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  • How do you refactor a large messy codebase?

    - by Ricket
    I have a big mess of code. Admittedly, I wrote it myself - a year ago. It's not well commented but it's not very complicated either, so I can understand it -- just not well enough to know where to start as far as refactoring it. I violated every rule that I have read about over the past year. There are classes with multiple responsibilities, there are indirect accesses (I forget the technical term - something like foo.bar.doSomething()), and like I said it is not well commented. On top of that, it's the beginnings of a game, so the graphics is coupled with the data, or the places where I tried to decouple graphics and data, I made the data public in order for the graphics to be able to access the data it needs... It's a huge mess! Where do I start? How would you start on something like this? My current approach is to take variables and switch them to private and then refactor the pieces that break, but that doesn't seem to be enough. Please suggest other strategies for wading through this mess and turning it into something clean so that I can continue where I left off!

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  • Python, Ruby, and C#: Use cases?

    - by thaorius
    Hi everyone. For as long as I can remember, I've always had a "favorite" language, which I use for most projects, until, for some particular reason, there is no way/point on using it for project XYZ. At that point, I find myself rusty (and sometimes outdated) on other languages+libraries+toolchains. So I decided, I would just use some languages/libs/tools for some things, and some for other, effectively keeping them fresh (there would obviously be exceptions, I'm not looking for an arbitrary rule set, but some guidelines). I wanted an opinion on what would be your standard use cases (new projects) for Python, Ruby, and C# (Mono). At the moment, I have time like this:Languages: C#: Mid-Large Sized Projects (mainly server-side daemons) High Performance (I hardly ever need C's performance, but Python just doesn't cut it) Relatively Low Footprint (vs the JVM, for example) Ruby: Web Applications Python: General Use Scripts (automation, system config, etc) Small-Mid Sized Projects Prototyping Web Applications About Ruby, I have no idea what to use it for that I can't use Python for (specially considering Python is more easily found installed by default). And I like both languages (though I'm really new to Ruby), which makes things even worse. As for C#, I have not used a Windows powered computer in a few years, I don't make things for Windows computers, and I don't mind waiting for Mono to implement some new features. That being said, I haven't found many people on the internet using it for server-sided *nix programming (not web related). I would appreciate some insight on this too. Thanks for your time.

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  • How do I best do balanced quoting with Perl's Regexp::Grammars?

    - by Evan Carroll
    Using Damian Conway's Regexp::Grammars, I'm trying to match different balanced quoting ('foo', "foo", but not 'foo") mechanisms -- such as parens, quotes, double quotes, and double dollars. This is the code I'm currently using. <token: pair> \'<literal>\'|\"<literal>\"|\$\$<literal>\$\$ <token: literal> [\S]+ This generally works fine and allows me to say something like: <rule: quote> QUOTE <.as>? <pair> My question is how do I reform the output, to exclude the needles notation for the pair token? { '' => 'QUOTE AS \',\'', 'quote' => { '' => 'QUOTE AS \',\'', 'pair' => { 'literal' => ',', '' => '\',\'' } } }, Here, there is obviously no desire to have pair in between, quote, and the literal value of it. Is there a better way to match 'foo', "foo", and $$foo$$, and maybe sometimes ( foo ) without each time creating a needless pair token? Can I preprocess-out that token or fold it into the above? Or, write a better construct entirely that eliminates the need for it?

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  • Bytecode and Objects

    - by HH
    Hey everyone, I am working on a bytecode instrumentation project. Currently when handling objects, the verifier throws an error most of the time. So I would like to get things clear concerning rules with objects (I read the JVMS but couldn't find the answer I was looking for): I am instrumenting the NEW instruction: original bytecode NEW <MyClass> DUP INVOKESPECIAL <MyClass.<init>> after instrumentation NEW <MyClass> DUP INVOKESTATIC <Profiler.handleNEW> DUP INVOKESPECIAL <MyClass.<init>> Note that I added a call to Profiler.handleNEW() which takes as argument an object reference (the newly created object). The piece of code above throws a VerificationError. While if I don't add the INVOKESTATIC (leaving only the DUP), it doesn't. So what is the rule that I'm violating? I can duplicate an uninitialized reference but I can't pass it as parameter? I would appreciate any help. Thank you

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  • What effects has working in rotating shifts on programming teams?

    - by eKek0
    I work in a bank, and the boss now want's that we, the programming team, work on rotating shifts. He wants that sometimes we work from 7am to 3pm, and sometimes on 11.30am to 7.30pm. He says that we will be more productive working this way, because he has worked with teams just like that and he just knows that. Nobody of the team wants this change, but we don't know how to effectively reject this new rule. I was trying to find some empirical (or almost) evidence about how rotating shifts affects performance of programming teams, and I couldn't. I had read something about rotating shifts, but not exactly about the effect of this on programming teams. Do you know any research about rotating shifts on programming teams? Did you have any experience with this kind of work? EDIT: Other teams of the company, like the database administrators team, the help desk team, the communication team or the network administrators team are already working in rotating shifts, and they don't like this but they do it anyway. I think the boss want that we work on rotating shifts too because of them, but since only we do programming I think the effects of rotating shifts could be, at least, different for us.

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  • Point data structure for a sketching application

    - by bebraw
    I am currently developing a little sketching application based on HTML5 Canvas element. There is one particular problem I haven't yet managed to find a proper solution for. The idea is that the user will be able to manipulate existing stroke data (points) quite freely. This includes pushing point data around (ie. magnet tool) and manipulating it at whim otherwise (ie. altering color). Note that the current brush engine is able to shade by taking existing stroke data in count. It's a quick and dirty solution as it just iterates the points in the current stroke and checks them against a distance rule. Now the problem is how to do this in a nice manner. It is extremely important to be able to perform efficient queries that return all points within given canvas coordinate and radius. Other features, such as space usage, should be secondary to this. I don't mind doing some extra processing between strokes while the user is not painting. Any pointers are welcome. :)

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  • how to check null value of Integer type field in ASP.NET MVC view?

    - by Vikas
    Hi, I have integer type field in database which is having property "Not Null". when i create a view & do a validation, if i left that field blank, it will consider it as 0 so i can not compare it with 0 because if someone insert a value 0 then it will be considered as error! one another problem is that i am using Model error as described in the book "ASP.NET MVC 1.0" @ Scott Gu blog. And I am checking the value in partial class of object (created by LINQ-To-SQL). i.e public partial class Person { public bool IsValid { get { return (GetRuleViolations().Count() == 0); } } public IEnumerable<RuleViolation> GetRuleViolations() { if (String.IsNullOrEmpty(Name)) yield return new RuleViolation("Name is Required", "Name"); if (Age == 0) yield return new RuleViolation("Age is Required", "Age"); yield break; } partial void OnValidate(ChangeAction action) { if (!IsValid) throw new ApplicationException("Rule violations prevent saving"); } } There is also problem with range. Like in database if i declared as smallint i.e. short in c#, now if i exceed that range then it gives error as "A Value is reguired". so finally is there any best way for validation in ASP.NET MVC?

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  • extension methods with generics - when does caller need to include type parameters?

    - by Greg
    Hi, Is there a rule for knowing when one has to pass the generic type parameters in the client code when calling an extension method? So for example in the Program class why can I (a) not pass type parameters for top.AddNode(node), but where as later for the (b) top.AddRelationship line I have to pass them? class Program { static void Main(string[] args) { // Create Graph var top = new TopologyImp<string>(); // Add Node var node = new StringNode(); node.Name = "asdf"; var node2 = new StringNode(); node2.Name = "test child"; top.AddNode(node); top.AddNode(node2); top.AddRelationship<string, RelationshipsImp>(node,node2); // *** HERE *** } } public static class TopologyExtns { public static void AddNode<T>(this ITopology<T> topIf, INode<T> node) { topIf.Nodes.Add(node.Key, node); } public static INode<T> FindNode<T>(this ITopology<T> topIf, T searchKey) { return topIf.Nodes[searchKey]; } public static void AddRelationship<T,R>(this ITopology<T> topIf, INode<T> parentNode, INode<T> childNode) where R : IRelationship<T>, new() { var rel = new R(); rel.Child = childNode; rel.Parent = parentNode; } } public class TopologyImp<T> : ITopology<T> { public Dictionary<T, INode<T>> Nodes { get; set; } public TopologyImp() { Nodes = new Dictionary<T, INode<T>>(); } }

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  • Read IFrame content using JavaScript

    - by Rajat
    Ok, This is my first time dealing seriously with IFrames and I cant seem to understand a few things: First the sample code I am testing with: <head> <script type="text/javascript"> function init(){ console.log("IFrame content: " + window.frames['i1'].document.getElementsByTagName('body')[0].innerHTML); } </script> </head> <body onload="init();"> <iframe name="i1" src="foo.txt"/> </body> the file "foo.txt" looks like this: sample text file Questions: 1) The iframe seems to be behaving as a HTML document and the file text is actually part of the body instead. Why ? Is it a rule for an IFrame to be a HTML document. Is it not possible for the content of an iframe to be just plain text ?? 2) The file content gets wrapped inside a pre tag for some reason. Why is this so ? Is it always the case? 3) My access method in the javascript is working but is there any other alternative? [native js solutions please] If the content is wrapped in a pre tag always then I will actually have to lookup inside the pre tag rather than lookup the innerHTML

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  • How frequently IP packets are fragmented at the source host?

    - by Methos
    I know that if IP payload MTU then routers usually fragment the IP packet. Finally all the fragmented packets are assembled at the destination using the fields IP-ID, IP fragment offsets and fragmentation flags. Max length of IP payload is 64K. Thus its very plausible for L4 to hand over payload which is 64K. If the L2 protocol is Ethernet, which often is the case, then the MTU will be about 1600 bytes. Hence IP packet will be fragmented at the source host itself. However, a quick search about IP implementation in Linux tells me that in recent kernels, L4 protocols are fragment friendly i.e. they try to save the fragmentation work for IP by handing over buffers of size which is close to MTU. Considering these two facts, I am wondering about how frequently does the IP packet gets fragmented at the source host itself. Does it occur sometimes/rarely/never? Does anyone know if there are exceptions to the rule of fragmentation in linux kernel (i.e. are there situations where L4 protocols are not fragment friendly)? How is this handled in other common OSes like windows? In general how frequently IP packets are fragmented?

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  • Looking for a very simple file-based CMS

    - by nfm
    I'm building a site for a friend for free, and am trying to work out a good way for her to be able to easily make updates. I haven't used any CMSs before. I was browsing the web today looking at some, and they all seem way too complicated for what I'm after. Basically, all I want is a really simple CMS that pulls together HTML snippets in particular subdirectories, and wraps them in header/footer HTML and inserts them into a template page in the appropriate section. I'm imagining a site layout something like this: / /index.php /blog_template.php /news_template.php /blog/ /blog/header.php /blog/footer.php /blog/my-first-blog.html /blog/blogs-rule.html /blog/... Say index.php contains div#blog. PHP would wrap each /blog/*.html file in /blog/header.php and blog/footer.php, and insert them into the div#blog as div#blog([0-9]*). I haven't been able to find anything this basic, and am one step away from throwing something together myself, but I'm a bit short on time at the moment and figured I'd post here first. Has anyone come across something like this? I don't want any DB, extensions, user accounts, installation, config, updates... just a simple file based solution. Thanks :) Forgot to mention - needs to be FOSS and run on Linux!

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  • Static files in (Java) App Engine not accessible.

    - by fiXedd
    The example documentation says that you simply need to place your files in war/ (or a subdirectory) and they should be accessible from the host (as long as they aren't JSPs or in WEB-INF). For example, if you place foo.css in war/ then you should be able to access it at http://localhost:8080/foo.css. However, this isn't working for me at all. NONE of my static files are accessible. The docs on appengine-web.xml say that you can also specifically denote certain types as static. I've tried this as well and it makes no difference. Am I missing something obvious? UPDATE: Turns out one of the mappings in my web.xml was a little too aggressive. The following was the culprit: <servlet> <servlet-name>Main</servlet-name> <servlet-class>MainServlet</servlet-class> </servlet> <servlet-mapping> <servlet-name>Main</servlet-name> <url-pattern>/</url-pattern> </servlet-mapping> It seems that it was grabbing everything that wasn't grabbed be one of the other rules, which I don't understand because there was no * on the end of the url-pattern. It also seems to be directly contradictory to the documentation that says: Note: Static files, files that are served verbatim to users such as images, CSS or JavaScript, are handled separately from paths mentioned in the deployment descriptor. A request for a URL path that matches a path to a file in the WAR that's considered a static file will serve the file, regardless of servlet and filter mappings in the deployment descriptor. You can exclude files from those treated as static files using the appengine-web.xml file. So, how can I have a rule that matches the base of my domain (eg. http://www.example.com/) and still allows the static files to filter through?

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  • Finding the Column Index for a Specific Value

    - by Btibert3
    Hi All, I am having a brain cramp. Below is a toy dataset: df <- data.frame( id = 1:6, v1 = c("a", "a", "c", NA, "g", "h"), v2 = c("z", "y", "a", NA, "a", "g"), stringsAsFactors=F) I have a specific value that I want to find across a set of defined columns and I want to identify the position it is located in. The fields I am searching are characters and the trick is that the value I am looking for might not exist. In addition, null strings are also present in the dataset. Assuming I knew how to do this, the variable position indicates the values I would like returned. > df id v1 v2 position 1 1 a z 1 2 2 a y 1 3 3 c a 2 4 4 <NA> <NA> 99 5 5 g a 2 6 6 h g 99 The general rule is that I want to find the position of value "a", and if it is not located or if v1 is missing, then I want 99 returned. In this instance, I am searching across v1 and v2, but in reality, I have 10 different variables. It is also worth noting that the value I am searching for can only exist once across the 10 variables. What is the best way to generate this recode? Many thanks in advance.

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  • Java Concurrency in practice sample question

    - by andy boot
    I am reading "Java Concurrency in practice" and looking at the example code on page 51. According to the book this piece of code is at risk of of failure if it has not been published properly. Because I like to code examples and break them to prove how they work. I have tried to make it throw an AssertionError but have failed. (Leading me to my previous question) Can anyone post sample code so that an AssertionError is thrown? Rule: Do not modify the Holder class. public class Holder{ private int n; public Holder(int n){ this.n = n; } public void assertSanity(){ if (n != n) { throw new AssertionError("This statement is false"); } } } I have modified the class to make it more fragile but I still can not get an AssertionError thrown. class Holder2{ private int n; private int n2; public Holder2(int n) throws InterruptedException{ this.n = n; Thread.sleep(200); this.n2 = n; } public void assertSanity(){ if (n != n2) { throw new AssertionError("This statement is false"); } } } Is it possible to make either of the above classes throw an AssertionError? Or do we have to accept that they may occasionally do so and we can't write code to prove it?

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  • Preserving order when copying elements using Deliverance / XPath

    - by Jon Hadley
    How would I, using Deliverance & XPath (or CSS) selectors, select and copy list items .one and .three from each list below, but display them in the order of their parent list? <ul id="a-wrapper"> <li class="one"></li> <li class="two"></li> <li class="three"></li> <li class="four"></li> </li> <ul id="b-wrapper"> <li class="one"></li> <li class="two"></li> <li class="three"></li> <li class="four"></li> </ul> c,d,e,f,g etc.... The catch is it needs to use a href rule, eg: <prepend href="/blah/deblah" content="#x" theme="#y" /> Using the following just lists all the .one elements, then all the .three elements. <prepend href="/blah/deblah" content=".one" theme="#y" /> <prepend href="/blah/deblah" content=".three" theme="#y" />

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  • Is it possible to replace values ina queryset before sending it to your template?

    - by Issy
    Hi Guys, Wondering if it's possible to change a value returned from a queryset before sending it off to the template. Say for example you have a bunch of records Date | Time | Description 10/05/2010 | 13:30 | Testing... etc... However, based on the day of the week the time may change. However this is static. For example on a monday the time is ALWAYS 15:00. Now you could add another table to configure special cases but to me it seems overkill, as this is a rule. How would you replace that value before sending it to the template? I thought about using the new if tags (if day=1), but this is more of business logic rather then presentation. Tested this in a custom template tag def render(self, context): result = self.model._default_manager.filter(from_date__lte=self.now).filter(to_date__gte=self.now) if self.day == 4: result = result.exclude(type__exact=2).order_by('time') else: result = result.order_by('type') result[0].time = '23:23:23' context[self.varname] = result return '' However it still displays the results from the DB, is this some how related to 'lazy' evaluation of templates? Thanks! Update Responding to comments below: It's not stored wrong in the DB, its stored Correctly However there is a small side case where the value needs to change. So for example I have a From Date & To date, my query checks if todays date is between those. Now with this they could setup a from date - to date for an entire year, and the special cases (like mondays as an example) is taken care off. However if you want to store in the DB you would have to capture several more records to cater for the side case. I.e you would be capturing the same information just to cater for that 1 day when the time changes. (And the time always changes on the same day, and is always the same)

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  • Are function-local typedefs visible inside C++0x lambdas?

    - by GMan - Save the Unicorns
    I've run into a strange problem. The following simplified code reproduces the problem in MSVC 2010 Beta 2: template <typename T> struct dummy { static T foo(void) { return T(); } }; int main(void) { typedef dummy<bool> dummy_type; auto x = [](void){ bool b = dummy_type::foo(); }; // auto x = [](void){ bool b = dummy<bool>::foo(); }; // works } The typedef I created locally in the function doesn't seem to be visible in the lambda. If I replace the typedef with the actual type, it works as expected. Here are some other test cases: // crashes the compiler, credit to Tarydon int main(void) { struct dummy {}; auto x = [](void){ dummy d; }; } // works as expected int main(void) { typedef int integer; auto x = [](void){ integer i = 0; }; } I don't have g++ 4.5 available to test it, right now. Is this some strange rule in C++0x, or just a bug in the compiler? From the results above, I'm leaning towards bug. Though the crash is definitely a bug. For now, I have filed two bug reports. All code snippets above should compile. The error has to do with using the scope resolution on locally defined scopes. (Spotted by dvide.) And the crash bug has to do with... who knows. :) Update According to the bug reports, they have both been fixed for the next release of Visual Studio 2010.

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  • C++ operator lookup rules / Koenig lookup

    - by John Bartholomew
    While writing a test suite, I needed to provide an implementation of operator<<(std::ostream&... for Boost unit test to use. This worked: namespace theseus { namespace core { std::ostream& operator<<(std::ostream& ss, const PixelRGB& p) { return (ss << "PixelRGB(" << (int)p.r << "," << (int)p.g << "," << (int)p.b << ")"); } }} This didn't: std::ostream& operator<<(std::ostream& ss, const theseus::core::PixelRGB& p) { return (ss << "PixelRGB(" << (int)p.r << "," << (int)p.g << "," << (int)p.b << ")"); } Apparently, the second wasn't included in the candidate matches when g++ tried to resolve the use of the operator. Why (what rule causes this)? The code calling operator<< is deep within the Boost unit test framework, but here's the test code: BOOST_AUTO_TEST_SUITE(core_image) BOOST_AUTO_TEST_CASE(test_output) { using namespace theseus::core; BOOST_TEST_MESSAGE(PixelRGB(5,5,5)); // only compiles with operator<< definition inside theseus::core std::cout << PixelRGB(5,5,5) << "\n"; // works with either definition BOOST_CHECK(true); // prevent no-assertion error } BOOST_AUTO_TEST_SUITE_END() For reference, I'm using g++ 4.4 (though for the moment I'm assuming this behaviour is standards-conformant).

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  • Using NULLs in matchup table

    - by TomWilsonFL
    I am working on the accounting portion of a reservation system (think limo company). In the system there are multiple objects that can either be paid or submit a payment. I am tracking all of these "transactions" in three tables called: tx, tx_cc, and tx_ch. tx generates a new tx_id (for transaction ID) and keeps the information about amount, validity, etc. Tx_cc and tx_ch keep the information about the credit card or check used, respectively, which link to other tables (credit_card and bank_account among others). This seems fairly normalized to me, no? Now here is my problem: The payment transaction can take place for a myriad of reasons. Either a reservation is being paid for, a travel agent that booked a reservation is being paid, a driver is being paid, etc. This results in multiple tables, one for each of the entities: agent_tx, driver_tx, reservation_tx, etc. They look like this: CREATE TABLE IF NOT EXISTS `driver_tx` ( `tx_id` int(10) unsigned zerofill NOT NULL, `driver_id` int(11) NOT NULL, `reservation_id` int(11) default NULL, `reservation_item_id` int(11) default NULL, PRIMARY KEY (`tx_id`) ) ENGINE=InnoDB DEFAULT CHARSET=utf8; Now this transaction is for a driver, but could be applied to an individual item on the reservation or the entire reservation overall. Therefore I demand either reservation_id OR reservation_item_id to be null. In the future there may be other things which a driver is paid for, which I would also add to this table, defaulting to null. What is the rule on this? Opinion? Obviously I could break this out into MANY three column tables, but the amount of OUTER JOINing needed seems outrageous. Your input is appreciated. Peace, Tom

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  • c++ use of winmain()

    - by Jack
    Hi, I just started learning programming for windows in c++. I had this crazy image, that win32 programming is based on calling windows functions and sending parameters to and from them. Like, when you want to create window, you call some win32 function that handles windows GUI and say "Hi, please, create me new window, 100 x 100 px, with two buttons", and that GUI function says "Hi, no problem, when something happends, like user clicks one button, I will change this variable xy located in this location". So, I thought that it will be very similiar to console programming. But the very first instruction surprised me. I always thought that every program executes main() function first. So, when I launch app, windows stores some parameters on top of stack and run that application. So I assumed that initializing main() is just a c++ way to tell the compiler where the first instruction should be. But in win32 programming, there is function called winmain() which starts first. So I am little confused. I thought it´s rule that compiler must have main() to start with, that main just defines where ti start, like some start point identifier. So, please, why is there winmain() function instead of main()? When I thought that C++ programming is as logical as assembler, it confuses me once again.

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  • c++ use of winmain()

    - by Jack
    Hi, I just started learning programming for windows in c++. I had this crazy image, that win32 programming is based on calling windows functions and sending parameters to and from them. Like, when you want to create window, you call some win32 function that handles windows GUI and say "Hi, please, create me new window, 100 x 100 px, with two buttons", and that GUI function says "Hi, no problem, when something happends, like user clicks one button, I will change this variable xy located in this location". So, I thought that it will be very similiar to console programming. But the very first instruction surprised me. I always thought that every program executes main() function first. So, when I launch app, windows stores some parameters on top of stack and run that application. So I assumed that initializing main() is just a c++ way to tell the compiler where the first instruction should be. But in win32 programming, there is function called winmain() which starts first. So I am little confused. I thought it´s rule that compiler must have main() to start with, that main just defines where ti start, like some start point identifier. So, please, why is there winmain() function instead of main()? When I thought that C++ programming is as logical as assembler, it confuses me once again.

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  • How is a functional programming-based javascript app laid out?

    - by user321521
    I've been working with node.js for awhile on a chat app (I know, very original, but I figured it'd be a good learning project). Underscore.js provides a lot of functional programming concepts which look interesting, so I'd like to understand how a functional program in javascript would be setup. From my understanding of functional programming (which may be wrong), the whole idea is to avoid side effects, which are basically having a function which updates another variable outside of the function so something like var external; function foo() { external = 'bar'; } foo(); would be creating a side effect, correct? So as a general rule, you want to avoid disturbing variables in the global scope. Ok, so how does that work when you're dealing with objects and what not? For example, a lot of times, I'll have a constructor and an init method that initializes the object, like so: var Foo = function(initVars) { this.init(initVars); } Foo.prototype.init = function(initVars) { this.bar1 = initVars['bar1']; this.bar2 = initVars['bar2']; //.... } var myFoo = new Foo({'bar1': '1', 'bar2': '2'}); So my init method is intentionally causing side effects, but what would be a functional way to handle the same sort of situation? Also, if anyone could point me to either a python or javascript source code of a program that tries to be as functional as possible, that would also be much appreciated. I feel like I'm close to "getting it", but I'm just not quite there. Mainly I'm interested in how functional programming works with traditional OOP classes concept (or does away with it for something different if that's the case).

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  • URL development and mod_rewrite

    - by iRector
    My site is made-up of the main page, and multiple sub-directories, all under the same domain. My URLS are currently like .................| Ideal clean version: mysite.com mysite.com/?content=content1 ......................| mysite.com/content1/ mysite.com/?content=content2&page=4 ........| mysite.com/content2/4/ mysite.com/?content=content3 ......................| mysite.com/content3/ mysite.com/?content=content4 ......................| mysite.com/content4/ mysite.com/?content=article&id=34 ............| mysite.com/article/34/ Then the sub-directories are essentially the same: mysite.com/subdir, mysite.com/subdir2, mysite.com/subdir3, etc mysite.com/subdir/?content=content1 ...................| mysite.com/subdir/content1/ mysite.com/subdir/?content=content2&page=4 .....| mysite.com/subdir/content2/4/ mysite.com/subdir/?content=content3 ...................| mysite.com/subdir/content3/ mysite.com/subdir/?content=content4 ...................| mysite.com/subdir/content4/ mysite.com/subdir/?content=article&id=34 .........| mysite.com/subdir/article/34/ I've used mod_rewrite briefly, but I'm not sure how to approach these multiple variables. Also, how would I differentiate between the actually subfolders, and the content variable. As so to prevent 'subdir' or 'subdir2' from being plugged in as the content variable for the root site. I've played around with plenty of code snippets, but I've wiped my .htaccess slate clean, and approach you all in an attempt to help me repopulate it. Your input would thoroughly be appreciated. Note: The only time the page query string will be needed is when 'content' == 'content2' ?content=content2&page=4 **Same rule is shared by the article/id relationship, all other 'content' values are expected to be dynamic.

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  • How to emulate mod_rewrite in PHP

    - by Tyler Crompton
    I have a few URLs that I want to map to certain files via PHP. Currently, I am just using mod_rewrite in Apache. However, my application is getting too large for the rewriting to be done with regular expressions. So I created a file router.php that does the rewriting. I understand to do a redirect I could just send the Location: header. However, I don't always want to do a redirect. For example, I may want /api/item/ to map to the file /herp/derp.php relative to the document root. I need to preserve the HTTP method as well. "No problem," I thought. I made my .htaccess have the following snippet. RewriteEngine On RewriteRule ^api/item/$ /cgi-bin/router.php [L] And my router.php file looks as follows: <?php $uri = parse_url($_SERVER['REQUEST_URI']); $query = isset($uri['query']) ? $uri['query'] ? array(); // some code that modifies the query require_once "{$_SERVER['DOCUMENT_ROOT']}/herp/derp.php?" . http_build_query($query); ?> However, this doesn't work, because the OS is looking for a file named derp.php?some=query. How can I simulate a rewrite rule such as RewriteRule ^api/item/$ /herp/derp/ [L] in PHP. In other words, how do I tell the server to process a different URL than requested and preserve the query and HTTP method without causing a redirect? Note: Using variables set in router.php is less than desirable and is bad structure since it's only supposed to be responsible for handling URLs. I am open to using a light-weight third party solution.

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  • How to remove a specific category on a selected mail in Outlook 2003 with Macro?

    - by szekelya
    Hi, I am trying to transform my Outlook2003 into the closest thing to gmail. I started to use categories, which are pretty similar to labels in gmail. I can assign categories automatically with rules, and I can add categories manually. I have also created "search folders", that show all mails with a given category, if they are not in the Deleted Items or Sent Items folders. This part is almost like the Label views in gmail. Two things are missing basically, which should be done with macros (VBA to be precise) which I'm totally inexperienced with. So hence my questions: -Can someone show me a macro to remove the category "Inbox"? That would act exactly like the Archive button in gmail. In fact I want to assign this macro to a toolbar button and call it Archive. I have a rule that adds the Inbox category to all incoming mail. As I said, I have a search folder displaying all mails categorized as Inbox, and I also have an All Mail search folder, that displays all messages regardless whether they have the Inbox category. Exactly like gmail, just the easy archiving is missing. -Can someone show me a macro that would delete the selected mail/mails and also would remove the Inbox category before deletion? I would replace the default delete button with this macro. (Somewhat less important, as in my search folders I can filter messages that are physically placed in the Deleted Items folder, but it would be more elegant not to have mails categorized as Inbox in the trash. Many thanks in advance, szekelya

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