been marked rollbackOnly by Spring. When the middle() method call finally returns the closing aspect throws an exception because it can't commit a transaction marked rollbackOnly. I'm uncertain what to do here. I can't clear the rollbackOnly state. I don't want to force create a transaction on every call to inner because that kills my performance. Am I missing something or can anyone see a way I can structure this differently? EDIT: To clarify what I'm asking, let me explain my main question. Is it possible to catch and handle OLE if you are inside of an @Transactional method? FYI: The transaction manager is a JpaTransactionManager and the JPA provider is Hibernate.

    Read the article

  • How to do drag-n-drop and resize on an image using jQuery?

    - by Scott
    How do I resize and image using jQuery but keep its aspect ratio the same? <!DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.1//EN" "http://www.w3.org/TR/xhtml11/DTD/xhtml11.dtd"> <html xmlns="http://www.w3.org/1999/xhtml" xml:lang="en"> <head> <title>CrossSlide - A jQuery plugin to create pan and cross-fade animations</title> <link href="http://ajax.googleapis.com/ajax/libs/jqueryui/1.8/themes/base/jquery-ui.css" rel="stylesheet" type="text/css"/> <script src="http://ajax.googleapis.com/ajax/libs/jquery/1.4/jquery.min.js"></script> <script src="http://ajax.googleapis.com/ajax/libs/jqueryui/1.8/jquery-ui.min.js"></script> </head> <body> <style type="text/css"> #resizebleImage { background: silver; } </style> <script type="text/javascript"> $(document).ready(function(){ $("#resizebleImage").resizable().parent().draggable(); }); </script> <img id="resizebleImage" src="http://images.askmen.com/galleries/singer/gloria-estefan/pictures/gloria-estefan-picture-4.jpg"> </body> </html>

    Read the article

  • Using pointers to adjust global objects in objective-c

    - by Rob
    Ok, so I am working with two sets of data that are extremely similar, and at the same time, these data sets are both global NSMutableArrays within the object. data_set_one = [[NSMutableArray alloc] init]; data_set_two = [[NSMutableArray alloc] init]; Two new NSMutableArrays are loaded, which need to be added to the old, existing data. These Arrays are also global. xml_dataset_one = [[NSMutableArray alloc] init]; xml_dataset_two = [[NSMutableArray alloc] init]; To reduce code duplication (and because these data sets are so similar) I wrote a void method within the class to handle the data combination process for both Arrays: -(void)constructData:(NSMutableArray *)data fromDownloadArray:(NSMutableArray *)down withMatchSelector:(NSString *)sel_str Now, I have a decent understanding of object oriented programming, so I was thinking that if I were to invoke the method with the global Arrays in the data like so... [self constructData:data_set_one fromDownloadArray:xml_dataset_one withMatchSelector:@"id"]; Then the global NSMutableArrays (data_set_one) would reflect the changes that happen to "array" within the method. Sadly, this is not the case, data_set_one doesn't reflect the changes (ex: new objects within the Array) outside of the method. Here is a code snippet of the problem // data_set_one is empty // xml_dataset_one has a few objects [constructData:(NSMutableArray *)data_set_one fromDownloadArray:(NSMutableArray *)xml_dataset_one withMatchSelector:(NSString *)@"id"]; // data_set_one should now be xml_dataset_one, but when echoed to screen, it appears to remain empty And here is the gist of the code for the method, any help is appreciated. -(void)constructData:(NSMutableArray *)data fromDownloadArray:(NSMutableArray *)down withMatchSelector:(NSString *)sel_str { if ([data count] == 0) { data = down; // set data equal to downloaded data } else if ([down count] == 0) { // download yields no results, do nothing } else { // combine the two arrays here } } This project is not ARC enabled. Thanks for the help guys! Rob

    Read the article

  • Abstract factory pattern on top of IoC?

    - by Sergei
    I have decided to use IoC principles on a bigger project. However, i would like to get something straight that's been bothering me for a long time. The conclusion that i have come up with is that an IoC container is an architectural pattern, not a design pattern. In other words, no class should be aware of its presence and the container itself should be used at the application layer to stitch up all components. Essentially, it becomes an option, on top of a well designed object-oriented model. Having said that, how is it possible to access resolved types without sprinkling IoC containers all over the place (regardless of whether they are abstracted or not)? The only option i see here is to utilize abstract factories which use an IoC container to resolve concrete types. This should be easy enough to swap out for a set of standard factories. Is this a good approach? Has anyone on here used it and how well did it work for you? Is there anything else available? Thanks!

    Read the article

  • What makes an effective UI for displaying versioning of structured hierarchical data

    - by Fadrian Sudaman
    Traditional version control system are displaying versioning information by grouping Projects-Folders-Files with Tree view on the left and details view on the right, then you will click on each item to look at revision history for that configuration history. Assuming that I have all the historical versioning information available for a project from Object-oriented model perspective (e.g. classes - methods - parameters and etc), what do you think will be the most effective way to present such information in UI so that you can easily navigate and access the snapshot view of the project and also the historical versioning information? Put yourself in the position that you are using a tool like this everyday in your job like you are currently using SVN, SS, Perforce or any VCS system, what will contribute to the usability, productivity and effectiveness of the tool. I personally find the classical way for display folders and files like above are very restrictive and less effective for displaying deep nested logical models. Assuming that this is a greenfield project and not restricted by specific technology, how do you think I should best approach this? I am looking for idea and input here to add values to my research project. Feel free to make any suggestions that you think is valuable. Thanks again for anyone that shares their thoughts.

    Read the article

  • Program structure in long running data processing python script

    - by fmark
    For my current job I am writing some long-running (think hours to days) scripts that do CPU intensive data-processing. The program flow is very simple - it proceeds into the main loop, completes the main loop, saves output and terminates: The basic structure of my programs tends to be like so: <import statements> <constant declarations> <misc function declarations> def main(): for blah in blahs(): <lots of local variables> <lots of tightly coupled computation> for something in somethings(): <lots more local variables> <lots more computation> <etc., etc.> <save results> if __name__ == "__main__": main() This gets unmanageable quickly, so I want to refactor it into something more manageable. I want to make this more maintainable, without sacrificing execution speed. Each chuck of code relies on a large number of variables however, so refactoring parts of the computation out to functions would make parameters list grow out of hand very quickly. Should I put this sort of code into a python class, and change the local variables into class variables? It doesn't make a great deal of sense tp me conceptually to turn the program into a class, as the class would never be reused, and only one instance would ever be created per instance. What is the best practice structure for this kind of program? I am using python but the question is relatively language-agnostic, assuming a modern object-oriented language features.

    Read the article

  • Move camera to fit 3D scene

    - by Burre
    Hi there. I'm looking for an algorithm to fit a bounding box inside a viewport (in my case a DirectX scene). I know about algorithms for centering a bounding sphere in a orthographic camera but would need the same for a bounding box and a perspective camera. I have most of the data: I have the up-vector for the camera I have the center point of the bounding box I have the look-at vector (direction and distance) from the camera point to the box center I have projected the points on a plane perpendicular to the camera and retrieved the coefficients describing how much the max/min X and Y coords are within or outside the viewing plane. Problems I have: Center of the bounding box isn't necessarily in the center of the viewport (that is, it's bounding rectangle after projection). Since the field of view "skew" the projection (see http://en.wikipedia.org/wiki/File:Perspective-foreshortening.svg) I cannot simply use the coefficients as a scale factor to move the camera because it will overshoot/undershoot the desired camera position How do I find the camera position so that it fills the viewport as pixel perfect as possible (exception being if the aspect ratio is far from 1.0, it only needs to fill one of the screen axis)? I've tried some other things: Using a bounding sphere and Tangent to find a scale factor to move the camera. This doesn't work well, because, it doesn't take into account the perspective projection, and secondly spheres are bad bounding volumes for my use because I have a lot of flat and long geometries. Iterating calls to the function to get a smaller and smaller error in the camera position. This has worked somewhat, but I can sometimes run into weird edge cases where the camera position overshoots too much and the error factor increases. Also, when doing this I didn't recenter the model based on the position of the bounding rectangle. I couldn't find a solid, robust way to do that reliably. Help please!

    Read the article

  • Architecture for database analytics

    - by David Cournapeau
    Hi, We have an architecture where we provide each customer Business Intelligence-like services for their website (internet merchant). Now, I need to analyze those data internally (for algorithmic improvement, performance tracking, etc...) and those are potentially quite heavy: we have up to millions of rows / customer / day, and I may want to know how many queries we had in the last month, weekly compared, etc... that is the order of billions entries if not more. The way it is currently done is quite standard: daily scripts which scan the databases, and generate big CSV files. I don't like this solutions for several reasons: as typical with those kinds of scripts, they fall into the write-once and never-touched-again category tracking things in "real-time" is necessary (we have separate toolset to query the last few hours ATM). this is slow and non-"agile" Although I have some experience in dealing with huge datasets for scientific usage, I am a complete beginner as far as traditional RDBM go. It seems that using column-oriented database for analytics could be a solution (the analytics don't need most of the data we have in the app database), but I would like to know what other options are available for this kind of issues.

    Read the article

  • Java Executor: Small tasks or big ones?

    - by Arash Shahkar
    Consider one big task which could be broken into hundreds of small, independently-runnable tasks. To be more specific, each small task is to send a light network request and decide upon the answer received from the server. These small tasks are not expected to take longer than a second, and involve a few servers in total. I have in mind two approaches to implement this using the Executor framework, and I want to know which one's better and why. Create a few, say 5 to 10 tasks each involving doing a bunch of send and receives. Create a single task (Callable or Runnable) for each send & receive and schedule all of them (hundreds) to be run by the executor. I'm sorry if my question shows that I'm lazy to test these and see for myself what's better (at least performance-wise). My question, while looking after an answer to this specific case, has a more general aspect. In situations like these when you want to use an executor to do all the scheduling and other stuff, is it better to create lots of small tasks or to group those into a less number of bigger tasks?

    Read the article

  • Boost Property_Tree iterators, how to handle them?

    - by Andry
    Hello... I am sorry but I asked a question about the same argument before, but my problem concerns another aspect of the one described in that question (How to iterate a boost...). My problem is this, take a look at the following code: #include <iostream> #include <string> #include <boost/property_tree/ptree.hpp> #include <boost/property_tree/xml_parser.hpp> #include <boost/algorithm/string/trim.hpp> int main(int argc, char** argv) { using boost::property_tree::ptree; ptree pt; read_xml("try.xml", pt); ptree::const_iterator end = pt.end(); for (ptree::const_iterator it = pt.begin(); it != end; it++) std::cout << "Here " << it->? << std::endl; } Well, as told me in the previous question, there is the possibility to use iterators on property_tree in Boost, but I do not know what type it is... and what methods or properties I can use... Well, I assume that it must be another ptree or something representing another xml hierarchy to be browsed again (if I want) but documentation about this is very bad... I do not know why, but in boost docs I cannot find nothing good about this... just something about a macro to browse nodes, but this approach is one I would really like to avoid... Well, the question is so... Once getting the iterator on a ptree, how can I access node name, value, parameters (a node in a xml file)? Thankyou

    Read the article

  • jQuery Looking for a function to equalize heights of divs based on tallest image in a table.

    - by Jamie
    I am doing a site that will have a table with a bunch of images in them. They are user added images so I have no control over aspect ratio, what I do have control over is I can the force a max height/width and the image will not exceed this in either direction, but the height can (and will) fluctuate. <table class="pl_upload"> <tr class="row1"> <td class="col1"> <div> <div class="img-container"> <a href="#"><img src="img.jpg" width="182" alt="X" /></a> </div> </div> </td> ....... What I need ideally is to get the height of the tallest image and then make the all of the children divs the same height based on the height of the tallest one. I hope that makes sense, been a long day. I made a jsfiddle page for it here: http://jsfiddle.net/Evolution/27EJB/

    Read the article

  • Are there any downsides in using C++ for network daemons?

    - by badcat
    Hey guys! I've been writing a number of network daemons in different languages over the past years, and now I'm about to start a new project which requires a new custom implementation of a properitary network protocol. The said protocol is pretty simple - some basic JSON formatted messages which are transmitted in some basic frame wrapping to have clients know that a message arrived completely and is ready to be parsed. The daemon will need to handle a number of connections (about 200 at the same time) and do some management of them and pass messages along, like in a chat room. In the past I've been using mostly C++ to write my daemons. Often with the Qt4 framework (the network parts, not the GUI parts!), because that's what I also used for the rest of the projects and it was simple to do and very portable. This usually worked just fine, and I didn't have much trouble. Being a Linux administrator for a good while now, I noticed that most of the network daemons in the wild are written in plain C (of course some are written in other languages, too, but I get the feeling that 80% of the daemons are written in plain C). Now I wonder why that is. Is this due to a pure historic UNIX background (like KISS) or for plain portability or reduction of bloat? What are the reasons to not use C++ or any "higher level" languages for things like daemons? Thanks in advance! Update 1: For me using C++ usually is more convenient because of the fact that I have objects which have getter and setter methods and such. Plain C's "context" objects can be a real pain at some point - especially when you are used to object oriented programming. Yes, I'm aware that C++ is a superset of C, and that C code is basically C++. But that's not the point. ;)

    Read the article

  • Is it possible in Perl to require a subroutine call is made?

    - by MitchelWB
    I don't know enough about Perl to even know what I'm asking for exactly, but I'm writing a series of subroutines to be available for many individual scripts that all process different incoming flat files. The process is far from perfect, but it's what I've got to deal with and I'm trying to build myself a small library of subs that make it easier for me to manage it all. Each script handles a different incoming flat file with it's own formatting, sorting, grouping and outputting requirements. One common aspect is that we have small text files that house counters that are used to name the output files so that we have no duplicate file names. Because the processing of the data is different for each file, I need to open the file to get my counter value, because this is a common operation, I'd like to put it in a sub to retrieve the counter. But then need to write specific code to process the data. And would like a second sub that allows me to update the counter with the counter once I've processed the data. Is there a way to make the second sub call a requirement if the first one is called? Ideally if it could even be an error that would prevent the script from running at all much like a syntax error. EDIT: Here is a little [ugly and simplified] psuedo-code to give a better feel for what the current process is: require "importLibrary.plx"; #open data source file open DataIn, $filename; #call getCounterInfo from importLibrary.plx to get the counter value from counter file $counter = &getCounterInfo($counterFileName); while (<DataIn>) { #Process data based on unique formatting and requirements #output to task files based on requirements and name files using the $counter #increment $counter } #update counter file with new value of $counter &updateCounterInfo($counter);

    Read the article

  • How difficult is it for an old-school programmer to pick up an FPGA kit and make something useful wi

    - by JUST MY correct OPINION
    I'm an old, old, old coder. (How old? I've used paper tape in anger.) I've programmed in a lot of languages and under a lot of paradigms (spaghetti, structured, object-oriented, functional and a smattering of logical). I'm getting bored. FPGAs look interesting to me. I have the crazy notion of resurrecting some of the ancient hardware I worked on in the days using FPGAs. I know this can be done because I've seen PDP-10 and PDP-11 implementations in FPGAs. I'd like to do the same for a few machines that are perhaps not as popular as those two, however. While I am an old, old coder, what I am not is an electronics or computer systems engineer. I'll be learning from scratch if I go down this path. My question, therefore, is two-fold: How difficult will it be for this old dinosaur to pick up and learn FPGAs to the point that interesting (not necessarily practical -- more from a hobbyist perspective) projects can be made? What should I start with learning-wise to go down this path? I know where to get FPGA kits, but I haven't found anything like "FPGAs for Complete Dinosaurs" yet anywhere out there.

    Read the article

  • About Interview structure for test automation lab developers

    - by Ikaso
    Hi, I am interviewing new applicants for a team that is doing test automation on our company product(s). The team is composed of junior software developers and a team leader. The product runs on windows and has both managed and unmanaged parts. The test automation is done on both client side (user mode and kernel mode) and server side (IIS, Windows Services, backend). We are doing mainly intergration tests and black box tests. I am trying to figure out how to organize my interview. My overall idea is to ask about a project they have done, then ask some technical questions (multithreading, GC, design patterns) and one programming question. Please note that there is another interview done before me with 2 programming questions. My programming question is rather simple (for example: reversing a singly-linked linked list). My coworkers think that my questions will not find good developers since my questions are rather simple and well known, but so far most of the applicants fail those questions. My questions are: Should I change the structure of my interview for this kind of job? What questions do you ask to figure our if the applicant is test oriented? (Maybe I should provide a buggy implementation of a problem and let them find the bugs and then ask them about what tests they would have done) Regards,

    Read the article

  • Should we retire the term "Context"?

    - by MrGumbe
    I'm not sure if there is a more abused term in the world of programming than "Context." A word that has a very clear meaning in the English language has somehow morphed into a hot mess in software development, where the definition where the connotation can be completely different based on what library you happen to be developing in. Tomcat uses the word context to mean the configuration of a web application. Java applets, on the other hand, use an AppletContext to define attributes of the browser and HTML tag that launched it, but the BeanContext is defined as a container. ASP.NET uses the HttpContext object as a grab bag of state - containing information about the current request / response, session, user, server, and application objects. Context Oriented Programming defines the term as "Any information which is computationally accessible may form part of the context upon which behavioral variations depend," which I translate as "anything in the world." The innards of the Windows OS uses the CONTEXT structure to define properties about the hardware environment. The .NET installation classes, however, use the InstallContext property to represent the command line arguments entered to the installation class. The above doesn't even touch how all of us non-framework developers have used the term. I've seen plenty of developers fall into the subconscious trap of "I can't think of anything else to call this class, so I'll name it 'WidgetContext.'" Do you all agree that before naming our class a "Context," we may want to first consider some more descriptive terms? "Environment", "Configuraton", and "ExecutionState" come readily to mind.

    Read the article

  • The Current State Of Serving a PHP 5.x App on the Apache, LightTPD & Nginx Web Servers?

    - by Gregory Kornblum
    Being stuck in a MS stack architecture/development position for the last year and a half has prevented me from staying on top of the world of open source stack based web servers recent evolution more than I would have liked to. However I am now building an open source stack based application/system architecture and sadly I do not have the time to give each of the above mentioned web servers a thorough test of my own to decide. So I figured I'd get input from the best development community site and more specifically the people who make it so. This is a site that is a resource for information regarding a specific domain and target audience with features to help users not only find the information but to also interact with one another in various ways for various reasons. I chose the open source stack for the wealth of resources it has along with much better offers than the MS stack (i.e. WordPress vs BlogEngine.NET). I feel Java is more in the middle of these stacks in this regard although I am not ruling out the possibility of using it in certain areas unrelated to the actual web app itself such as background processes. I have already come to the conclusion of using PHP (using CodeIgniter framework & APC), MySQL (InnoDB) and Memcached on CentOS. I am definitely serving static content on Nginx. However the 3 servers mentioned have no consensus on which is best for dynamic content in regards to performance. It seems LightTPD still has the leak issue which rules it out if it does, Nginx seems it is still not mature enough for this aspect and of course Apache tries to be everything for everybody. I am still going to compile the one chosen with as many performance tweaks as possible such as static linking and the likes. I believe I can get Apache to match the other 2 in regards to serving dynamic content through this process and not having it serve anything static. However during my research it seems the others are still worth considering. So with all things considered I would love to hear what everyone here has to say on the matter. Thanks!

    Read the article

  • Dynamic GUI Framework Designing

    - by user575715
    There is a Scenario to be developed for a 3-tier Application .We need to design a Framework or a utility sort of thing . In tradional aspect of GUI Designing , either we tend to create a static gui page and code the elements on it along with other properties of the elements such as (disabled/enabled,image source,name ,id ,which function to be called under onclick event.) or we tend to drag and drop the elements from the control pallete provided by variety of gui frameworks. Certain things i need to design a POC so that we can develop this concept. 1) There must a utility ,such that during creation of screen layout , that screen should be saved in the database(RDBMS) with a screen number. 2) All the Events related to that control should be saved in some other table which will be dynamically mapped during the calling of screen number by the user. 3) When the user call that screen ,a generic function should be invoked which'll call the screen file from the database and apply all the properties ,events,etc at runtime and the final output will be displayed to the user. This POC will help the us to customised the screens according to our usage.also all the code will seperated which can easily be used for some other development process. Thanks Amit Kalra

    Read the article

  • Versioning code in two separate projects concurently with subverison

    - by Matt1776
    I have a need to create a library of Object Oriented PHP code that will see much reuse and aspires to be highly flexible and modular. Because of its independent nature I would like it to exist as its own SVN project. I would like to be able to create a new web project, save it in SVN as its own separate project, and include within it the library project code as well. During this process, while coding the web application code and making commits, I may need to add a class to the library. I would like to be able to do so and commit those changes back to the libraries project code. In light of all this I could manage the code in two ways Commit the changes to the library back to a branch of its original base project code and make the branch name relevant to the web project I was using it with Commit the changes to the library back to the original code, growing it in size regardless of any specific references that might exist. I have two questions How can I include this library project code into a new project yet not break the subversion functionality, i.e. allowing me to make changes to each project individually? How I can keep the code synchronized? If I choose the first method of managing the library code I may want to grab changes from another branch and pull it in for use in another.

    Read the article

  • Trial vs free with limited functionality

    - by Morten K
    Hi everyone, Not a programming question as such, but a bit more business oriented question about software product development. We have just released a small app, and is offering a free, fully functional trial which lasts for 15 days. I have the gut feeling however, that to reach any kind of penetration on the web, we'd need to offer a version which is free forever, but then has a few limitations in terms of functionality (still quite usable, but not full-throttle). For example, the Roboform browser plugin is somewhat similar in purpose to ours. Not functionality wise, but it's basically a little util that saves time and removes some repetitive-action pain. They offer a free version with limitations and then a pro version for around 30 USD. Roboform has gotten very much attention over the years, and I can't help to think that this is because they have a product which is obviously good, but also free, thus adoption becomes much higher than if they had only offered a 15 day trial. I am wondering if any of you have experience in a similar scenario? Or any thoughts on the two models? Again, I know it's not directly programming related, but it's still a question I feel best answered by a community of developers.

    Read the article

  • Maven + AspectJ - all steps to configure it

    - by Alice
    I have a problem with applying aspects to my maven project. Probably I am missing something, so I've made a list of steps. Could you please check if it is correct? Let say in projectA is an aspect class and in projectB classes, which should be changed by aspects. Create maven project ProjectA with AspectJ class add Aspectj plugin and dependency Add ProjectA as a dependency to projectB pom.xml Add to projectB pom.xml plugin " <plugin> <groupId>org.codehaus.mojo</groupId> <artifactId>aspectj-maven-plugin</artifactId> <version>1.4</version> <executions> <execution> <goals> <goal>compile</goal> <goal>test-compile</goal> </goals> </execution> </executions> <configuration> <source>${maven.compiler.source}</source> <target>${maven.compiler.target}</target> <aspectLibraries> <aspectLibrary> <groupId>ProjectA</groupId> <artifactId>ProjectA</artifactId> </aspectLibrary> </aspectLibraries> </configuration> </plugin> Add aspectj dependency After all these steps my problem is, that during compilation I get: [WARNING] advice defined in AspectE has not been applied [Xlint:adviceDidNotMatch] And then when I run my program: Exception in thread "FeatureExcutionThread" java.lang.NoClassDefFoundError: AspectE

    Read the article

< Previous Page | 110 111 112 113 114 115 116 117 118 119 120 121  | Next Page >