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  • Missing Fields and Default Values

    - by PointsToShare
    © 2011 By: Dov Trietsch. All rights reserved Dealing with Missing Fields and Default Values New fields and new default values are not propagated throughout the list. They only apply to new and updated items and not to items already entered. They are only prospective. We need to be able to deal with this issue. Here is a scenario. The user has an old list with old items and adds a new field. The field is not created for any of the old items. Trying to get its value raises an Argument Exception. Here is another: a default value is added to a field. All the old items, where the field was not assigned a value, do not get the new default value. The two can also happen in tandem – a new field is added with a default. The older items have neither. Even better, if the user changes the default value, the old items still carry the old defaults. Let’s go a bit further. You have already written code for the list, be it an event receiver, a feature receiver, a console app or a command extension, in which you span all the fields and run on selected items – some new (no problem) and some old (problems aplenty). Had you written defensive code, you would be able to handle the situation, including similar changes in the future. So, without further ado, here’s how. Instead of just getting the value of a field in an item – item[field].ToString() – use the function below. I use ItemValue(item, fieldname, “mud in your eye”) and if “mud in your eye” is what I get, I know that the item did not have the field.   /// <summary> /// Return the column value or a default value /// </summary> private static string ItemValue(SPItem item, string column, string defaultValue) {     try     {         return item[column].ToString();     }     catch (NullReferenceException ex)     {         return defaultValue;     }     catch (ArgumentException ex)     {         return defaultValue;     } } I also use a similar function to return the default and a funny default-default to ascertain that the default does not exist. Here it is:  /// <summary> /// return a fields default or the "default" default. /// </summary> public static string GetFieldDefault(SPField fld, string defValue) {     try     {         // -- Check if default exists.         return fld.DefaultValue.ToString();     }     catch (NullReferenceException ex)     {         return defValue;     }     catch (ArgumentException ex)     {         return defValue;     } } How is this defensive? You have trapped an expected error and dealt with it. Therefore the program did not stop cold in its track and the required code ran to its end. Now, take a further step - write to a log (See Logging – a log blog). Read your own log every now and then, and act accordingly. That’s all Folks!

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  • Pro/con of using Angular directives for complex form validation/ GUI manipulation

    - by tengen
    I am building a new SPA front end to replace an existing enterprise's legacy hodgepodge of systems that are outdated and in need of updating. I am new to angular, and wanted to see if the community could give me some perspective. I'll state my problem, and then ask my question. I have to generate several series of check boxes based on data from a .js include, with data like this: $scope.fieldMappings.investmentObjectiveMap = [ {'id':"CAPITAL PRESERVATION", 'name':"Capital Preservation"}, {'id':"STABLE", 'name':"Moderate"}, {'id':"BALANCED", 'name':"Moderate Growth"}, // etc {'id':"NONE", 'name':"None"} ]; The checkboxes are created using an ng-repeat, like this: <div ng-repeat="investmentObjective in fieldMappings.investmentObjectiveMap"> ... </div> However, I needed the values represented by the checkboxes to map to a different model (not just 2-way-bound to the fieldmappings object). To accomplish this, I created a directive, which accepts a destination array destarray which is eventually mapped to the model. I also know I need to handle some very specific gui controls, such as unchecking "None" if anything else gets checked, or checking "None" if everything else gets unchecked. Also, "None" won't be an option in every group of checkboxes, so the directive needs to be generic enough to accept a validation function that can fiddle with the checked state of the checkbox group's inputs based on what's already clicked, but smart enough not to break if there is no option called "NONE". I started to do that by adding an ng-click which invoked a function in the controller, but in looking around Stack Overflow, I read people saying that its bad to put DOM manipulation code inside your controller - it should go in directives. So do I need another directive? So far: (html): <input my-checkbox-group type="checkbox" fieldobj="investmentObjective" ng-click="validationfunc()" validationfunc="clearOnNone()" destarray="investor.investmentObjective" /> Directive code: .directive("myCheckboxGroup", function () { return { restrict: "A", scope: { destarray: "=", // the source of all the checkbox values fieldobj: "=", // the array the values came from validationfunc: "&" // the function to be called for validation (optional) }, link: function (scope, elem, attrs) { if (scope.destarray.indexOf(scope.fieldobj.id) !== -1) { elem[0].checked = true; } elem.bind('click', function () { var index = scope.destarray.indexOf(scope.fieldobj.id); if (elem[0].checked) { if (index === -1) { scope.destarray.push(scope.fieldobj.id); } } else { if (index !== -1) { scope.destarray.splice(index, 1); } } }); } }; }) .js controller snippet: .controller( 'SuitabilityCtrl', ['$scope', function ( $scope ) { $scope.clearOnNone = function() { // naughty jQuery DOM manipulation code that // looks at checkboxes and checks/unchecks as needed }; The above code is done and works fine, except the naughty jquery code in clearOnNone(), which is why I wrote this question. And here is my question: after ALL this, I think to myself - I could be done already if I just manually handled all this GUI logic and validation junk with jQuery written in my controller. At what point does it become foolish to write these complicated directives that future developers will have to puzzle over more than if I had just written jQuery code that 99% of us would understand with a glance? How do other developers draw the line? I see this all over Stack Overflow. For example, this question seems like it could be answered with a dozen lines of straightforward jQuery, yet he has opted to do it the angular way, with a directive and a partial... it seems like a lot of work for a simple problem. Specifically, I suppose I would like to know: how SHOULD I be writing the code that checks whether "None" has been selected (if it exists as an option in this group of checkboxes), and then check/uncheck the other boxes accordingly? A more complex directive? I can't believe I'm the only developer that is having to implement code that is more complex than needed just to satisfy an opinionated framework.

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  • Approach for packing 2D shapes while minimizing total enclosing area

    - by Dennis
    Not sure on my tags for this question, but in short .... I need to solve a problem of packing industrial parts into crates while minimizing total containing area. These parts are motors, or pumps, or custom-made components, and they have quite unusual shapes. For some, it may be possible to assume that a part === rectangular cuboid, but some are not so simple, i.e. they assume a shape more of that of a hammer or letter T. With those, (assuming 2D shape), by alternating direction of top & bottom, one can pack more objects into the same space, than if all tops were in the same direction. Crude example below with letter "T"-shaped parts: ***** xxxxx ***** x ***** *** ooo * x vs * x vs * x vs * x o * x * xxxxx * x * x o xxxxx xxx Right now we are solving the problem by something like this: using CAD software, make actual models of how things fit in crate boxes make estimates of actual crate dimensions & write them into Excel file (1) is crazy amount of work and as the result we have just a limited amount of possible entries in (2), the Excel file. The good things is that programming this is relatively easy. Given a combination of products to go into crates, we do a lookup, and if entry exists in the Excel (or Database), we bring it out. If it doesn't, we say "sorry, no data!". I don't necessarily want to go full force on making up some crazy algorithm that given geometrical part description can align, rotate, and figure out best part packing into a crate, given its shape, but maybe I do.. Question Well, here is my question: assuming that I can represent my parts as 2D (to be determined how), and that some parts look like letter T, and some parts look like rectangles, which algorithm can I use to give me a good estimate on the dimensions of the encompassing area, while ensuring that the parts are packed in a minimal possible area, to minimize crating/shipping costs? Are there approximation algorithms? Seeing how this can get complex, is there an existing library I could use? My thought / Approach My naive approach would be to define a way to describe position of parts, and place the first part, compute total enclosing area & dimensions. Then place 2nd part in 0 degree orientation, repeat, place it at 180 degree orientation, repeat (for my case I don't think 90 degree rotations will be meaningful due to long lengths of parts). Proceed using brute force "tacking on" other parts to the enclosing area until all parts are processed. I may have to shift some parts a tad (see 3rd pictorial example above with letters T). This adds a layer of 2D complexity rather than 1D. I am not sure how to approach this. One idea I have is genetic algorithms, but I think those will take up too much processing power and time. I will need to look out for shape collisions, as well as adding extra padding space, since we are talking about real parts with irregularities rather than perfect imaginary blocks. I'm afraid this can get geometrically messy fairly fast, and I'd rather keep things simple, if I can. But what if the best (practical) solution is to pack things into different crate boxes rather than just one? This can get a bit more tricky. There is human element involved as well, i.e. like parts can go into same box and are thus a constraint to be considered. Some parts that are not the same are sometimes grouped together for shipping and can be considered as a common grouped item. Sometimes customers want things shipped their way, which adds human element to constraints. so there will have to be some customization.

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  • Class design issue

    - by user2865206
    I'm new to OOP and a lot of times I become stumped in situations similar to this example: Task: Generate an XML document that contains information about a person. Assume the information is readily available in a database. Here is an example of the structure: <Person> <Name>John Doe</Name> <Age>21</Age> <Address> <Street>100 Main St.</Street> <City>Sylvania</City> <State>OH</State> </Address> <Relatives> <Parents> <Mother> <Name>Jane Doe</Name> </Mother> <Father> <Name>John Doe Sr.</Name> </Father> </Parents> <Siblings> <Brother> <Name>Jeff Doe</Name> </Brother> <Brother> <Name>Steven Doe</Name> </Brother> </Siblings> </Relatives> </Person> Ok lets create a class for each tag (ie: Person, Name, Age, Address) Lets assume each class is only responsible for itself and the elements directly contained Each class will know (have defined by default) the classes that are directly contained within them Each class will have a process() function that will add itself and its childeren to the XML document we are creating When a child is drawn, as in the previous line, we will have them call process() as well Now we are in a recursive loop where each object draws their childeren until all are drawn But what if only some of the tags need to be drawn, and the rest are optional? Some are optional based on if the data exists (if we have it, we must draw it), and some are optional based on the preferences of the user generating the document How do we make sure each object has the data it needs to draw itself and it's childeren? We can pass down a massive array through every object, but that seems shitty doesnt it? We could have each object query the database for it, but thats a lot of queries, and how does it know what it's query is? What if we want to get rid of a tag later? There is no way to reference them. I've been thinking about this for 20 hours now. I feel like I am misunderstanding a design principle or am just approaching this all wrong. How would you go about programming something like this? I suppose this problem could apply to any senario where there are classes that create other classes, but the classes created need information to run. How do I get the information to them in a way that doesn't seem fucky? Thanks for all of your time, this has been kicking my ass.

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  • Dual monitor not working completely in 12.10 after upgrade

    - by Mark Baldridge
    At 12.04, dual monitors worked perfectly. After upgrading to 12.10, the primary monitor works, the second monitor only partly works. I am sure there is some difference between the releases that I have missed setting properly. System settings - Displays show both correctly as Acer 22" monitors at 1680x1050 (16:10). An icon on monitor 2 is present, but elongated; almost an artifact, since other icons on the primary screen are absent, but this one icon is there on th second monitor. Selecting the icons on both screens exist. Painting is weird on monitor 2. Launcher exists and works on both screens, but even with sticky edges off, the cursor stops at the left edge of monitor 2. Clicking on text editor on screen 2 launcer will launch gedit there. If I drag it, it leaves a trail of after images like repaint is failing. If I drive the cursor on the launcher, the help tags like "LibreOffice Writer" appear, but stay on screen unless I drag the active gedit window over them. Then part of the help bubbles are overwritten, leaving behind after images of the gedit window on screen. What is really fascinating is that the System settings - Displays is now ignoring monitor selection, after allowing it earlier. Just before this, the help popup which said "Select a monitor to change its properties; drag to rearrange its placement" actually let me do that. Maybe a trick of where I grab the edge of the monitor in the Displays setting. I just found a working handle. When I drag monitor 1 to the right of monitor 2, "Apply" and confirm, both monitors work normally (although the right monitor lets the cursor slide off the right edge onto the left edge of monitor 1 - which sounds correct). Painting of windows does not leave an after image. However, success is only temporary. The setting survives the reboot, but painting on the left monitor, now monitor 2, now replicates the issues from before. The after image of the gedit window and the small window for "Are you sure you want to close all programs and restart the computer?" are still on monitor 2 (on the left now), even though they are not real windows, nor do they have processes behind them. Curiously, in Displays, the "green" monitor on the left in the display window is matched by the right monitor color in the monitor upper left corner. Probably makes sense as the one on the right is now monitor 1. If I repeat the "drag the left monitor to the right of the right monitor on the "Displays" window, things are oriented properly, with no display artifacts as I drag windows around either screen. Also the description bubbles that pop up are overwritten on both screens, so none of those artifacts either. This goodness does not survive a reboot, however. Have not tried logging out and back in. All of this after positing that the motherboard VGA and HDMI ports could have been the issue. So, I installed an e-GeForce 7600 GT Dual DVI (I know the web thinks it is not DVI, but VGA, but the connectors are DVI). No change to the weird behavior. The good parts continue to work, the weirdness also works, and swapping monitor positions seems to cure the issue. So, is there a setting I have missed? Given "swapping" monitor 1 and 2 on the System Settings... - Displays makes it work, just not across boot, I suspect so.

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  • Dynamically load and call delegates based on source data

    - by makerofthings7
    Assume I have a stream of records that need to have some computation. Records will have a combination of these functions run Sum, Aggregate, Sum over the last 90 seconds, or ignore. A data record looks like this: Date;Data;ID Question Assuming that ID is an int of some kind, and that int corresponds to a matrix of some delegates to run, how should I use C# to dynamically build that launch map? I'm sure this idea exists... it is used in Windows Forms which has many delegates/events, most of which will never actually be invoked in a real application. The sample below includes a few delegates I want to run (sum, count, and print) but I don't know how to make the quantity of delegates fire based on the source data. (say print the evens, and sum the odds in this sample) using System; using System.Threading; using System.Collections.Generic; internal static class TestThreadpool { delegate int TestDelegate(int parameter); private static void Main() { try { // this approach works is void is returned. //ThreadPool.QueueUserWorkItem(new WaitCallback(PrintOut), "Hello"); int c = 0; int w = 0; ThreadPool.GetMaxThreads(out w, out c); bool rrr =ThreadPool.SetMinThreads(w, c); Console.WriteLine(rrr); // perhaps the above needs time to set up6 Thread.Sleep(1000); DateTime ttt = DateTime.UtcNow; TestDelegate d = new TestDelegate(PrintOut); List<IAsyncResult> arDict = new List<IAsyncResult>(); int count = 1000000; for (int i = 0; i < count; i++) { IAsyncResult ar = d.BeginInvoke(i, new AsyncCallback(Callback), d); arDict.Add(ar); } for (int i = 0; i < count; i++) { int result = d.EndInvoke(arDict[i]); } // Give the callback time to execute - otherwise the app // may terminate before it is called //Thread.Sleep(1000); var res = DateTime.UtcNow - ttt; Console.WriteLine("Main program done----- Total time --> " + res.TotalMilliseconds); } catch (Exception e) { Console.WriteLine(e); } Console.ReadKey(true); } static int PrintOut(int parameter) { // Console.WriteLine(Thread.CurrentThread.ManagedThreadId + " Delegate PRINTOUT waited and printed this:"+parameter); var tmp = parameter * parameter; return tmp; } static int Sum(int parameter) { Thread.Sleep(5000); // Pretend to do some math... maybe save a summary to disk on a separate thread return parameter; } static int Count(int parameter) { Thread.Sleep(5000); // Pretend to do some math... maybe save a summary to disk on a separate thread return parameter; } static void Callback(IAsyncResult ar) { TestDelegate d = (TestDelegate)ar.AsyncState; //Console.WriteLine("Callback is delayed and returned") ;//d.EndInvoke(ar)); } }

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  • PCI Encryption Key Management

    - by Unicorn Bob
    (Full disclosure: I'm already an active participant here and at StackOverflow, but for reasons that should hopefully be obvious, I'm choosing to ask this particular question anonymously). I currently work for a small software shop that produces software that's sold commercially to manage small- to mid-size business in a couple of fairly specialized industries. Because these industries are customer-facing, a large portion of the software is related to storing and managing customer information. In particular, the storage (and securing) of customer credit card information. With that, of course, comes PCI compliance. To make a long story short, I'm left with a couple of questions about why certain things were done the way they were, and I'm unfortunately without much of a resource at the moment. This is a very small shop (I report directly to the owner, as does the only other full-time employee), and the owner doesn't have an answer to these questions, and the previous developer is...err...unavailable. Issue 1: Periodic Re-encryption As of now, the software prompts the user to do a wholesale re-encryption of all of the sensitive information in the database (basically credit card numbers and user passwords) if either of these conditions is true: There are any NON-encrypted pieces of sensitive information in the database (added through a manual database statement instead of through the business object, for example). This should not happen during the ordinary use of the software. The current key has been in use for more than a particular period of time. I believe it's 12 months, but I'm not certain of that. The point here is that the key "expires". This is my first foray into commercial solution development that deals with PCI, so I am unfortunately uneducated on the practices involved. Is there some aspect of PCI compliance that mandates (or even just strongly recommends) periodic key updating? This isn't a huge issue for me other than I don't currently have a good explanation to give to end users if they ask why they are being prompted to run it. Question 1: Is the concept of key expiration standard, and, if so, is that simply industry-standard or an element of PCI? Issue 2: Key Storage Here's my real issue...the encryption key is stored in the database, just obfuscated. The key is padded on the left and right with a few garbage bytes and some bits are twiddled, but fundamentally there's nothing stopping an enterprising person from examining our (dotfuscated) code, determining the pattern used to turn the stored key into the real key, then using that key to run amok. This seems like a horrible practice to me, but I want to make sure that this isn't just one of those "grin and bear it" practices that people in this industry have taken to. I have developed an alternative approach that would prevent such an attack, but I'm just looking for a sanity check here. Question 2: Is this method of key storage--namely storing the key in the database using an obfuscation method that exists in client code--normal or crazy? Believe me, I know that free advice is worth every penny that I've paid for it, nobody here is an attorney (or at least isn't offering legal advice), caveat emptor, etc. etc., but I'm looking for any input that you all can provide. Thank you in advance!

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  • Modernizr Rocks HTML5

    - by Laila
    HTML5 is a moving target.  At the moment, we don't know what will be in future versions.  In most circumstances, this really matters to the developer. When you're using Adobe Air, you can be reasonably sure what works, what is there, and what isn't, since you have a version of the browser built-in. With Metro, you can assume that you're going to be using at least IE 10.   If, however,  you are using HTML5 in a web application, then you are going to rely heavily on Feature Detection.  Feature-Detection is a collection of techniques that tell you, via JavaScript, whether the current browser has this feature natively implemented or not Feature Detection isn't just there for the esoteric stuff such as  Geo-location,  progress bars,  <canvas> support,  the new <input> types, Audio, Video, web workers or storage, but is required even for semantic markup, since old browsers make a pigs ear out of rendering this.  Feature detection can't rely just on reading the browser version and inferring from that what works. Instead, you must use JavaScript to check that an HTML5 feature is there before using it.  The problem with relying on the user-agent is that it takes a lot of historical data  to work out what version does what, and, anyway, the user-agent can be, and sometimes is, spoofed. The open-source library Modernizr  is just about the most essential  JavaScript library for anyone using HTML5, because it provides APIs to test for most of the CSS3 and HTML5 features before you use them, and is intelligent enough to alter semantic markup into 'legacy' 'markup  using shims  on page-load  for old browsers. It also allows you to check what video Codecs are installed for playing video. It also provides media queries  and conditional resource-loading (formerly YepNope.js.).  Generally, Modernizr gives you the choice of what you do about browsers that don't support the feature that you want. Often, the best choice is graceful degradation, but the resource-loading feature allows you to dynamically load JavaScript Shims to replace the standard API for missing or defective HTML5 functionality, called 'PolyFills'.  As the Modernizr site says 'Yes, not only can you use HTML5 today, but you can use it in the past, too!' The evolutionary progress of HTML5  requires a more defensive style of JavaScript programming where the programmer adopts a mindset of fearing the worst ( IE 6)  rather than assuming the best, whilst exploiting as many of the new HTML features as possible for the requirements of the site or HTML application.  Why would anyone want the distraction of developing their own techniques to do this when  Modernizr exists to do this for you? Laila

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  • What's new in Servlet 3.1 ? - Java EE 7 moving forward

    - by arungupta
    Servlet 3.0 was released as part of Java EE 6 and made huge changes focused at ease-of-use. The idea was to leverage the latest language features such as annotations and generics and modernize how Servlets can be written. The web.xml was made as optional as possible. Servet 3.1 (JSR 340), scheduled to be part of Java EE 7, is an incremental release focusing on couple of key features and some clarifications in the specification. The main features of Servlet 3.1 are explained below: Non-blocking I/O - Servlet 3.0 allowed asynchronous request processing but only traditional I/O was permitted. This can restrict scalability of your applications. Non-blocking I/O allow to build scalable applications. TOTD #188 provide more details about how non-blocking I/O can be done using Servlet 3.1. HTTP protocol upgrade mechanism - Section 14.42 in the HTTP 1.1 specification (RFC 2616) defines an upgrade mechanism that allows to transition from HTTP 1.1 to some other, incompatible protocol. The capabilities and nature of the application-layer communication after the protocol change is entirely dependent upon the new protocol chosen. After an upgrade is negotiated between the client and the server, the subsequent requests use the new chosen protocol for message exchanges. A typical example is how WebSocket protocol is upgraded from HTTP as described in Opening Handshake section of RFC 6455. The decision to upgrade is made in Servlet.service method. This is achieved by adding a new method: HttpServletRequest.upgrade and two new interfaces: javax.servlet.http.HttpUpgradeHandler and javax.servlet.http.WebConnection. TyrusHttpUpgradeHandler shows how WebSocket protocol upgrade is done in Tyrus (Reference Implementation for Java API for WebSocket). Security enhancements Applying run-as security roles to #init and #destroy methods Session fixation attack by adding HttpServletRequest.changeSessionId and a new interface HttpSessionIdListener. You can listen for any session id changes using these methods. Default security semantic for non-specified HTTP method in <security-constraint> Clarifying the semantics if a parameter is specified in the URI and payload Miscellaneous ServletResponse.reset clears any data that exists in the buffer as well as the status code, headers. In addition, Servlet 3.1 will also clears the state of calling getServletOutputStream or getWriter. ServletResponse.setCharacterEncoding: Sets the character encoding (MIME charset) of the response being sent to the client, for example, to UTF-8. Relative protocol URL can be specified in HttpServletResponse.sendRedirect. This will allow a URL to be specified without a scheme. That means instead of specifying "http://anotherhost.com/foo/bar.jsp" as a redirect address, "//anotherhost.com/foo/bar.jsp" can be specified. In this case the scheme of the corresponding request will be used. Clarification in HttpServletRequest.getPart and .getParts without multipart configuration. Clarification that ServletContainerInitializer is independent of metadata-complete and is instantiated per web application. A complete replay of What's New in Servlet 3.1: An Overview from JavaOne 2012 can be seen here (click on CON6793_mp4_6793_001 in Media). Each feature will be added to the JSR subject to EG approval. You can share your feedback to [email protected]. Here are some more references for you: Servlet 3.1 Public Review Candidate Downloads Servlet 3.1 PR Candidate Spec Servlet 3.1 PR Candidate Javadocs Servlet Specification Project JSR Expert Group Discussion Archive Java EE 7 Specification Status Several features have already been integrated in GlassFish 4 Promoted Builds. Have you tried any of them ? Here are some other Java EE 7 primers published so far: Concurrency Utilities for Java EE (JSR 236) Collaborative Whiteboard using WebSocket in GlassFish 4 (TOTD #189) Non-blocking I/O using Servlet 3.1 (TOTD #188) What's New in EJB 3.2 ? JPA 2.1 Schema Generation (TOTD #187) WebSocket Applications using Java (JSR 356) Jersey 2 in GlassFish 4 (TOTD #182) WebSocket and Java EE 7 (TOTD #181) Java API for JSON Processing (JSR 353) JMS 2.0 Early Draft (JSR 343) And of course, more on their way! Do you want to see any particular one first ?

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  • Editing files without race conditions?

    - by user2569445
    I have a CSV file that needs to be edited by multiple processes at the same time. My question is, how can I do this without introducing race conditions? It's easy to write to the end of the file without race conditions by open(2)ing it in "a" (O_APPEND) mode and simply write to it. Things get more difficult when removing lines from the file. The easiest solution is to read the file into memory, make changes to it, and overwrite it back to the file. If another process writes to it after it is in memory, however, that new data will be lost upon overwriting. To further complicate matters, my platform does not support POSIX record locks, checking for file existence is a race condition waiting to happen, rename(2) replaces the destination file if it exists instead of failing, and editing files in-place leaves empty bytes in it unless the remaining bytes are shifted towards the beginning of the file. My idea for removing a line is this (in pseudocode): filename = "/home/user/somefile"; file = open(filename, "r"); tmp = open(filename+".tmp", "ax") || die("could not create tmp file"); //"a" is O_APPEND, "x" is O_EXCL|O_CREAT while(write(tmp, read(file)); //copy the $file to $file+".new" close(file); //edit tmp file unlink(filename) || die("could not unlink file"); file = open(filename, "wx") || die("another process must have written to the file after we copied it."); //"w" is overwrite, "x" is force file creation while(write(file, read(tmp))); //copy ".tmp" back to the original file unlink(filename+".tmp") || die("could not unlink tmp file"); Or would I be better off with a simple lock file? Appender process: lock = open(filename+".lock", "wx") || die("could not lock file"); file = open(filename, "a"); write(file, "stuff"); close(file); close(lock); unlink(filename+".lock"); Editor process: lock = open(filename+".lock", "wx") || die("could not lock file"); file = open(filename, "rw"); while(contents += read(file)); //edit "contents" write(file, contents); close(file); close(lock); unlink(filename+".lock"); Both of these rely on an additional file that will be left over if a process terminates before unlinking it, causing other processes to refuse to write to the original file. In my opinion, these problems are brought on by the fact that the OS allows multiple writable file descriptors to be opened on the same file at the same time, instead of failing if a writable file descriptor is already open. It seems that O_CREAT|O_EXCL is the closest thing to a real solution for preventing filesystem race conditions, aside from POSIX record locks. Another possible solution is to separate the file into multiple files and directories, so that more granular control can be gained over components (lines, fields) of the file using O_CREAT|O_EXCL. For example, "file/$id/$field" would contain the value of column $field of the line $id. It wouldn't be a CSV file anymore, but it might just work. Yes, I know I should be using a database for this as databases are built to handle these types of problems, but the program is relatively simple and I was hoping to avoid the overhead. So, would any of these patterns work? Is there a better way? Any insight into these kinds of problems would be appreciated.

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  • Understanding the Value of SOA

    - by Mala Narasimharajan
    Written By: Debra Lilley, ACE Director, Fusion Applications Again I want to talk from my area of expertise of Fusion Applications and talk about their design fundamentals. If you look at the table below and start at the bottom Oracle have defined all of the business objects e.g. accounts, people, customers, invoices etc. used by Fusion Applications; each of these objects contain all of the information required and can be expanded if necessary.  That Oracle have created for each of these business objects every action that is needed for the applications e.g. all the actions to create a new customer, checking to see if it exists, credit checking with D&B (Dun & Bradstreet < http://www.dnb.co.uk/> ) , creating the record, notifying those required etc. Each of these actions is a stand-alone web service. Again you can create a new actions or subscribe to an external provided web service e.g. the D&B check. The diagram also shows that all of development of Fusion Applications is from their Fusion Middleware offerings. Then the Intelligent Business Process is the order in which you run these actions, this is Service Orientated Architecture, SOA. Not only is SOA used to orchestrate actions within Fusion Applications it is also used in the integration of Fusion Applications with the rest of the Oracle stable of applications such as EBS, PeopleSoft, JDE and Siebel. The other applications are written with propriety development tools so how do they work with SOA? It’s a very simple answer, with the introduction of the Oracle SOA platform each process within these applications was made available to be called as a web service. I won’t go into technically how that is done but what’s known as a wrapper to allow each of them to act in this way was added. Finally at the top of the diagram are the questions that each Fusion Application process must answer, and this is the ‘special’ sauce that makes them so good, the User Experience, but that is a topic for another day, or you can read about it in my blog http://debrasoracle.blogspot.co.uk/2014/04/going-on-record-about-fusion-apps-cloud.html or Oracle’s own UX blog https://blogs.oracle.com/usableapps/ The concept behind AppAdvantage is not new the idea that Oracle technology can add value to your Oracle applications investments is pretty fundamental. Nishit Rao who is in AppAdvantage team provided myself and other ACE Directors with demo kits so that we could demonstrate SOA running with the applications. The example I learnt to build was that of the EBS inventory open interface. The simple concept is that request records can be added to a table and an import run that creates these as transactions in inventory. What’s SOA allows you to do is to add to the table from any source and then run this process automatically whereas traditionally you had to run the process at regular intervals because you didn’t know if the table was empty or not. This may just sound like a different way of doing the same thing but if the process is critical for your business then the interval was very small and the process run potentially many times unnecessarily. Using SOA it only happened when necessary without any delay. So in my post today I’ve talked about how SOA is used with Fusion Applications and in the linking with more traditional applications but that is only the tip of the iceberg of potential, your applications are just part of your IT systems and SOA can orchestrate your data across all of them; the beauty of open standards.  Debra Lilley, Fusion Champion, UKOUG Board Member, Fusion User Experience Advocate and ACE Director.  Lilley has 18 years experience with Oracle Applications, with E Business Suite since 9.4.1, moving to Business Intelligence Team Lead and Oracle Alliance Director. She has spoken at over 100 conferences worldwide and posts at debrasoraclethoughts

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  • MSBuild (.NET 4.0) access problems

    - by JMP
    I'm using Cruise Control .NET as my build server (Windows 2008 Server). Yesterday I upgraded my ASP.NET MVC project from VS 2008/.NET 3.5 to VS 2010/.NET 4.0. The only change I made to my ccnet.config's MSBuild task was the location of MSBuild.exe. Ever since I made that change, the build has been broken with the error: MSB4019 - The imported project "C:\Program Files (x86)\MSBuild\Microsoft\VisualStudio\v10.0\WebApplications\Microsoft.WebApplication.targets" was not found. Confirm that the path in the declaration is correct, and that the file exists on disk. This file does, in fact, exist in the location specified (I solved a problem similar to this when setting up the build server for VS2008/.NET 3.5 by copying the files from my dev environment to my build environment). So I RDP'ed into the build machine and opened a command prompt, used MSBUILD to attempt to build my project. MSBUILD returns the error: MSB3021 - Unable to copy file "obj\debug....dll". Access to the path 'bin....dll' is denied. Since I'm running MSBUILD from the command prompt, logged in with an account that has administrative privileges, I'm assuming that MSBUILD is running with the same privileges that I have. Next, I tried to copy the file that MSBUILD was attempting to copy. In this case, I get the UAC dialog that makes me click the [Continue] button to complete the copy. I'd like to avoid installing Visual Studio 2010 on my build machine, can anyone suggest other fixes I might try?

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  • Windows service - COM class factory error 80070583

    - by jawonlee
    I have a Windows service that periodically scrapes some web pages, using mshtml and HtmlAgilityPack. For this particular C# code snippet: HTMLDocumentClass doc = new HTMLDocumentClass(); doc.write(new object[] { responseFromServer }); doc.close(); I get this error: Retrieving the COM class factory for component with CLSID {25336920-03F9-11CF-8FD0-00AA00686F13} failed due to the following error: 80070583. I tracked down the CLSID in the registry, and it turned out to be mshtml.dll. I also noticed that the version I actually have is version 7.0.6000.17023, and the registry version is listed as Version=7.0.3300.0. The error code 80070583 means "Class does not exist"; interestingly, I've also gotten an error from the same program with error code 80070582, or "Class already exists". What does it all mean? Edit: Since there are no answers, I ended up working around the problem, by ditching MSHTML and using HTML Agility Pack to parse HTML. How do I close this question?

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  • Using ReportViewer 9 control in VS 2010

    - by Fermin
    Hi, I am writing an ASP.NET app that uses a SQL Server 2005 with SSRS setup. I want to use the ReportViewer control but I get an error when using ReportViewer 10 because it needs SSRS 2008. How can I use ReportViewer 9 within my application. I've added a reference to the Microsoft.ReportViewer.WebForms.dll version 9 and removed the reference to version 10. My markup is as follows: <%@ Register Assembly="Microsoft.ReportViewer.WebForms, Version=9.0.0.0, Culture=neutral, PublicKeyToken=b03f5f7f11d50a3a" Namespace="Microsoft.Reporting.WebForms" TagPrefix="rsweb" %> <!-- standard markup --> <rsweb:ReportViewer ID="ReportViewer1" runat="server"></rsweb:ReportViewer> but when I try to run this I get the following error: CS0433: The type 'Microsoft.Reporting.WebForms.ReportViewer' exists in both 'c:\WINDOWS\assembly\GAC_MSIL\Microsoft.ReportViewer.WebForms\10.0.0.0__b03f5f7f11d50a3a\Microsoft.ReportViewer.WebForms.dll' and 'c:\WINDOWS\assembly\GAC_MSIL\Microsoft.ReportViewer.WebForms\9.0.0.0__b03f5f7f11d50a3a\Microsoft.ReportViewer.WebForms.dll' What have I missed!? Update: When trying to use the ReportViewer 10 I get the following error: "Remote report processing requires Microsoft SQL Server 2008 Reporting Services or later."

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  • Running MSBuild fails to read SDKToolsPath

    - by Scott Mayfield
    Howdy, I'm having a bit of an issue runnning a NAnt script that used to properly build my .Net 2.0 based website, when compiling with VS2008 and it's associated tools. I've recently upgraded all the project/solution files to VS2010, and now my build fails with the following error: [exec] C:\Windows\Microsoft.NET\Framework64\v4.0.30319\Microsoft.Common.targets(2249,9): error MSB3086: Task could not find "sgen.exe" using the S dkToolsPath "" or the registry key "HKEY_LOCAL_MACHINE\SOFTWARE\Microsoft\Microsoft SDKs\Windows\v7.0A". Make sure the SdkToolsPath is set and the tool exists in the correct processor specific location under the SdkToolsPath and that the Microsoft Windows SDK is installed Now, I DO have prior versions (.Net 3.5) of the Windows SDK installed on the build server, and the full .Net 4.0 framework is installed, but I've not run across a .Net 4.0 specific version of the Windows SDK. After a bit of experimentation and research, I finally just setup a new environmental variable "SDKToolsPath" and pointed it to the copy of sgen.exe in my windows 6.0 sdk folder. This generated the same error, but it got me to notice that even though the SDKToolsPath environmental variable IS set (confirmed that I can "echo" it at the command line and it has the expected value), the error message seems to indicated that it's not being read (note the empty quotes). Most of the information I've found is .Net 3.5 (or earlier) specific. Not much 4.0 related out there yet. Searching for error code MSB3086 generated nothing useful either. Any idea what this might be? Scott

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  • bulk insert and update with ADO.NET Entity Framework

    - by Keith Barrows
    I am writing a small application that does a lot of feed processing. I want to use LINQ EF for this as speed is not an issue, it is a single user app and, in the end, will only be used once a month. My questions revolves around the best way to do bulk inserts using LINQ EF. After parsing the incoming data stream I end up with a List of values. Since the end user may end up trying to import some duplicate data I would like to "clean" the data during insert rather than reading all the records, doing a for loop, rejecting records, then finally importing the remainder. This is what I am currently doing: DateTime minDate = dataTransferObject.Min(c => c.DoorOpen); DateTime maxDate = dataTransferObject.Max(c => c.DoorOpen); using (LabUseEntities myEntities = new LabUseEntities()) { var recCheck = myEntities.ImportDoorAccess.Where(a => a.DoorOpen >= minDate && a.DoorOpen <= maxDate).ToList(); if (recCheck.Count > 0) { foreach (ImportDoorAccess ida in recCheck) { DoorAudit da = dataTransferObject.Where(a => a.DoorOpen == ida.DoorOpen && a.CardNumber == ida.CardNumber).First(); if (da != null) da.DoInsert = false; } } ImportDoorAccess newIDA; foreach (DoorAudit newDoorAudit in dataTransferObject) { if (newDoorAudit.DoInsert) { newIDA = new ImportDoorAccess { CardNumber = newDoorAudit.CardNumber, Door = newDoorAudit.Door, DoorOpen = newDoorAudit.DoorOpen, Imported = newDoorAudit.Imported, RawData = newDoorAudit.RawData, UserName = newDoorAudit.UserName }; myEntities.AddToImportDoorAccess(newIDA); } } myEntities.SaveChanges(); } I am also getting this error: System.Data.UpdateException was unhandled Message="Unable to update the EntitySet 'ImportDoorAccess' because it has a DefiningQuery and no element exists in the element to support the current operation." Source="System.Data.SqlServerCe.Entity" What am I doing wrong? Any pointers are welcome.

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  • AD - Using UserPrincipal.FindByIdentity and PrincipalContext with nested OU - C#

    - by Solid Snake
    Here is what I am trying to achieve: I have a nested OU structure that is about 5 levels deep. OU=Portal,OU=Dev,OU=Apps,OU=Grps,OU=Admin,DC=test,DC=com I am trying to find out if the user has permissions/exists at OU=Portal. Here's a snippet of what I currently have: PrincipalContext domain = new PrincipalContext( ContextType.Domain, "test.com", "OU=Portal,OU=Dev,OU=Apps,OU=Grps,OU=Admin,DC=test,DC=com"); UserPrincipal user = UserPrincipal.FindByIdentity(domain, myusername); PrincipalSearchResult<Principal> group = user.GetAuthorizationGroups(); For some unknown reason, the value user generated from the above code is always null. However, if I were to drop all the OU as follows: PrincipalContext domain = new PrincipalContext( ContextType.Domain, "test.com", "DC=test,DC=com"); UserPrincipal user = UserPrincipal.FindByIdentity(domain, myusername); PrincipalSearchResult<Principal> group = user.GetAuthorizationGroups(); this would work just fine and return me the correct user. I am simply trying to reduce the number of results as opposed to getting everything from AD. Is there anything that I am doing wrong? I've googled for hours and tested various combinations without much luck. Any help is appreciated. Thanks. Dan

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  • new ActiveXObject('Word.Application') creates new winword.exe process when IE security does not allo

    - by Mark Ott
    We are using MS Word as a spell checker for a few fields on a private company web site, and when IE security settings are correct it works well. (Zone for the site set to Trusted, and trusted zone modified to allow control to run without prompting.) The script we are using creates a word object and closes it afterward. While the object exists, a winword.exe process runs, but it is destroyed when the word object is closed. If our site is not set in the trusted zone (Internet zone with default security level) the call that creates the word object fails as expected, but the winword.exe process is still created. I do not have any way to interact with this process in the script, so the process stays around until the user logs off (users have no way to manually destroy the process, and it wouldn't be a good solution even if they did.) The call that attempts to create the object is... try { oWordApplication = new ActiveXObject('Word.Application'); } catch(error) { // irrelevant code removed, described in comments.. // notify user spell check cannot be used // disable spell check option } So every time the page is loaded this code may be run again, creating yet another orphan winword.exe process. oWordApplication is, of course, undefined in the catch block. I would like to be able to detect the browser security settings beforehand, but I have done some searching on this and do not think that it is possible. Management here is happy with it as it is. As long as IE security is set correctly it works, and it works well for our purposes. (We may eventually look at other options for spell check functionality, but this was quick, inexpensive, and does everything we need it to do.) This last problem bugs me and I'd like to do something about it, but I'm out of ideas and I have other things that are more in need of my attention. Before I put it aside, I thought I'd ask for suggestions here...

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  • EXT-js PropertyGrid best practices to achieve an update ?

    - by Tom
    Hello, I am using EXT-js for a project, usually everything is pretty straight forward with EXT-js, but with the propertyGrid, I am not sure. I'd like some advice about this piece of code. First the store to populate the property grid, on the load event: var configStore = new Ext.data.JsonStore({ // store config autoLoad:true, url: url.remote, baseParams : {xaction : 'read'}, storeId: 'configStore', // reader config idProperty: 'id_config', root: 'config', totalProperty: 'totalcount', fields: [{ name: 'id_config' }, { name: 'email_admin' } , { name: 'default_from_addr' } , { name: 'default_from_name' } , { name: 'default_smtp' } ],listeners: { load: { fn: function(store, records, options){ // get the property grid component var propGrid = Ext.getCmp('propGrid'); // make sure the property grid exists if (propGrid) { // populate the property grid with store data propGrid.setSource(store.getAt(0).data); } } } } }); here is the propertyGrid: var propsGrid = new Ext.grid.PropertyGrid({ renderTo: 'prop-grid', id: 'propGrid', width: 462, autoHeight: true, propertyNames: { tested: 'QA', borderWidth: 'Border Width' }, viewConfig : { forceFit: true, scrollOffset: 2 // the grid will never have scrollbars } }); So far so good, but with the next button, I'll trigger an old school update, and my question : Is that the proper way to update this component ? Or is it better to user an editor ? or something else... for regular grid I use the store methods to do the update, delete,etc... The examples are really scarce on this one! Even in books about ext-js! new Ext.Button({ renderTo: 'button-container', text: 'Update', handler: function(){ var grid = Ext.getCmp("propGrid"); var source = grid.getSource(); var jsonDataStr = null; jsonDataStr = Ext.encode(source); var requestCg = { url : url.update, method : 'post', params : { config : jsonDataStr , xaction : 'update' }, timeout : 120000, callback : function(options, success, response) { alert(success + "\t" + response); } }; Ext.Ajax.request(requestCg); } }); and thanks for reading.

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  • JQgrid - Get Row Number instead of ID

    - by mariojjsimoes
    Hello, all, I am creating a JQGrid from a database table that does not contain a single field primary key. Therefore, the field i am supplying as id is not unique and the same one exists in several rows. Because of this, when passing a reference to the data with ondblClickRow to a function external to the grid i need to use the rownumber and not the id. To test, I'm using ondblClickRow: function(id){alert($("#grid1").getInd('rowid'));}, , and i should be getting and alert with the row number, except that it isn't working. I've been over the documentation and can't understand what i am doing wrong... Any help would be greatly appreciated! Thanks in advance, Mario. Bellow is my full grid: jQuery(document).ready(function(){ var mygrid = jQuery("#grid1").jqGrid({ datatype: 'xmlstring', datastr : grid1RsXML, width: 1024, height: 500, colNames:['DEVICE_ID','JOB_SIZE_IN_BYTES', 'USER_NAME','HOST_NAME','DAY_OF_WEEK','JOB_ID'], colModel:[ {name:'DEVICE_ID',index:'DEVICE_ID', width:55, sortable:true}, {name:'JOB_SIZE_IN_BYTES',index:'JOB_SIZE_IN_BYTES', width:40, sortable:true}, {name:'USER_NAME',index:'USER_NAME', width:60, sortable:true}, {name:'HOST_NAME',index:'HOST_NAME', width:50,align:"right", sortable:true}, {name:'DAY_OF_WEEK',index:'DAY_OF_WEEK', width:10, sortable:true}, {name:'JOB_ID',index:'JOB_ID', width:30, sortable:true} ], rowNum:1000, autowidth: true, //rowList:[10,20,30], rowList:[1], pager: '#grid1Pager', sortname: 'DEVICE_ID', viewrecords: true, rownumbers: true, sortorder: "desc", sortable: true, gridview : true, xmlReader: { root : "recordset", row: "record", repeatitems: false, id: "DEVICE_ID" }, caption:"All Jobs - Double Click for detailed history", ondblClickRow: function(id){alert($("#grid1").getInd('rowid'));}, toolbar: [true,"top"], url: grid1RsXML });

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  • Undefined control sequence

    - by Jelle Fresen
    Hi, I am making my Master's Thesis with LaTeX, but I can't get the provided style to work. Specifically, I get the error 'Undefined control sequence' when using the function makeformaltitlepages, which is defined in mscthesis.sty. On the internet, the only answer I could find is the straightforward 'you probably made a typo', or 'you probably forgot to include the package', but I have reason to believe neither of those apply to me. I am quite sure that the function exists, for when I add a little verification, using the @ifundefined command, the logfile shows that the function actually does exist. And, as can be seen in the following piece of code, I also include the package: \usepackage{mscthesis} % setup information like author, company, title, etc. \begin{document} \formatmatter \thispagestyle{empty} \maketitle \makeatletter \@ifundefined{makeformaltitlepages}{\message{Function is not defined.}}{\message{Function is defined.}} \makeatother \makeformaltitlepages{\input{abstract}} % add chapters, sections, etc. and end the document Now, the output shows the line "Function is defined." just before the output of maketitle (which I think is rather strange on its own, but that might be a flushing issue), followed by the following infinitely repeated error (well, cut off after 100 times by LaTeX): Function is defined. // some gibberish about font info ! Undefined control sequence. \GenericError ... #4 \errhelp \@err@ ... l.112 \makeformaltitlepages{} The control sequence at the end of the top line of your error message was never \def'ed. If you have misspelled it (e.g., `\hobx'), type `I' and the correct spelling (e.g., `I\hbox'). Otherwise just continue, and I'll forget about whatever was undefined. While the error keeps repeating, the line that starts with '#4' cycles between the following four lines: #4 \errhelp \@err@ ... \let \@err@ ... \@empty \def \MessageBreak... \endgroup Ok, so, do any of you have a suggestion of how I might continue to hunt this bug? Or what blatantly obvious mistake did I make?

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  • Creating an IIS 6 Virtual Directory with PowerShell v2 over WMI/ADSI

    - by codepoke
    I can create an IISWebVirtualDir or IISWebVirtualDirSetting with WMI, but I've found no way to turn the virtual directory into an IIS Application. The virtual directory wants an AppFriendlyName and a Path. That's easy because they're part of the ...Setting object. But in order to turn the virtual directory into an App, you need to set AppIsolated=2 and AppRoot=[its root]. I cannot do this with WMI. I'd rather not mix ADSI and WMI, so if anyone can coach me through to amking this happen in WMI I'd be very happy. Here's my demo code: $server = 'serverName' $site = 'W3SVC/10/ROOT/' $app = 'AppName' # If I use these args, the VirDir is not created at all. Fails to write read-only prop # $args = @{'Name'=('W3SVC/10/ROOT/' + $app); ` # 'AppIsolated'=2;'AppRoot'='/LM/' + $site + $app} # So I use this single arg $args = @{'Name'=($site + $app)} $args # Look at the args to make sure I'm putting what I think I am $v = set-wmiinstance -Class IIsWebVirtualDir -Authentication PacketPrivacy ` -ComputerName $server -Namespace root\microsoftiisv2 -Arguments $args $v.Put() # VirDir now exists # Pull the settings object for it and prove I can tweak it $filter = "Name = '" + $site + $app + "'" $filter $v = get-wmiobject -Class IIsWebVirtualDirSetting -Authentication PacketPrivacy ` -ComputerName $server -Namespace root\microsoftiisv2 -Filter $filter $v.AppFriendlyName = $app $v.Put() $v # Yep. Changes work. Goes without saying I cannot change AppIsolated or AppRoot # But ADSI can change them without a hitch # Slower than molasses in January, but it works $a = [adsi]("IIS://$server/" + $site + $app) $a.Put("AppIsolated", 2) $a.Put("AppRoot", ('/LM/' + $site + $app)) $a.Put("Path", "C:\Inetpub\wwwroot\news") $a.SetInfo() $a Any thoughts?

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  • iPhone: Can access files in documents directory in Simulator, but not device

    - by Kevin Cupp
    Hi there! I'm writing an app that copies some contents of the bundle into the applications Document's directory, mainly images and media. I then access this media throughout the app from the Document's directory. This works totally fine in the Simulator, but not on the device. The assets just come up as null. I've done NSLog's and the paths to the files look correct, and I've confirmed that the files exist in the directory by dumping a file listing in the console. Any ideas? Thank you! EDIT Here's the code that copies to the Document's directory NSString *pathToPublicationDirectory = [NSString stringWithFormat:@"install/%d",[[[manifest objectAtIndex:i] valueForKey:@"publicationID"] intValue]]; NSString *manifestPath = [[NSBundle mainBundle] pathForResource:@"content" ofType:@"xml" inDirectory:pathToPublicationDirectory]; [self parsePublicationAt:manifestPath]; // Get actual bundle path to publication folder NSString *bundlePath = [[[NSBundle mainBundle] resourcePath] stringByAppendingPathComponent:pathToPublicationDirectory]; // Then build the destination path NSString *destinationPath = [documentsDirectory stringByAppendingPathComponent:[NSString stringWithFormat:@"%d", [[[manifest objectAtIndex:i] valueForKey:@"publicationID"] intValue]]]; NSError *error = nil; // If it already exists in the documents directory, delete it if ([fileManager fileExistsAtPath:destinationPath]) { [fileManager removeItemAtPath:destinationPath error:&error]; } // Copy publication folder to documents directory [fileManager copyItemAtPath:bundlePath toPath:destinationPath error:&error]; I am figuring out the path to the docs directory with this method: - (NSString *)applicationDocumentsDirectory { return [NSSearchPathForDirectoriesInDomains(NSDocumentDirectory, NSUserDomainMask, YES) objectAtIndex:0]; } And here's an example of how I'm building a path to an image path = [NSString stringWithFormat:@"%@/%d/%@", [self applicationDocumentsDirectory], [[thisItem valueForKey:@"publicationID"] intValue], [thisItem valueForKey:@"coverImage"]];

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  • Location of Java dump heap file?

    - by Jim Ferrans
    Well this is embarrassing ... I'm starting to play with the Eclipse Memory Analyzer to look for Java memory leaks on a Windows box. Step 1 is to obtain a heap dump file. To do this< I start my Java (javaw.exe) process from within Eclipse and connect to it with jconsole. Then on the jconsole MBeans tab I click the dumpHeap button. The first time I did this, I saw a pop-up saying it had created the heap dump file, but not giving its name or location. Now whenever I do a dumpHeap again while connected to a different javaw.exe process, jconsole says: Problem invoking dumpHeap : java.io.IOException: File exists and of course doesn't give its name or path. Where could it be? I've searched my C: drive (using cygwin command line tools) for files containing "hprof" or "java_pid" or "heapdump" and didn't find anything plausible. I've even used the Windows search to look for all files in my Eclipse workspace that have changed in the last day. I'm using the Sun Java 1.6 JVM, and don't have -XX:HeapDumpPath set.

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  • UITableView UITableViewCell not reloading on reloadData

    - by David van Dugteren
    This question has been asked a few times now, but there exists no answer on the web that has solved the problem for me yet... See the code: { const NSInteger TOP_LABEL_TAG = 1001; static NSString *CellIdentifier = @"CellIdentifier"; UITableViewCell *cell = [theTableView dequeueReusableCellWithIdentifier:CellIdentifier]; if (cell == nil) { cell = [[[UITableViewCell alloc] initWithStyle:UITableViewCellStyleDefault reuseIdentifier:CellIdentifier] autorelease]; } getAQuestionToAnswer = [[QuestionsToAnswer sharedInstance] getLatestLoadedQuestion]; UILabel *topLabel; topLabel = [[[UILabel alloc] initWithFrame: CGRectMake ( 50, 18, 260, 75)] autorelease]; [cell.contentView addSubview:topLabel]; topLabel.tag = TOP_LABEL_TAG; topLabel.backgroundColor = [UIColor clearColor]; topLabel.textColor = [UIColor colorWithRed:0.25 green:0.0 blue:0.0 alpha:1.0]; topLabel.highlightedTextColor = [UIColor colorWithRed:1.0 green:1.0 blue:0.9 alpha:1.0]; [topLabel setFont:[UIFont fontWithName:@"MarkerFelt-Thin" size:13]]; topLabel.numberOfLines = 4; topLabel = (UILabel *)[cell viewWithTag:TOP_LABEL_TAG]; topLabel.text = [NSString stringWithFormat:@"%@", [getAQuestionToAnswer valueForKey:@"question"] ]; Some code is omitted but the basics is there, I'm updating by means of a shake gesture, the NSLog confirms that the getAQuestionToAnswer is indeed updated with a new question after the gesture. Yet at run time, no matter what I do... e.g. [self.tableview reloaddata]; nothing works. It just doesn't want to refresh.

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