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  • Protected and Private methods

    - by cabaret
    I'm reading through Beginning Ruby and I'm stuck at the part about private and protected methods. This is a newbie question, I know. I searched through SO for a bit but I couldn't manage to find a clear and newbie-friendly explanation of the difference between private and protected methods. The book gives two examples, the first one for private methods: class Person def initialize(name) set_name(name) end def name @first_name + ' ' + @last_name end private def set_name(name) first_name, last_name = name.split(/\s+/) set_first_name(first_name) set_last_name(last_name) end def set_first_name(name) @first_name = name end def set_last_name(name) @last_name = name end end In this case, if I try p = Person.new("Fred Bloggs") p.set_last_name("Smith") It will tell me that I can't use the set_last_name method, because it's private. All good till there. However, in the other example, they define an age method as protected and when I do fred = Person.new(34) chris = Person.new(25) puts chris.age_difference_with(fred) puts chris.age It gives an error: :20: protected method 'age' called for #<Person:0x1e5f28 @age=25> (NoMethodError) I honestly fail to see the difference between the private and protected methods, it sounds the same to me. Could someone provide me with a clear explanation so I'll never get confused about this again? I'll provide the code for the second example if necessary.

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  • jQuery: How would I show/hide these elements?

    - by Shpigford
    Here's my HTML: <ul> <li> <p><label><input type="checkbox" name="permission" value="1" class="permission_check" checked> Joe Schmoe</label></p> <p class="radio_option"><label><input type="radio" name="viewpromote" value="1"> View and Promote</label></p> <p class="radio_option"><label><input type="radio" name="createedit" value="1" checked> ...plus Create and Edit</label></p> </li> <li> <p><label><input type="checkbox" name="permission" value="1" class="permission_check" checked> Bob Smith</label></p> <p class="radio_option"><label><input type="radio" name="viewpromote" value="1" checked> View and Promote</label></p> <p class="radio_option"><label><input type="radio" name="createedit" value="1"> ...plus Create and Edit</label></p> </li> </ul> What I need to do is when a user checks/unchecks the permission_check input, then it should show/hide the radio_option elements for that list item.

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  • Is it possible to include a Sexpr before the expression has been evaluated in Sweave / R ?

    - by PaulHurleyuk
    Hello, I'm writing a Sweave document, and I want to include a small section that details the R and package versions, platofrms and how long ti took to evalute the doucment, however, I want to put this in the middle of the document ! I was using a \Sexpr{elapsed} to do this (which didn't work), but thought if I put the code printing elapsed in a chunk that evaluates at the end, I could then include the chunk half way through, which also fails. My document looks something like this % \documentclass[a4paper]{article} \usepackage[OT1]{fontenc} \usepackage{longtable} \usepackage{geometry} \usepackage{Sweave} \geometry{left=1.25in, right=1.25in, top=1in, bottom=1in} \begin{document} <<label=start, echo=FALSE, include=FALSE>>= startt<-proc.time()[3] @ Text and Sweave Code in here % This document was created on \today, with \Sexpr{print(version$version.string)} running on a \Sexpr{print(version$platform)} platform. It took approx sec to process. <<>>= <<elapsed>> @ More text and Sweave code in here <<label=bye, include=FALSE, echo=FALSE>>= odbcCloseAll() endt<-proc.time()[3] elapsedtime<-as.numeric(endt-startt) @ <<label=elapsed, include=FALSE, echo=FALSE>>= print(elapsedtime) @ \end{document} But this doesn't seem to work (amazingly !) Does anyone know how I could do this ? Thanks Paul.

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  • I need to speed up a function. Should I use cython, ctypes, or something else?

    - by Peter Stewart
    I'm having a lot of fun learning Python by writing a genetic programming type of application. I've had some great advice from Torsten Marek, Paul Hankin and Alex Martelli on this site. The program has 4 main functions: generate (randomly) an expression tree. evaluate the fitness of the tree crossbreed mutate As all of generate, crossbreed and mutate call 'evaluate the fitness'. it is the busiest function and is the primary bottleneck speedwise. As is the nature of genetic algorithms, it has to search an immense solution space so the faster the better. I want to speed up each of these functions. I'll start with the fitness evaluator. My question is what is the best way to do this. I've been looking into cython, ctypes and 'linking and embedding'. They are all new to me and quite beyond me at the moment but I look forward to learning one and eventually all of them. The 'fitness function' needs to compare the value of the expression tree to the value of the target expression. So it will consist of a postfix evaluator which will read the tree in a postfix order. I have all the code in python. I need advice on which I should learn and use now: cython, ctypes or linking and embedding. Thank you.

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  • How can I have sub-elements of a complex/mixed type with unrestricted order and count?

    - by mbmcavoy
    I am working with XML where some elements will contain text with additional markup. This is similar to this example at W3Schools. However, I need the markup tags to be able to appear in any order and possibly more than once. To modify their example for illustration: <letter> Dear Mr.<name>John Smith</name>. Your order <orderid>1032</orderid> will be shipped on <shipdate>2001-07-13</shipdate>. Thank you, <name>Bob Adams</name> </letter> None of the options presented by W3Schools (on the page following the linked example) allow this XML due to the second <name> element. Their explanation of the "indicators" and my testing are consistent. <xs:sequence> - violates the element order <xs:choice> - more than one kind of element is used. <xs:all> - maxOccurs is restricted to "1". This seems like it should be basic, after all, XHTML allows such things. How do I define my schema to allow this?

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  • Sweave can't see a vector if run from a function ?

    - by PaulHurleyuk
    I have a function that sets a vector to a string, copies a Sweave document with a new name and then runs that Sweave. Inside the Sweave document I want to use the vector I set in the function, but it doesn't seem to see it. (Edit: I changed this function to use tempdir(() as suggested by Dirk) I created a sweave file test_sweave.rnw; % \documentclass[a4paper]{article} \usepackage[OT1]{fontenc} \usepackage{Sweave} \begin{document} \title{Test Sweave Document} \author{gb02413} \maketitle <<>>= ls() Sys.time() print(paste("The chosen study was ",chstud,sep="")) @ \end{document} and I have this function; onOK <- function(){ chstud<-"test" message(paste("Chosen Study is ",chstud,sep="")) newfile<-paste(chstud,"_report",sep="") mypath<-paste(tempdir(),"\\",sep="") setwd(mypath) message(paste("Copying test_sweave.Rnw to ",paste(mypath,newfile,".Rnw",sep=""),sep="")) file.copy("c:\\local\\test_sweave.Rnw", paste(mypath,newfile,".Rnw",sep=""), overwrite=TRUE) Sweave(paste(mypath,newfile,".Rnw",sep="")) require(tools) texi2dvi(file = paste(mypath,newfile,".tex",sep=""), pdf = TRUE) } If I run the code from the function directly, the resulting file has this output for ls(); > ls() [1] "chstud" "mypath" "newfile" "onOK" However If I call onOK() I get this output; > ls() [1] "onOK" and the print(...chstud...)) function generates an error. I suspect this is an environment problem, but I assumed because the call to Sweave occurs within the onOK function, it would be in the same enviroment, and would see all the objects created within the function. How can I get the Sweave process to see the chstud vector ? Thanks Paul.

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  • How can I write a unit test to determine whether an object can be garbage collected?

    - by driis
    In relation to my previous question, I need to check whether a component that will be instantiated by Castle Windsor, can be garbage collected after my code has finished using it. I have tried the suggestion in the answers from the previous question, but it does not seem to work as expected, at least for my code. So I would like to write a unit test that tests whether a specific object instance can be garbage collected after some of my code has run. Is that possible to do in a reliable way ? EDIT I currently have the following test based on Paul Stovell's answer, which succeeds: [TestMethod] public void ReleaseTest() { WindsorContainer container = new WindsorContainer(); container.Kernel.ReleasePolicy = new NoTrackingReleasePolicy(); container.AddComponentWithLifestyle<ReleaseTester>(LifestyleType.Transient); Assert.AreEqual(0, ReleaseTester.refCount); var weakRef = new WeakReference(container.Resolve<ReleaseTester>()); Assert.AreEqual(1, ReleaseTester.refCount); GC.Collect(); GC.WaitForPendingFinalizers(); Assert.AreEqual(0, ReleaseTester.refCount, "Component not released"); } private class ReleaseTester { public static int refCount = 0; public ReleaseTester() { refCount++; } ~ReleaseTester() { refCount--; } } Am I right assuming that, based on the test above, I can conclude that Windsor will not leak memory when using the NoTrackingReleasePolicy ?

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  • Binding update on adds news series to WPF Toolkit chart (instead of replacing/updating series)

    - by Mal Ross
    I'm currently recoding a bar chart in my app to make use of the Chart class in the WPF Toolkit. Using MVVM, I'm binding the ItemsSource of a ColumnSeries in my chart to a property on my viewmodel. Here's the relevant XAML: <charting:Chart> <charting:ColumnSeries ItemsSource="{Binding ScoreDistribution.ClassScores}" IndependentValuePath="ClassName" DependentValuePath="Score"/> </charting:Chart> And the property on the viewmodel: // NB: viewmodel derived from Josh Smith's BindableObject public class ExamResultsViewModel : BindableObject { // ... private ScoreDistributionByClass _scoreDistribution; public ScoreDistributionByClass ScoreDistribution { get { return _scoreDistribution; } set { if (_scoreDistribution == value) { return; } _scoreDistribution = value; RaisePropertyChanged(() => ScoreDistribution); } } However, when I update the ScoreDistribution property (by setting it to a new ScoreDistribution object), the chart gets an additional series (based on the new ScoreDistribution) as well as keeping the original series (based on the previous ScoreDistribution). To illustrate this, here are a couple of screenshots showing the chart before an update (with a single data point in ScoreDistribution.ClassScores) and after it (now with 3 data points in ScoreDistribution.ClassScores): Now, I realise there are other ways I could be doing this (e.g. changing the contents of the original ScoreDistribution object rather than replacing it entirely), but I don't understand why it's going wrong in its current form. Can anyone help?

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  • Determining when stringByEvaluatingJavaScriptFromString has finished

    - by alku83
    I have a UIWebView which loads up an HTML page. This page has two buttons on it, say Exit and Submit. I don't want users to be able to click the Exit button, so once the page has finished loading (ie. webViewDidFinishLoad is called), I use stringByEvaluatingJavaScriptFromString to remove one of these buttons, by manipulating the HTML. I also disable user interaction on the UIWebView on webViewDidStartLoad, and enable it again on webViewDidFinishLoad. The problem I am finding is that stringByEvaluatingJavaScriptFromString takes a second or two to complete, and it seems to be done in it's own thread. So what is happening is that webViewDidFinishLoad is called, user interaction is enabled on the UIWebView, and if the user is quick, they can click the Exit button before stringByEvaluatingJavaScriptFromString has finished. As stringByEvaluatingJavaScriptFromString seems to be on it's own thread with no way to know when it's finished (it doesnt call webViewDidFinishLoad), the only way to completely prevent users from tapping the Exit button that I can see is to only enable user interaction on the UIWebView after some delay, which is unreliable (how can I really know how long to delay for?). Am I correct in that stringByEvaluatingJavaScriptFromString is done on it's on thread, and I have no way of being able to tell when it's finished? Any other suggestions for how to get around this problem? EDIT: In short, what I want to know is if it is possible to disable a UIWebView while stringByEvaluatingJavaScriptFromString is executing, and re-enable the UIWebView when the javascript is finished. EDIT 2: There's an article here which seems to imply you can somehow poll the JS engine to see when it's finished, but I can't find any other references saying the same thing: http://drnicwilliams.com/2008/11/10/to-webkit-or-not-to-webkit-within-your-iphone-app/ EDIT 3 Based on the answer from Brad Smith, it seems that I actually need to know when the UIWebView has finished loading itself after the javascript has executed. It's looking more and more like I just need to put a delay of sorts in there.

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  • Group vs role (Any real difference?)

    - by Ondrej
    Can anyone tell me, what's the real difference between group and role? Ive been trying to figure this out for some time now and the more information I read, the more I get the sence, that this is brought up just to confuse people and there is no proper difference in this. Both can do the other one's job. Ive always used a group to manage users and their access rights. Recently, I've come accross an administration software, where is a bunch of users. Each user can have assigned a module (whole system is split into a few parts called modules ie. Administration module, Survey module, Orders module, Customer module). On top of it, each module have a list of functionalities, that can be allowed or denied for each user. So let's say, a user John Smith can access module Orders and can edit any order, but havent given a right to delete any of them. If there was more users with the same competency, I would use a group to manage that. I would aggregate such users into the same group and assign access rights to modules and their functions to the group. All users in the same group would have the same access rights. Why call it a group and not role? I don't know, I just feel it that way. It seems to me, that simply it just doesnt really matter :] But I still would like to know the real difference. What about you guys? Any suggestions why this should be rather called role than group or the other way round? Thanks to everyone.

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  • How to get the second sub element of every element in a list in R

    - by PaulHurleyuk
    I know I've come across this problem before, but I'm having a bit of a mental block at the moment. and as I can't find it on SO, I'll post it here so I can find it next time. I have a dataframe that contains a field representing an ID label. This label has two parts, an alpha prefix and a numeric suffix. I want to split it apart and create two new fields with these values in. structure(list(lab = c("N00", "N01", "N02", "B00", "B01", "B02", "Z21", "BA01", "NA03")), .Names = "lab", row.names = c(NA, -9L ), class = "data.frame") df$pre<-strsplit(df$lab, "[0-9]+") df$suf<-strsplit(df$lab, "[A-Z]+") Which gives lab pre suf 1 N00 N , 00 2 N01 N , 01 3 N02 N , 02 4 B00 B , 00 5 B01 B , 01 6 B02 B , 02 7 Z21 Z , 21 8 BA01 BA , 01 9 NA03 NA , 03 So, the first strsplit works fine, but the second gives a list, each having two elements, an empty string and the result I want, and stuffs them both into the dataframe column. How can I select the second sub-element from each element of the list ? (or, is there a better way to do this) Thanks Paul.

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  • Web development scheme for staging and production servers using Git Push

    - by ServAce85
    I am using git to manage a dynamic website (PHP + MySQL) and I want to send my files from my localhost to my staging and development servers in the most efficient and hassle-free way. I am currently convinced that the best way for me to approach this problem is to use this git branching model to organize my local git repo. From there, I will use the release branches to push to my staging server for testing. Once I am happy that the release code works on the staging server, I can then merge with my master branch and push that to my production server. Pushing to Staging Server: As noted in many introductory git posts, I could run into problems pushing into a non-bare repo, so, as suggested in this response, I plan to push the release branch to a bare repo on the server and have a post-receive hook that clones the bare repo to a non-bare repo that also acts as the web-hosted directory. Pushing to Production Server: Here's my newest source of confusion... In the response that I cited above, it made me curious as to why @Paul states that it's a completely different story when pushing to a live, development server. I guess I don't see the problem. Would it be safe and hassle-free to follow the same steps as above, but for the master branch? Where are the potential pit-falls? Config Files: With respect to configuration files that are unique to each environment (.htaccess, config.php, etc), it seems simplest to .gitignore each of those files in their respective repos on their respective servers. Can you see anything immediately wrong with this? Better solutions? Accessing Data: Finally, as I initially stated, the site uses MySQL databases to store data. How would you suggest I access that data (for testing purposes) from the staging server and localhost? I realize that I may have asked way too many questions for a single post, but since they're all related to the best way to set up this development scheme, I thought it was necessary.

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  • Convert a raw string to an array of big-endian words with Ruby

    - by Zag zag..
    Hello, I would like to convert a raw string to an array of big-endian words. As example, here is a JavaScript function that do it well (by Paul Johnston): /* * Convert a raw string to an array of big-endian words * Characters >255 have their high-byte silently ignored. */ function rstr2binb(input) { var output = Array(input.length >> 2); for(var i = 0; i < output.length; i++) output[i] = 0; for(var i = 0; i < input.length * 8; i += 8) output[i>>5] |= (input.charCodeAt(i / 8) & 0xFF) << (24 - i % 32); return output; } I believe the Ruby equivalent can be String#unpack(format). However, I don't know what should be the correct format parameter. Thank you for any help. Regards

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  • Ruby and public_method_defined? : strange behaviour

    - by aXon
    Hi there Whilst reading through the book "The well grounded Rubyist", I came across some strange behaviour. The idea behind the code is using one's own method_missing method. The only thing I am not able to grasp is, why this code gets executed, as I do not have any Person.all_with_* class methods defined, which in turn means that the self.public_method_defined?(attr) returns true (attr is friends and then hobbies). #!/usr/bin/env ruby1.9 class Person PEOPLE = [] attr_reader :name, :hobbies, :friends def initialize(mame) @name = name @hobbies = [] @friends = [] PEOPLE << self end def has_hobby(hobby) @hobbies << hobby end def has_friend(friend) @friends << friend end def self.method_missing(m,*args) method = m.to_s if method.start_with?("all_with_") attr = method[9..-1] if self.public_method_defined?(attr) PEOPLE.find_all do |person| person.send(attr).include?(args[0]) end else raise ArgumentError, "Can't find #{attr}" end else super end end end j = Person.new("John") p = Person.new("Paul") g = Person.new("George") r = Person.new("Ringo") j.has_friend(p) j.has_friend(g) g.has_friend(p) r.has_hobby("rings") Person.all_with_friends(p).each do |person| puts "#{person.name} is friends with #{p.name}" end Person.all_with_hobbies("rings").each do |person| puts "#{person.name} is into rings" end The output is is friends with is friends with is into rings which is really understandable, as there is nothing to be executed.

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  • What do you mean by the expressiveness in programming lanuguage?

    - by prosseek
    I see a lot of the word 'expressiveness' when people want to stress one language is better than the other. But I don't see exactly what they mean by it. Is it the verboseness/succinctness? I mean, if one language can write down something shorter than the other, does that mean expressiveness? Please refer to my other question - http://stackoverflow.com/questions/2411772/article-about-code-density-as-a-measure-of-programming-language-power Is it the power of the language? Paul Graham says that one language is more powerful than the other language in a sense that one language can do that the other language can't do (for example, LISP can do something with macro that the other language can't do). Is it just something that makes life easier? Regular expression can be one of the examples. Is it a different way of solving the same problem: something like SQL to solve the search problem? What do you think about the expressiveness of a programming lanuage? Can you show the expressiveness using some code? What's the relationship with the expressiveness and DSL? Do people come up with DSL to get the expressiveness?

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  • Nokogiri changing custom elements

    - by dagda1
    Hi, I have sample html that I have marked up with some special tags that will be used by a different program, an example of the html is below. You should note the <START:organization>..<END> elements. <html> <head/> <body> <ul> <li> <START:organization> Advanced Integrated Pest Management <END> </li> <li> <START:organization> American Bakers Association <END> </li> </ul> </body> </html> I wanted to use nokogiri to preprocess the html to easily remove irrelevant tags like <script>. I created the following extension to the nokogiri document class: module Nokogiri module HTML class Document def prepare_html xpath("//script").remove to_html.remove_new_lines end end end end The problem is that nokogiri is changing the <START:organization> element to <organization>. Is there anyway that I can preserve the htnl to maintain my custom markup tags? Thanks Paul

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  • Implementing a c/c++ style union as a column in MySQL

    - by user81338
    Friends, I have a strange need and cannot think my way through the problem. The great and mighty Google is of little help due to keyword recycling (as you'll see). Can you help? What I want to do is store data of multiple types in a single column in MySQL. This is the database equivalent to a C union (and if you search for MySQL and Union, you obviously get a whole bunch of stuff on the UNION keyword in SQL). [Contrived and simplified case follows] So, let us say that we have people - who have names - and STORMTROOPERS - who have TK numbers. You cannot have BOTH a NAME and a TK number. You're either BOB SMITH -or- TK409. In C I could express this as a union, like so: union { char * name; int tkNo; } EmperialPersonnelRecord; This makes it so that I am either storing a pointer to a char array or an ID in the type EmperialPersonnelRecord, but not both. I am looking for a MySQL equivalent on a column. My column would store either an int, double, or varchar(255) (or whatever combination). But would only take up the space of the largest element. Is this possible? (of course anything is possible given enough time, money and will - I mean is it possible if I am poor, lazy and on a deadline... aka "out of the box")

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  • Excessive use of Inner Join for more than 3 tables

    - by Archangel08
    Good Day, I have 4 tables on my DB (not the actual name but almost similar) which are the ff: employee,education,employment_history,referrence employee_id is the name of the foreign key from employee table. Here's the example (not actual) data: **Employee** ID Name Birthday Gender Email 1 John Smith 08-15-2014 Male [email protected] 2 Jane Doe 00-00-0000 Female [email protected] 3 John Doe 00-00-0000 Male [email protected] **Education** Employee_ID Primary Secondary Vocation 1 Westside School Westshore H.S SouthernBay College 2 Eastside School Eastshore H.S NorthernBay College 3 Northern School SouthernShore H.S WesternBay College **Employment_History** Employee_ID WorkOne StartDate Enddate 1 StarBean Cafe 12-31-2012 01-01-2013 2 Coffebucks Cafe 11-01-2012 11-02-2012 3 Latte Cafe 01-02-2013 04-05-2013 Referrence Employee_ID ReferrenceOne Address Contact 1 Abraham Lincoln Lincoln Memorial 0000000000 2 Frankie N. Stein Thunder St. 0000000000 3 Peter D. Pan Neverland Ave. 0000000000 NOTE: I've only included few columns though the rest are part of the query. And below are the codes I've been working on for 3 consecutive days: $sql=mysql_query("SELECT emp.id,emp.name,emp.birthday,emp.pob,emp.gender,emp.civil,emp.email,emp.contact,emp.address,emp.paddress,emp.citizenship,educ.employee_id,educ.elementary,educ.egrad,educ.highschool,educ.hgrad,educ.vocational,educ.vgrad,ems.employee_id,ems.workOne,ems.estartDate,ems.eendDate,ems.workTwo,ems.wstartDate,ems.wendDate,ems.workThree,ems.hstartDate,ems.hendDate FROM employee AS emp INNER JOIN education AS educ ON educ.employee_id='emp.id' INNER JOIN employment_history AS ems ON ems.employee_id='emp.id' INNER JOIN referrence AS ref ON ref.employee_id='emp.id' WHERE emp.id='$id'"); Is it okay to use INNER JOIN this way? Or should I modify my query to get the results that I wanted? I've also tried to use LEFT JOIN but still it doesn't return anything .I didn't know where did I go wrong. You see, as I have thought, I've been using the INNER JOIN in correct manner, (since it was placed before the WHILE CLAUSE). So I couldn't think of what could've possible went wrong. Do you guys have a suggestion? Thanks in advance.

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  • Can ScalaCheck/Specs warnings safely be ignored when using SBT with ScalaTest?

    - by pdbartlett
    I have a simple FunSuite-based ScalaTest: package pdbartlett.hello_sbt import org.scalatest.FunSuite class SanityTest extends FunSuite { test("a simple test") { assert(true) } test("a very slightly more complicated test - purposely fails") { assert(42 === (6 * 9)) } } Which I'm running with the following SBT project config: import sbt._ class HelloSbtProject(info: ProjectInfo) extends DefaultProject(info) { // Dummy action, just to show config working OK. lazy val solveQ = task { println("42"); None } // Managed dependencies val scalatest = "org.scalatest" % "scalatest" % "1.0" % "test" } However, when I runsbt test I get the following warnings: ... [info] == test-compile == [info] Source analysis: 0 new/modified, 0 indirectly invalidated, 0 removed. [info] Compiling test sources... [info] Nothing to compile. [warn] Could not load superclass 'org.scalacheck.Properties' : java.lang.ClassNotFoundException: org.scalacheck.Properties [warn] Could not load superclass 'org.specs.Specification' : java.lang.ClassNotFoundException: org.specs.Specification [warn] Could not load superclass 'org.specs.Specification' : java.lang.ClassNotFoundException: org.specs.Specification [info] Post-analysis: 3 classes. [info] == test-compile == For the moment I'm assuming these are just "noise" (caused by the unified test interface?) and that I can safely ignore them. But it is slightly annoying to some inner OCD part of me (though not so annoying that I'm prepared to add dependencies for the other frameworks). Is this a correct assumption, or are there subtle errors in my test/config code? If it is safe to ignore, is there any other way to suppress these errors, or do people routinely include all three frameworks so they can pick and choose the best approach for different tests? TIA, Paul. (ADDED: scala v2.7.7 and sbt v0.7.4)

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  • Google Maps API v3 - infoWindows all have same content

    - by paulriedel
    Hello, I've been having problems with the infoWindows and Google Maps API v3. Initially, I've ran into the problem that everyone else has of closing infoWindows when opening a new one. I thought to have solved the problem by defining "infowindow" beforehand. Now they close when I click on a new marker, but the content is the same. How should I re-structure my code to make sure the content is the right one each time - and only one infoWindow is open at a given time? Thank you! Paul var allLatLngs = new Array(); var last = 0; var infowindow; function displayResults(start, count){ if(start === undefined){ start = last; } if(count === undefined){ count = 20; } jQuery.each(jsresults, function(index, value) { if(index >= start && index < start+count){ var obj = jQuery.parseJSON(value); $("#textresults").append(index + ": <strong>" + obj.name + "</strong> " + Math.round(obj.distanz*100)/100 + " km entfernt" + "<br/>"); var myLatlng = new google.maps.LatLng(obj.geo_lat, obj.geo_lon); allLatLngs.push(myLatlng); var contentString = '<strong>'+obj.name+'</strong>'; infowindow = new google.maps.InfoWindow({ content: contentString }); var marker = new google.maps.Marker({ position: myLatlng, //title:"Hello World!" }); marker.setMap(map); google.maps.event.addListener(marker, 'click', function() { if (infowindow) { infowindow.close(map,marker); } infowindow.open(map,marker); }); } }); last = start+count;

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  • FileHelpers cannot map converted field into destination array

    - by jaffa
    I have the following record (reduced for brevity): [DelimitedRecord(",")] [IgnoreFirst] [IgnoreEmptyLines()] public class ImportRecord { [FieldQuoted] [FieldTrim(TrimMode.Both)] public string FirstName; [FieldQuoted] [FieldTrim(TrimMode.Both)] public string LastName; [FieldQuoted] [FieldTrim(TrimMode.Both)] [FieldOptional] [FieldConverter(typeof(TestPropertyConverter))] public int[] TestProperty; } Converter code: public class TestPropertyConverter : ConverterBase { public override object StringToField(string from) { var ret = from.Split('|').Select(x => Convert.ToInt32(x)).ToArray(); return ret; } } So an example record could be: John, Smith, 1|2|3|4 It would expect the values 1,2,3,4 to expand and fill the TestProperty array. However, I'm getting the following exception: At least one element in the source array could not be cast down to the destination array type. I've tried to debug into the code and it seems to blow-up in the ExtractFieldValue() function inside FieldBase.cs where it tries to return out of the function. The following line seems to be the culprit: res.ToArray(ArrayType); It seems to expect the 'res' variable to be the destination type array, but it contains 1 element of the array itself. Can anyone suggest if I'm doing this wrong or a possible fix?

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  • Issue with class design to model user preferences for different classes

    - by Mulone
    Hi all, I'm not sure how to design a couple of classes in my app. Basically that's a situation: each user can have many preferences each preference can be referred to an object of different classes (e.g. album, film, book etc) the preference is expressed as a set of values (e.g. score, etc). The problem is that many users can have preferences on the same objects, e.g.: John: score=5 for filmid=apocalypsenow Paul: score=3 for filmid=apocalypsenow And naturally I don't want to duplicate the object film in each user. So I could create a class called "preference" holding a score and then a target object, something like: User{ hasMany preferences } Preference{ belongsTo User double score Film target Album target //etc } and then define just one target. Then I would create an interface for the target Classes (album, film etc): Interface canBePreferred{ hasMany preferences } And implement all of those classes. This could work, but it looks pretty ugly and it would requires a lot of joins to work. Do you have some patterns I could use to model this nicely? Cheers, Mulone

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  • Is it Possible to Use Constraints on Hierarchical Data in a Self-Referential Table?

    - by pbarney
    Suppose you have the following table, intended to represent hierarchical data: +--------+-------------+ | Field | Type | +--------+-------------+ | id | int(10) | | parent | int(10) | | name | varchar(45) | +--------+-------------+ The table is self-referential in that the parent_id refers to id. So you might have the following data: +----+--------+---------------+ | id | parent | name | +----+--------+---------------+ | 1 | 0 | fruit | | 2 | 0 | vegetable | | 3 | 1 | apple | | 4 | 1 | orange | | 5 | 3 | red delicious | | 6 | 3 | granny smith | | 7 | 3 | gala | +----+--------+---------------+ Using MySQL, I am trying to impose a (self-referential) foreign key constraint upon the data to cascade on update and prevent deletion of a record if it has any "children." So I used the following: CREATE TABLE `test`.`fruit` ( `id` INT(10) UNSIGNED NOT NULL AUTO_INCREMENT, `parent` INT(10) UNSIGNED, `name` VARCHAR(45) NOT NULL, PRIMARY KEY (`id`), CONSTRAINT `fk_parent` FOREIGN KEY (`parent`) REFERENCES `fruit` (`id`) ON UPDATE CASCADE ON DELETE RESTRICT ) ENGINE = InnoDB; From what I understand, this should fit my requirements. (And parent must default to null to allow insertions, correct?) The problem is, if I change the id of a record, it will not cascade: Cannot delete or update a parent row: a foreign key constraint fails (`test`.`fruit`, CONSTRAINT `fk_parent` FOREIGN KEY (`parent`) REFERENCES `fruit` (`id`) ON UPDATE CASCADE) What am I missing? Feel free to correct me if my terminology is screwed up... I'm new to constraints.

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  • Border of single th spreads to neighboring th when colspan set on td row below

    - by Samuel Hapak
    Having following html code: <table> <tr><th>First</th><th class='second'>Second</th><th class='third'>Third</th><th>Fourth</th></tr> <tr><td>Mike</td><td colspan=2 >John</td><td>Paul</td></tr> </table>? And following css: table { border-collapse: collapse; } td, th { border: 1px black solid; } td { border-top: none; } th { border-bottom: none; } th.second { border-bottom: 3px green solid; } th.third { } ? I would expect as result one table with 3px solid green line below the second th cell. Instead of that in Chrome, I have solid green border below both the second and the third th cell. In the firefox, results are just as expected. Is this browser bug, or my code is illegal? You can see example at http://jsfiddle.net/tt6aP/3/ PS: Try to set th.third { border-bottom: 2px solid red; } And then try to raise it to 3px. This is even more strange. Screenshots Expected: Chrome: Firefox:

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  • UI - How I can make users effectively read what my program says?

    - by Magnetic_dud
    I have a simple form that searches through the 2000+ issues of a 3rd party webcomic. (Easy, it's like xkcd: http://url/number That form is as easy as possible, is like this: What number do you want? User writes a number, clicks ok, and goes on the 3rd party website on a new tab Then, my form asks a question: "Did you find that issue memorable? Enter the name here, and we will add it to the "best issues" in home page" When the user will write the name of the issue, it is added to the database (pending moderation by me) So, I supposed this design is the easiest and convenient that users can find. Unfortunately, NONE of the users (maybe a 2% behaved correctly) will actually read what I asked. Some of the issues are offline, and gives a 404. On that issues users will write in the textbox a completely wrong title, and correctly capitalized! It's like if i would name http://xkcd.com/627/ as "The Great Adventures of Jack Smith" Users are from around all over the country, with different browsers, and have a different cookie. I cannot believe that my users will not read what I ask, it is a WHITE PAGE with a button that disappears when clicked and a textbox.... easier than that??? Maybe i should put a checkbox with "I acknowledge that this form is for submitting memorable issues, not for fun"? Oh, who will read that? Or maybe i could enable the textbox only if the user has effectively clicked the link?

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