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  • Keep coding the wrong way to remain consistent? [closed]

    - by bwalk2895
    Possible Duplicate: Code maintenance: keeping a bad pattern when extending new code for being consistent, or not? To keep things simple let's say I am responsible for maintaining two applications, AwesomeApp and BadApp (I am responsible for more and no that is not their actual names). AwesomeApp is a greenfield project I have been working on with other members on my team. It was coded using all the fancy buzzwords, Multilayer, SOA, SOLID, TDD, and so on. It represents the direction we want to go as a team. BadApp is a application that has been around for a long time. The architecture suffers from many sins, namely everything is tightly coupled together and it is not uncommon to get a circular dependency error from the compiler, it is almost impossible to unit test, large classes, duplicate code, and so on. We have a plan to rewrite the application following the standards established by AwesomeApp, but that won't happen for a while. I have to go into BadApp and fix a bug, but after spending months coding what I consider correctly, I really don't want do continue perpetuate bad coding practices. However, the way AwesomeApp is coded is vastly different from the way BadApp is coded. I fear implementing the "correct" way would cause confusion for other developers who have to maintain the application. Question: Is it better to keep coding the wrong way to remain consistent with the rest of the code in the application (knowing it will be replaced) or is it better to code the right way with an understanding it could cause confusion because it is so much different? To give you an example. There is a large class (1000+ lines) with several functions. One of the functions is to calculate a date based on an enumerated value. Currently the function handles all the various calculations. The function relies on no other functionality within the class. It is self contained. I want to break the function into smaller functions (at the very least) and put them into their own classes and hide those classes behind an interface (at the most) and use the factory pattern to instantiate the date classes. If I just broke it out into smaller functions within the class it would follow the existing coding standard. The extra steps are to start following some of the SOLID principles.

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  • Understanding the SQL Server 2008 R2 Installation Center

    - by Enrique Lima
    What is available to us through those links?  Have you taken the time to explore and identify what could be useful to you? One of many gems that has come to my attention is the possibility of provisioning SQL Server to work in an image based environment (hint: Virtualization Template perhaps?!?).   Planning: Includes requirements information, documentation, how to guides, online documentation installation and other tools. Among the other tools you will find the System Configuration checker and The Upgrade Advisor. Both tools very important to ensure your deployment and installation would be successful.     Installation:  This sections focuses on getting installations going, from standalone to cluster when it comes to new instances.  Add new nodes to an existing cluster, and also perform upgrades (in this case to SQL Server 2008 R2).  Also part of this is the option to find updates available.   Maintenance: We find in this section, options that will assist us in tasks like repairing corrupt installations to removing nodes from a cluster. An option that is interesting (and we should discuss benefits later in another post) is to be able to do an Edition Upgrade, this is a feature expansion and addition based on your product installation (Developer to Enterprise, for example)   Tools:  From the System Configuration Checker to identify readiness for deployment in a successful manner, to being able to report on features installed.  And being able to run upgrades of existing packages developed in the 2005 offering to the 2008 R2 release for SSIS.   Resources: Useful and essential links to gather information and guidance.   Advanced: Here is where it gets interesting.  I break this down into 3 main groups: Installation Automation: When you install SQL Server there is a configuration file that gets dropped (ConfigurationFile.ini) that would allow for you to perform automated installations.  There are switches and options that go with this to have that process working. Cluster configuration for Sysprep: Create images that are cluster ready, 2 options, start the prep work, and then the complete once at the final destination. Stand-alone configuration for Sysprep:  Like the clustering counterpart, 2 options, prep and complete.  Giving you the option to create standard templates for your SQL Server deployments. I find it fitting that the 3 topics listed here should (and will) be additional topics I will discuss.   Options: Very clear and specific about what this means. Select the Processor Type or the Installation Media Root Path.

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  • PASS: FY10 Actuals Posted

    - by Bill Graziano
    Earlier this year we published preliminary fiscal year 2010 financials to the Governance page on the PASS web site.  Please remember that FY10 runs from July 1st, 2009 through June 30th, 2010 and includes the November 2009 Summit.  We do our fiscal year this way so that the Summit falls earlier in the fiscal year.  The financials we had posted were P&L numbers at the portfolio level.  Prior to this we had posted our detailed budget but only posted the auditors report at the end of each year.  Today we updated our published financials to include: Pre-audit actuals from FY10 at the same level as our budget.  The document has both actuals and budget for FY10 side by side.  This is over 20 pages of detailed financial information covering hundreds of line-items. A letter describing key differences between our budget and actuals.  I walked through each line item where the difference was greater than $25,000 and explained what happened and why. We updated the financial graph going back to 2003 to include FY10. This update should “close the loop” on our financials.  You can now start with the published budget and compare it to the finished financials at the same level of detail.  We also plan to publish the auditor’s report when that is completed -- as we do every year. Overall I’m very happy with how FY10 turned out.  Keep in mind that this was the November 2009 Summit so we were still facing economic challenges.  With all that we were roughly break-even showing a $15,000 profit on $3.9 million of revenue.  I didn’t find anything shocking in reviewing our actual vs. budget but there were a few things that needed explanation.  You can see those in the letter on the governance page. Please keep in mind that these are the actuals from our operating financials.  The auditor may have us make adjustments for depreciation or other financial transactions.  We may also account for certain transactions differently for tax purposes than we do for financial reporting purposes.  I feel these financial statements give you the clearest picture of how our organization spends its money. We were late publishing these this year.  We were working through some tax issues and that delayed our ability to file our final tax forms which delayed this process.  In hindsight I should have published these documents as soon as we had them and not waited for the tax issues.  We’ll do this better in the future. And on a final note, you don’t need to login to view these documents.  If you have any questions you can post them here.  If we get more than a few questions we may see about creating some forums for financial issues on the PASS web site.

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  • How to refactor a method which breaks "The law of Demeter" principle?

    - by dreza
    I often find myself breaking this principle (not intentially, just through bad design). However recently I've seen a bit of code that I'm not sure of the best approach. I have a number of classes. For simplicity I've taken out the bulk of the classes methods etc public class Paddock { public SoilType Soil { get; private set; } // a whole bunch of other properties around paddock information } public class SoilType { public SoilDrainageType Drainage { get; private set; } // a whole bunch of other properties around soil types } public class SoilDrainageType { // a whole bunch of public properties that expose soil drainage values public double GetProportionOfDrainage(SoilType soil, double blockRatio) { // This method does a number of calculations using public properties // exposed off SoilType as well as the blockRatio value in some conditions } } In the code I have seen in a number of places calls like so paddock.Soil.Drainage.GetProportionOfDrainage(paddock.Soil, paddock.GetBlockRatio()); or within the block object itself in places it's Soil.Drainage.GetProportionOfDrainage(this.Soil, this.GetBlockRatio()); Upon reading this seems to break "The Law of Demeter" in that I'm chaining together these properties to access the method I want. So my thought in order to adjust this was to create public methods on SoilType and Paddock that contains wrappers i.e. on paddock it would be public class Paddock { public double GetProportionOfDrainage() { return Soil.GetProportionOfDrainage(this.GetBlockRatio()); } } on the SoilType it would be public class SoilType { public double GetProportionOfDrainage(double blockRatio) { return Drainage.GetProportionOfDrainage(this, blockRatio); } } so now calls where it used would be simply // used outside of paddock class where we can access instances of Paddock paddock.GetProportionofDrainage() or this.GetProportionOfDrainage(); // if used within Paddock class This seemed like a nice alternative. However now I have a concern over how would I enforce this usage and stop anyone else from writing code such as paddock.Soil.Drainage.GetProportionOfDrainage(paddock.Soil, paddock.GetBlockRatio()); rather than just paddock.GetProportionOfDrainage(); I need the properties to remain public at this stage as they are too ingrained in usage throughout the code block. However I don't really want a mixture of accessing the method on DrainageType directly as that seems to defeat the purpose altogether. What would be the appropiate design approach in this situation? I can provide more information as required to better help in answers. Is my thoughts on refactoring this even appropiate or should is it best to leave it as is and use the property chaining to access the method as and when required?

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  • while(true) and loop-breaking - anti-pattern?

    - by KeithS
    Consider the following code: public void doSomething(int input) { while(true) { TransformInSomeWay(input); if(ProcessingComplete(input)) break; DoSomethingElseTo(input); } } Assume that this process involves a finite but input-dependent number of steps; the loop is designed to terminate on its own as a result of the algorithm, and is not designed to run indefinitely (until cancelled by an outside event). Because the test to see if the loop should end is in the middle of a logical set of steps, the while loop itself currently doesn't check anything meaningful; the check is instead performed at the "proper" place within the conceptual algorithm. I was told that this is bad code, because it is more bug-prone due to the ending condition not being checked by the loop structure. It's more difficult to figure out how you'd exit the loop, and could invite bugs as the breaking condition might be bypassed or omitted accidentally given future changes. Now, the code could be structured as follows: public void doSomething(int input) { TransformInSomeWay(input); while(!ProcessingComplete(input)) { DoSomethingElseTo(input); TransformInSomeWay(input); } } However, this duplicates a call to a method in code, violating DRY; if TransformInSomeWay were later replaced with some other method, both calls would have to be found and changed (and the fact that there are two may be less obvious in a more complex piece of code). You could also write it like: public void doSomething(int input) { var complete = false; while(!complete) { TransformInSomeWay(input); complete = ProcessingComplete(input); if(!complete) { DoSomethingElseTo(input); } } } ... but you now have a variable whose only purpose is to shift the condition-checking to the loop structure, and also has to be checked multiple times to provide the same behavior as the original logic. For my part, I say that given the algorithm this code implements in the real world, the original code is the most readable. If you were going through it yourself, this is the way you'd think about it, and so it would be intuitive to people familiar with the algorithm. So, which is "better"? is it better to give the responsibility of condition checking to the while loop by structuring the logic around the loop? Or is it better to structure the logic in a "natural" way as indicated by requirements or a conceptual description of the algorithm, even though that may mean bypassing the loop's built-in capabilities?

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  • Insanity&ndash;Day 1

    - by D'Arcy Lussier
    Some people do those posts about “Here’s what I’m going to do to change my life”. I don’t really like those. I’m a “don’t tell me what you’re going to do, tell me what you’re doing/have done” type of guy. So while I could say how I’m going to change my life and be healthier and happier and thinner in 60 days, I’m just going to tell you how I’m progressing through the Insanity workout. Insanity is a workout-in-a-box. It’s a collection of DVDs that you work out to. Nothing new here, except that the program is intense. It’s core tenet of the program is intensity – you workout at an elevated heart rate for 3 minutes with a short break in between, as opposed to traditional interval training where you go hard for a short time and recover for a few minutes. The other aspect of it is commitment. There is a timetable to follow – you workout 6 days a week with one rest day. This isn’t meant to be a “pick it up whenever you feel like it” type of program. The videos themselves are kind of…I don’t want to say low quality, but not as polished as I expected. Maybe that’s what they were going for. By that I mean they show shots of cameramen and the production equipment during the workout. Otherwise, it’s the Insanity leader Shawn T. leading a group of pretty fit folks through this gruelling workout. And ultimately, those little production nit-picks are irrelevant compared to the actual workout. Holy crap. I haven’t done an aerobics class in like…ever. And watching the video before my actual workout, I thought “That doesn’t look too hard”. Believe me, it is. No weights, no machines, just various exercises done in circuits and with increasing speed. By the end of the workout, I was drenched. So that was day one. Some stats just so I can track it: I’m 286 lbs at my last weigh-in a week ago or so. Should be interesting to see what 60 days of this does! D

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  • Rolling With the Punches

    - by D'Arcy Lussier
    So I’ve been tweeting the last little while “Rolling with the punches” and I’ve had some people ask me what that meant. Whether you’re running a conference (like I am this week), or a project, or a birthday party for a 2 year old, you need to be ready to handle those things that are unexpected. Risk mitigation can only go so far and its at those times that you need to become resourceful. So let me tell you what the last few days have been like. Today is the first day of Prairie Dev Con Winnipeg, a conference that I run. On Friday I was informed that my keynote speaker had lost his voice, one of my speakers had a family emergency and had to back out, and I got a warning from another that he was travelling over the weekend and if there was a storm or something he may not be able to get back by Monday for his talk. A storm didn’t happen, but their car did break down and he was delayed. Finally, Saturday night I took my printing order to Staples. It was at 5 and they closed at 6, and I had a bunch of surveys to be printed and cut. The girl working said that she’d have it ready by the next day (Sunday). Her intent was to come in the next morning and finish the job. Unfortunately, she had to be hospitalized that night and never made it into work…and never informed anyone of the remaining work. They found out at 3pm when I came to pick it up and there was no way they’d be able to cut everything in time. So how did we roll with these punches? - Miguel, my keynote speaker, was a trooper and was able to do the keynote but asked that his session get moved from Monday to Tuesday. This is why I wait until the last day before printing out schedules, they can change up to the event and even later. - I was able to move some sessions around to accommodate my stranded speaker and fill the empty slot from the speaker that couldn’t make it. - Staples was able to get me half the cut surveys so I took those and my wife will pick up the rest today. I altered how we’d collect session surveys, and actually I think it’ll work better. So all of this is to say, plan but also plan for what you can’t plan for – there will be things that happen that blindside you, that you’re not sure how to handle or solve. Stop, take a deep breath, and don’t feel that you need to limit yourself to the boundaries that you initially set for yourself. Roll with the punch and learn from it so that you can avoid the blow next time. Now, back to the conference! D

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  • How to chain actions/animations together and delay their execution?

    - by codinghands
    I'm trying to build a simple game with a number of screens - 'TitleScreen', 'LoadingScreen', 'PlayScreen', 'HighScoreScreen' - each of which has it's own draw & update logic methods, sprites, other useful fields, etc. This works well for me as a game dev beginner, and it runs. However, on my 'PlayScreen' I want to run some animations before the player gets control - dropping in some artwork, playing some sound effects, generally prettifying things a little. However, I'm not sure what the best way to chain animations / sound effects / other timed general events is. I could make an intermediary screen, 'PrePlayScreen', which simply has all of this hardcoded like so: Update(){ Animation anim1 = new Animation(.....); Animation anim2 = new Animation(.....); anim1.Run(); if(anim1.State == AnimationState.Complete) anim2.Run(); if(anim2.State == AnimationState.Complete) // Load 'PlayScreen' screen } But this doesn't seem so great - surely their must be a better way? I then thought, 'Hey - an AnimationManager! That'd be awesome!'. But then that creeping OOP panic set in as I thought about it some more. If I create the Animation in my Screen, then add it to the AnimationManager (which may or may not be a GameComponent hooked up to Update/Draw), how can I get 'back' to it? To signal commands like start / end / repeat? I'd still need to keep a reference to the object in my Screen so that I could still communicate with it once it's buried in the bosom of a List in my AnimationManager. This seems bad. I've also tried using events - call 'Update' on all the animations in the PlayScreen update loop, but crucially all of the animations have a bool flag ('Active') which determines whether they should begin. The first animation has this set to 'true', all others 'false'. On completion the first animation raises an event, which sets animation 2's bool flag to true (and so it then runs). Once animation 2 is complete another 'anim complete' event is raised, and the screen state changes. Considering the game I'm making is basically as simple as it gets I know I'm overthinking this... it's just the paradigm shift from web - game development is making me break out in a serious case of the stupids.

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  • Redesigning an Information System - Part 1

    - by dbradley
    Through the next few weeks or months I'd like to run a small series of articles sharing my experiences from the largest of the project I've worked on and explore some of the real-world problems I've come across and how we went about solving them. I'm afraid I can't give too many specifics on the project right now as it's not yet complete so you'll have to forgive me for being a little abstract in places! To start with I'm going to run through a little of the background of the problem and the motivations to re-design from scratch. Then I'll work through the approaches taken to understanding the requirements, designing, implementing, testing and migrating to the new system. Motivations for Re-designing a Large Information System The system is one that's been in place for a number of years and was originally designed to do a significantly different one to what it's now being used for. This is mainly due to the product maturing as well as client requirements changing. As with most information systems this one can be defined in four main areas of functionality: Input – adding information to the system Storage – persisting information in an efficient, searchable structure Output – delivering the information to the client Control – management of the process There can be a variety of reasons to re-design an existing system; a few of our own turned out to be factors such as: Overall system reliability System response time Failure isolation and recovery Maintainability of code and information General extensibility to solve future problem Separation of business and product concerns New or improved features The factor that started the thought process was the desire to improve the way in which information was entered into the system. However, this alone was not the entire reason for deciding to redesign. Business Drivers Typically all software engineers would always prefer to do a project from scratch themselves. It generally means you don't have to deal with problems created by predecessors and you can create your own absolutely perfect solution. However, the reality of working within a business is that the bottom line comes down to return on investment. For a medium sized business such as mine there must be actual value able to be delivered within a reasonable timeframe for any work to be started. As a result, any long term project will generally take a lot of effort and consideration to be approved by those in charge and therefore it might be better to break down the project into more manageable chunks which allow more frequent deliverables and also value within a shorter timeframe. As the only thing of concern was the methods for inputting information, this is where we started with requirements gathering and design. However knowing that there might be more to the problem and not limiting your design decisions before the requirements is key to finding the best solutions.

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  • How to set up an rsync backup to Ubuntu securely?

    - by ws_e_c421
    I have been following various other tutorials and blog posts on setting up a Ubuntu machine as a backup "server" (I'll call it a server, but it's just running Ubuntu desktop) that I push new files to with rsync. Right now, I am able to connect to the server from my laptop using rsync and ssh with an RSA key that I created and no password prompt when my laptop is connected to my home router that the server is also connected to. I would like to be able to send files from my laptop when I am away from home. Some of the tutorials I have looked at had some brief suggestions about security, but they didn't focus on them. What do I need to do to let my laptop with send files to the server without making it too easy for someone else to hack into the server? Here is what I have done so far: Ran ssh-keygen and ssh-copy-id to create a key pair for my laptop and server. Created a script on the server to write its public ip address to a file, encrypt the file, and upload to an ftp server I have access to (I know I could sign up for a free dynamic DNS account for this part, but since I have the ftp account and don't really need to make the ip publicly accessible I thought this might be better). Here are the things I have seen suggested: Port forwarding: I know I need to assign the server a fixed ip address on the router and then tell the router to forward a port or ports to it. Should I just use port 22 or choose a random port and use that? Turn on the firewall (ufw). Will this do anything, or will my router already block everything except the port I want? Run fail2ban. Are all of those things worth doing? Should I do anything else? Could I set up the server to allow connections with the RSA key only (and not with a password), or will fail2ban provide enough protection against malicious connection attempts? Is it possible to limit the kinds of connections the server allows (e.g. only ssh)? I hope this isn't too many questions. I am pretty new to Ubuntu (but use the shell and bash scripts on OSX). I don't need to have the absolute most secure set up. I'd like something that is reasonably secure without being so complicated that it could easily break in a way that would be hard for me to fix.

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  • Where i set touch effect when a spawn Srite are comming on the screen?

    - by shihab_returns
    I just create a scene where create a spawn spirit that comes from above screen height in Landscape mode. Now i want to remove spirits when i touch on it. I tried but seems the code not works and crashed also after a while. here is my code: /** TimerHandler for collision detection and cleaning up */ IUpdateHandler detect = new IUpdateHandler() { @Override public void reset() { } @Override public void onUpdate(float pSecondsElapsed) { Iterator<AnimatedSprite> targets = targetLL.iterator(); AnimatedSprite _target; while (targets.hasNext()) { _target = targets.next(); if (_target.getY() >= cameraHeight) { // removeSprite(_target, targets); tPool.recyclePoolItem(_target); targets.remove(); Log.d("ok", "---------Looop Inside-----"); // fail(); break; } } targetLL.addAll(TargetsToBeAdded); TargetsToBeAdded.clear(); } }; /** adds a target at a random location and let it move along the y-axis */ public void addTarget() { Random rand = new Random(); int minX = mTargetTextureRegion.getWidth(); int maxX = (int) (mCamera.getWidth() - mTargetTextureRegion.getWidth()); int rangeX = maxX - minX; Log.d("----point----", "minX:" + minX + "maxX:" + maxX + "rangeX:" + rangeX); int rX = rand.nextInt(rangeX) + minX; int rY = (int) mCamera.getHeight() + mTargetTextureRegion.getHeight(); Log.d("---Random x----", "Random x" + rX + "Random y" + rY); target = tPool.obtainPoolItem(); target.setPosition(rX, rY); target.animate(100); mMainScene.attachChild(target, 1); mMainScene.registerTouchArea(target); int minDuration = 2; int maxDuration = 32; int rangeDuration = maxDuration - minDuration; int actualDuration = rand.nextInt(rangeDuration) + minDuration; // MoveXModifier mod = new MoveXModifier(actualDuration, target.getX(), // -target.getWidth()); MoveYModifier mody = new MoveYModifier(actualDuration, -target.getHeight(), cameraHeight + 10); target.registerEntityModifier(mody.deepCopy()); TargetsToBeAdded.add(target); } @Override public boolean onAreaTouched(final TouchEvent pSceneTouchEvent, final ITouchArea pTouchArea, final float pTouchAreaLocalX, final float pTouchAreaLocalY) { if (pTouchArea == target) { Toast.makeText(getApplicationContext(), "Yoooooooo", Toast.LENGTH_LONG).show(); } return true; } ** My question is where i implements IOnAreaTouchListener in My code. ? ** Thanks in Advance.

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  • Series On Embedded Development (Part 2) - Build-Time Optionality

    - by user12612705
    In this entry on embedded development, I'm going to discuss build-time optionality (BTO). BTO is the ability to subset your software at build-time so you only use what is needed. BTO typically pertains more to software providers rather then developers of final products. For example, software providers ship source products, frameworks or platforms which are used by developers to build other products. If you provide a source product, you probably don't have to do anything to support BTO as the developers using your source will only use the source they need to build their product. If you provide a framework, then there are some things you can do to support BTO. Say you provide a Java framework which supports audio and video. If you provide this framework in a single JAR, then developers who only want audio are forced to ship their product with the video portion of your framework even though they aren't using it. In this case, support providing the framework in separate JARs...break the framework into an audio JAR and a video JAR and let the users of your framework decide which JARs to include in their product. Sometimes this is as simple as packaging, but if, for example, the video functionality is dependent on the audio functionality, it may require coding work to cleanly separate the two. BTO can also work at install-time, and this is sometimes overlooked. Let's say your building a phone application which can use Near Field Communications (NFC) if it's available on the phone, but it doesn't require NFC to work. Typically you'd write one app for all phones (saving you time)...both those that have NFC and those that don't, and just use NFC if it's there. However, for better efficiency, you can detect at install-time if the phone supports NFC and not install the NFC portion of your app if the phone doesn't support NFC. This requires that you write the app so it can run without the optional NFC code and that you write your install app so it can detect NFC and do the right thing at install-time. Supporting install-time optionality will save persistent footprint on the phone, something your customers will appreciate, your app "neighbors" will appreciate, and that you'll appreciate when they save static footprint for you. In the next article, I'll talk about runtime optionality.

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  • LWJGL: Camera distance from image plane?

    - by Rogem
    Let me paste some code before I ask the question... public static void createWindow(int[] args) { try { Display.setFullscreen(false); DisplayMode d[] = Display.getAvailableDisplayModes(); for (int i = 0; i < d.length; i++) { if (d[i].getWidth() == args[0] && d[i].getHeight() == args[1] && d[i].getBitsPerPixel() == 32) { displayMode = d[i]; break; } } Display.setDisplayMode(displayMode); Display.create(); } catch (Exception e) { e.printStackTrace(); System.exit(0); } } public static void initGL() { GL11.glEnable(GL11.GL_TEXTURE_2D); GL11.glShadeModel(GL11.GL_SMOOTH); GL11.glClearColor(0.0f, 0.0f, 0.0f, 0.0f); GL11.glClearDepth(1.0); GL11.glEnable(GL11.GL_DEPTH_TEST); GL11.glDepthFunc(GL11.GL_LEQUAL); GL11.glMatrixMode(GL11.GL_PROJECTION); GL11.glLoadIdentity(); GLU.gluPerspective(45.0f, (float) displayMode.getWidth() / (float) displayMode.getHeight(), 0.1f, 100.0f); GL11.glMatrixMode(GL11.GL_MODELVIEW); GL11.glHint(GL11.GL_PERSPECTIVE_CORRECTION_HINT, GL11.GL_NICEST); } So, with the camera and screen setup out of the way, I can now ask the actual question: How do I know what the camera distance is from the image plane? I also would like to know what the angle between the image plane's center normal and a line drawn from the middle of one of the edges to the camera position is. This will be used to consequently draw a vector from the camera's position through the player's click-coordinates to determine the world coordinates they clicked (or could've clicked). Also, when I set the camera coordinates, do I set the coordinates of the camera or do I set the coordinates of the image plane? Thank you for your help. EDIT: So, I managed to solve how to calculate the distance of the camera... Here's the relevant code... private static float getScreenFOV(int dim) { if (dim == 0) { float dist = (float) Math.tan((Math.PI / 2 - Math.toRadians(FOV_Y))/2) * 0.5f; float FOV_X = 2 * (float) Math.atan(getScreenRatio() * 0.5f / dist); return FOV_X; } else if (dim == 1) { return FOV_Y; } return 0; } FOV_Y is the Field of View that one defines in gluPerspective (float fovy in javadoc). This seems to be (and would logically be) for the height of the screen. Now I just need to figure out how to calculate that vector.

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  • MVC Can the model know ANYTHING about the view?

    - by AwDogsGo2Heaven
    I'm working on a game, and without getting into any details I am using MVC "patterns", "rules" or whatever you want to call it to make the game. The view includes everything needed to draw things on the screen, the controller passes input to the model. And the Model contains game logic. Here's my problem, the game is being made for mobile devices that vary in screen sizes. I feel my model needs to know the view size so it can appropriately adjust for it. I've thought about it for a while I could put all the adjustments in the view, but it just seems inefficient to translate the model positioning to the view's needed positioning every time. If the model knows the size it only needed to adjust itself once. So my question is can I pass the view size to the model without 'breaking' MVC? I feel personally they are still decoupled this way because a size is just a number, I could still change the view any time as long as it has a size. But I wanted to get a community response on this because I haven't seen many discussions of MVC being used in a game. (And to be clear I don't want an answer of why I shouldn't use it in a game, but do I break MVC by letting it know the view's size) EDIT - More details on the game's needs and why I wanted to pass the view. Some objects positions need to be set relative to the edge of the screen (such as UI elements) so that they appear relatively in the same place. Sprite sizes are not stretched if the window size is wider such as an IPhone 5 screen. They will just be placed relatively to the screen edge. .If I gave it to the view to handle this, I will need a flag saying that this element is positioned say x number of pixels from TOP BOTTOM RIGHT LEFT. Then allow the view to draw it with that information. Its acceptable, I just wanted to know if there was a better way while still being MVC because it seems this way will be repeating a logic over and over, where as if I knew the view size in the model, I could convert all the relative positions into absolute positions in one run, but with this I have to convert on every update to the screen.

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  • How can I add a character and enemies to a game that uses Parallax Scrolling? [on hold]

    - by Homer_Simpson
    I use the following code to create Parallax Scrolling: http://www.david-gouveia.com/portfolio/2d-camera-with-parallax-scrolling-in-xna/ Parallax Scrolling is working but I don't know how to add the player and the enemies. I tried to add a player class to the existing code, but if the player moves, then the camera isn't pointing at the player. The player leaves the camera viewport after a few seconds. I use the following code(as described in the tutorial), but it's not working: // Updates my camera to lock on the character _camera.LookAt(player.Playerposition); What can I do so that the player is always the center of the camera? How should I add the character and the enemies to the game? Should I create a layer for the character and the enemies? For example: new Layer(_camera) { Parallax = new Vector2(0.9f, 1.0f) } At the moment, I don't use a layer for the player and I don't have implemented the enemies because I don't know how to do that. My player class: public class Player { Texture2D Playertex; public Vector2 Playerposition = new Vector2(400, 240); private Game1 game1; public Player(Game1 game) { game1 = game; } public void Load(ContentManager content) { Playertex = content.Load<Texture2D>("8bitmario"); TouchPanel.EnabledGestures = GestureType.HorizontalDrag; } public void Update(GameTime gameTime) { while (TouchPanel.IsGestureAvailable) { GestureSample gs = TouchPanel.ReadGesture(); switch (gs.GestureType) { case GestureType.HorizontalDrag: Playerposition.X += 3f; break; } } } public void Render(SpriteBatch batch) { batch.Draw(Playertex, new Vector2(Playerposition.X - Playertex.Width / 2, Playerposition.Y - Playertex.Height / 2), Color.White); } } In Game1, I update the player and camera class: protected override void Update(GameTime gameTime) { // Updates my character's position player.Update(gameTime); // Updates my camera to lock on the character _camera.LookAt(player.Playerposition); base.Update(gameTime); } protected override void Draw(GameTime gameTime) { GraphicsDevice.Clear(Color.CornflowerBlue); foreach (Layer layer in _layers) layer.Draw(spriteBatch); spriteBatch.Begin(SpriteSortMode.Deferred, null, null, null, null, null, _camera.GetViewMatrix(new Vector2(0.0f, 0.0f))); player.Render(spriteBatch); spriteBatch.End(); base.Draw(gameTime); }

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  • subneting .. is 192.168.0.1/24 different than 192.168.0.1/25

    - by SM
    So i am trying to understand subnetting. I understand that you can take 192.168.0.0/24 domain and break it up in 2 subnets. 192.168.0.0/25 and 192.168.0.128/25 .. so what if i need to create 2 more subnets inside both of those above subnets. What if i need to create 2 subnets, which have 2 more subnets inside them and each of those 2 subnets have 2 hosts. As per my calculation, this would be something like. top 2 subnets: 192.168.0.0/25 and 192.168.0.128/25 subnets of 192.168.0.0/25: 192.168.0.0/26 - 192.168.0.128/26 subnets of 192.168.0.128/25: 192.168.0.128/26 - 192.168.0.192/26 hosts of 192.168.0.0/25: 192.168.0.1/25 - 192.168.0.2/25 hosts of 192.168.0.128/25: 192.168.0.129/25 - 192.168.0.130/25 hosts of 192.168.0.0/26: 192.168.0.1/26 - 192.168.0.2/26 hosts of 192.168.0.128/26: 192.168.0.129/26 - 192.168.0.130/26 hosts of 192.168.0.128/26: 192.168.0.129/26 - 192.168.0.130/26 hosts of 192.168.0.192/26: 192.168.0.193/26 - 192.168.0.194/26 The above doesnt seem right, i am moving down like a tree, however the subnet mask and IPs are being repeated, i am just add 1 to /x and making the ips from there. Can anyone please tell me if this is correct The scenario i am trying to understand is similar to this, however i just want to add hosts on each level as well. http://www.ciscotrick.com/wp-content/uploads/2008/08/the_mathematical_relationship_between_network_block_sizes.jpg

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  • Why does my PowerShell script hang when called in PSEXEC via a batch (.cmd) file?

    - by Kev
    I'm trying to remotely execute a PowerShell script using PSEXEC. The PowerShell script is called via a .cmd batch file. The reason we do this is to change the execution policy, run the powershell script then reset the execution policy again: On the remote server do-tasks.cmd looks like: powershell -command "&{ set-executionpolicy unrestricted}" powershell DoTasks.ps1 powershell -command "&{ set-executionpolicy restricted}" The PowerShell script DoTasks.ps1 just does this for now: Write-Output "Hello World!" Both of these scripts live in c:\windows\system32 (for now) just so they're on the PATH. On the originating server I do this: psexec \\web1928 -u administrator -p "adminpassword" do-tasks.cmd When this runs I get the following response at the command line: c:\Windows\system32>powershell -command "&{ set-executionpolicy unrestricted}" and the script runs no further. I can't ctrl-c to break the script and I just see ^C characters, I can type input from the keyboard and the characters are echoed to console. On the remote server I see that PowerShell.exe and CMD.exe are running in Task Manager's Process tab. If I end these processes then control returns to the command line on the originating server. I have tried this with just a simple .cmd batch file with a @echo hello world and it works just fine. Running do-tasks.cmd on the remote server via an RDP session works ok as well. Why is my remote batch file getting stuck when executing via PSEXEC?

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  • Timeline chart in Excel

    - by Axarydax
    Hi, I'd like to see a timeline of events from a database in a "timeline chart", that should look like this: http://i46.tinypic.com/sw3dj5.png - I've made me a small c# program that paints this onto a Bitmap, but that isn't the way to go. I have input data that has 3 fields: StartX EndX Y 2596 15008 1 5438 6783 2 5450 5453 4 5456 5459 4 5462 5466 4 5470 5474 4 5477 5657 5 5662 5665 4 5668 5671 4 As the picture shows, for each line I'd like to have a line from StartX to EndX with a Y value of Y. Stacked bar chart almost solves my problem, but I don't want to have a new line on the chart for every row, I have thousands of rows and I'd like to have X axis as the time axis, and view which events (Y is the type of the event) happened simultaneously. The image ( http://i46.tinypic.com/sw3dj5.png) I've generated with a simple C# program shows that the event SYSTEM was active all the time, and the events TECH and BREAK were almost exclusive, but had some overlaps. I'd like to at least know the correct direction which I should take; I'm lost in the multitude of Excel chart types. Thanks.

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  • Postfix: LDAP not working (warning: dict_ldap_lookup: Search base not found: 32: No such object)

    - by Heinzi
    I set up LDAP access with postfix. ldapsearch -D "cn=postfix,ou=users,ou=system,[domain]" -w postfix -b "ou=users,ou=people,[domain]" -s sub "(&(objectclass=inetOrgPerson)(mail=[mailaddr]))" delivers the correct entry. The LDAP config file looks like root@server2:/etc/postfix/ldap# cat mailbox_maps.cf server_host = localhost search_base = ou=users,ou=people,[domain] scope = sub bind = yes bind_dn = cn=postfix,ou=users,ou=system,[domain] bind_pw = postfix query_filter = (&(objectclass=inetOrgPerson)(mail=%s)) result_attribute = uid debug_level = 2 The bind_dn and bind_pw should be the same as I used above with ldapsearch. Nevertheless, calling postmap doesn't work: root@server2:/etc/postfix/ldap# postmap -q [mailaddr] ldap:/etc/postfix/ldap/mailbox_maps.cf postmap: warning: dict_ldap_lookup: /etc/postfix/ldap/mailbox_maps.cf: Search base 'ou=users,ou=people,[domain]' not found: 32: No such object If I change LDAP configuration, so that anonymous users have complete access to LDAP olcAccess: {-1}to * by * read then it works: root@server2:/etc/postfix/ldap# postmap -q [mailaddr] ldap:/etc/postfix/ldap/mailbox_maps.cf [user-id] But when I restrict this access to the postfix user: olcAccess: {-1}to * by dn="cn=postfix,ou=users,ou=system,[domain]" read by * break it doesn't work but produces the error printed above (although ldapsearch works, only postmap doesn't). Why doesn't it work when binding with a postfix DN? I think I set up the LDAP ACL for the postfix user correctly, as the ldapsearch command should prove. What can be the reason for this behaviour?

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  • Why can't I delete my depot on Perforce?

    - by teukkam
    I'm just messing around in a local Perforce database, trying to figure out how I can reset Perforce back to a previous state without journaling or deleting and recreating the database files. I have some depots without files, one of them is called "sandbox". I created it with the p4 depot command either from the command line or using the P4Python API (at this point I don't remember which). When I type: p4 depot -d sandbox I get this: Depot sandbox isn't empty. To delete a depot, all file revisions must be removed and all lazy copy references from other depots must be severed. Use 'p4 obliterate' or 'p4 snap' to break file linkages from other depots, then clear this depot with 'p4 obliterate', then retry the deletion. I tried p4 obliterate -y sandbox which just says No records to delete. which is expectable as the depot is empty. Anyway it doesn't change the result from p4 depot -d. There are also no connections from other depots as the error message suggests. Any idea what is happening and is there a foolproof way to force a depot to be deleted without deleting the server files altogether? Ultimately I want to do this automatically from P4Python.

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  • The frame buffer layout of the current display cannot be made to match...

    - by adambox
    I get this error when I have VM running in VMWare Workstation on my work PC and try Remote Desktop-ing in from my iMac at home. I just upgraded VMWare Workstation to 7.0 from 6.0 and now I'm getting it when I try to resume my VM at work. It then asks me the scary question of whether I want to preserve or discard the suspended state. I don't want to lose stuff! ack! Update I backed up my VM and tried hitting that "discard" button and the result was a reboot of the VM. I then tried restoring to a snapshot, and none of my snapshots work! Is there anyway to fix this so I can run 7 but still have my old snapshots? The frame buffer layout of the current display cannot be made to match the frame buffer layout stored in the snapshot. The dimensions of the frame buffer in the snapshot are: Max width 3200, Max height 1770, Max size 22659072. The dimensions of the frame buffer on the current display are: Max width 3200, Max height 1600, Max size 20512768. Error encountered while trying to restore the virtual machine state from file "C:\Documents and Settings\adam\My Documents\My Virtual Machines\dev\Windows XP Professional.vmss". What do I do so I don't break things horribly?

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  • Group policy waited for the network subsystem

    - by the-wabbit
    In an AD domain with Windows Server 2008 R2 DCs users are complaining about delays in the bootup process of the clients. The group policy log reveals that the client is waiting ~ 20-50 seconds for "the network subsystem": Event 5322, GroupPolicy Group policy waited for 29687 milliseconds for the network subsystem at computer boot. This appears to be domain-specific as machines joining a different domain from the same network do not experience any delays and Event 5322 reports <1000 ms wait times at startup. It happens on virtual and physical machines alike, so it does not look like a hardware- or driver-related issue. Further investigation has shown that the client is taking its time before issuing DHCP requests. In the network traces, I can see IPv6 router solicitations and multicast DNS name registrations as soon as the network driver is loaded and the network connection is reported "up" in the event log (e1cexpress/36). Yet, the DHCPv4 client service seems to take another 15-50 seconds to start (Dhcp-Client/50036), so the IPv4 address remains unconfigured for a while. The DHCP client's messages in the event log are succeeding the service start of the "Sophos Anti-Virus" service (Sophos AV 10.3 package), which I suspect to be the culprit - the DHCP client service dependencies include the TDI Support driver which might be what Sophos is using to intercept network traffic: Network Location Awareness seems to break at startup as a side-effect, I see that off-site DCs are contacted due to what seems like a race condition between the GP client and the DHCP client / NLA service startup. I could set the Group Policy Client service to depend on NLA, yet this still would not eliminate the delay. Also, I am not all that sure that this is a good idea. Is there a known resolution which would eliminate the startup delay?

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  • Vista Power Management GPO

    - by Matt
    Hi, I've created a loopback GPO that has several settings (both computer and user) including a Custom User Interface (Access 2007 Application) and Power Management (has the computer sleep after being idle for 2 min). I'm also filtering so that this policy does not apply to "Admins" - only to "Users". The problem I'm having is when the "Users" login the Power Management settings don’t work, but they do for "Admins". For testing I'm allowing the "Users" to launch Task Manager and use the Run line, so I'll run Explorer and look at Power Management and it shows the settings from my GPO. So I created a test OU with copies of the aforementioned GPO, but removed the Custom User Interface and found the Power Management settings do work for both the "Users" and "Admins". When I add the Custom UI the Power Management settings break for the "User" but continue to work for "Admins". Do the Power Management options need to have User Interface be "Explorer.exe"? Is this a bug or am I doing this the wrong way? BTW the tablets are using Vista SP2. Any insight or advice would be greatly appreciated. Thanks, Matt

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  • Can I subnet a subnet?

    - by Portman
    Apologies in advance for the botched terminology. I have read the Server Fault Subnet Wiki but this is more of an ISP question. I currently have a /27 block of public IPs. I use give my router the first address in this pool and then use 1-to-1 NAT for all the servers behind the firewall, so that they each get their own public IP. The router/firewall is currently using (actual addresses removed to protect the guilty): IP Address: XXX.XXX.XXX.164 Subnet mask: 255.255.255.224 Gateway: XXX.XXX.XXX.161 What I would like to do is break out my subnet into two separate /28 subnets. And do this in a way that is transparent to the ISP (i.e., they see me as continuing to operate a single /27). Currently, my topology looks like: ISP | [Router/Firewall] | [Managed Ethernet Switch] / \ \ [Server1] [Server2] [Server3] (etc) Instead, I would like it to look like: ISP | [Switch] / \ [Router1] [Router2] | | | | [S1] [S2] [S3] [S4] (etc) As you can see, this would partition me into two separate networks. I'm struggling with what the correct IP settings would be on Router1 and Router2. Here's what I have right now: Router1 Router2 IP Address: XXX.XXX.XXX.164 XXX.XXX.XXX.180 Subnet mask: 255.255.255.240 255.255.255.240 Gateway: XXX.XXX.XXX.161 XXX.XXX.XXX.161 Note that normally you would expect Router2 to have a gateway of .177, but I'm trying to get them both to use the gateway originally given to me by the ISP. Is subnetting like this in fact possible, or am I completely botching the most basic concepts?

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  • squid ssl bump sslv3 enforce to allow old sites

    - by Shrey
    Important: I have this question on stackoverflow but somebody told me this is more relevant place for this question. Thanks I have configured squid(3.4.2) as ssl bumped proxy. I am setting proxy in firefox(29) to use squid for https/http. Now it works for most sites, but some sites which support old SSL proto(sslv3) break, and I see squid not employing any workarounds for those like browsers do. Sites which should work: https://usc-excel.officeapps.live.com/ , https://www.mahaconnect.in As a workaround I have set sslproxy_version=3 , which enforces SSLv3 and above sites work. My question: is there a better way to do this which does not involve enforcing SSLv3 for servers supporting TLS1 or better. Now I know openssl doesn't automatically handle that. But I imagined squid would. My squid conf snipper: http_port 3128 ssl-bump generate-host-certificates=on dynamic_cert_mem_cache_size=4MB cert=/usr/local/squid/certs/SquidCA.pem always_direct allow all ssl_bump server-first all sslcrtd_program /usr/local/squid/libexec/ssl_crtd -s /usr/local/squid/var/lib/ssl_db -M 4MB client_persistent_connections on server_persistent_connections on sslproxy_version 3 sslproxy_options ALL cache_dir aufs /usr/local/squid/var/cache/squid 100 16 256 coredump_dir /usr/local/squid/var/cache/squid strip_query_terms off httpd_suppress_version_string on via off forwarded_for transparent vary_ignore_expire on refresh_pattern ^ftp: 1440 20% 10080 refresh_pattern ^gopher: 1440 0% 1440 refresh_pattern -i (/cgi-bin/|\?) 0 0% 0 refresh_pattern . 0 20% 4320 UPDATE: I have tried compiling squid 3.4.5 with openssl 1.0.1h . No improvements

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