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  • Enablement 2.0 Get Specialized!

    - by mseika
    Enablement 2.0 Get Specialized! The Oracle PartnerNetwork Specialized program is releasing new certifications on our latest products, and partners are invited to be the first candidates to get certified. Oracle's Certified Exams go through a rigorous review process called a "beta period". Here are a few advantages of taking a Beta Exam: Certification exams taken during the beta period count towards company Specializations. Most new Certified Specialist Exams have no training requirement. Beta Exams Vouchers are available in limited quantity, so request a voucher today by contacting the Partner Enablement Team and act fast to reserve your test from the list below. FREE Certification Testing Are you attending OPN Exchange @ OpenWorld? Then join us at OPN Specialist Test Fest! October 1st - 4th 2012, Marriott Marquis Hotel Pre-register now! Beta testing period will end on October, 6th, 2012 for the following exams: Oracle E-Business Suite R12 Project Essentials (1Z1-511) Beta testing period will end on October, 13th, 2012 for the following exams: Oracle Hyperion Data Relationship Management Essentials (1Z1-588) Beta testing period will end on November, 17th, 2012 for the following exams: Oracle Global Trade Management 6 Essentials (1Z1-589) Exams Coming Soon in Beta Oracle Fusion Distributed Order Orchestration Essentials Exam (1Z1-469) Take the exam(s) now at a near-by Pearson VUE testing center! Contact Us Please direct any inquiries you may have to the Oracle Partner Enablement team at [email protected] For More Information Oracle Certification Program Beta Exams OPN Certified Specialist Exam Study Guides OPN Certified Specialist FAQ

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  • Enablement 2.0 Get Specialized!

    - by mseika
    Enablement 2.0 Get Specialized! The Oracle PartnerNetwork Specialized program is releasing new certifications on our latest products, and partners are invited to be the first candidates to get certified. Oracle's Certified Exams go through a rigorous review process called a "beta period". Here are a few advantages of taking a Beta Exam: Certification exams taken during the beta period count towards company Specializations. Most new Certified Specialist Exams have no training requirement. Beta Exams Vouchers are available in limited quantity, so request a voucher today by contacting the Partner Enablement Team and act fast to reserve your test from the list below. FREE Certification Testing Are you attending OPN Exchange @ OpenWorld? Then join us at OPN Specialist Test Fest! October 1st - 4th 2012, Marriott Marquis Hotel Pre-register now! Beta testing period will end on October, 6th, 2012 for the following exams: Oracle E-Business Suite R12 Project Essentials (1Z1-511) Beta testing period will end on October, 13th, 2012 for the following exams: Oracle Hyperion Data Relationship Management Essentials (1Z1-588) Beta testing period will end on November, 17th, 2012 for the following exams: Oracle Global Trade Management 6 Essentials (1Z1-589) Exams Coming Soon in Beta Oracle Fusion Distributed Order Orchestration Essentials Exam (1Z1-469) Take the exam(s) now at a near-by Pearson VUE testing center! Contact Us Please direct any inquiries you may have to the Oracle Partner Enablement team at [email protected] For More Information Oracle Certification Program Beta Exams OPN Certified Specialist Exam Study Guides OPN Certified Specialist FAQ

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  • Enablement 2.0 Get Specialized!

    - by mseika
    Enablement 2.0 Get Specialized! The Oracle PartnerNetwork Specialized program is releasing new certifications on our latest products, and partners are invited to be the first candidates to get certified. Oracle's Certified Exams go through a rigorous review process called a "beta period". Here are a few advantages of taking a Beta Exam: Certification exams taken during the beta period count towards company Specializations. Most new Certified Specialist Exams have no training requirement. Beta Exams Vouchers are available in limited quantity, so request a voucher today by contacting the Partner Enablement Team and act fast to reserve your test from the list below. FREE Certification Testing Are you attending OPN Exchange @ OpenWorld? Then join us at OPN Specialist Test Fest! October 1st - 4th 2012, Marriott Marquis Hotel Pre-register now! Beta testing period will end on October, 6th, 2012 for the following exams: Oracle E-Business Suite R12 Project Essentials (1Z1-511) Beta testing period will end on October, 13th, 2012 for the following exams: Oracle Hyperion Data Relationship Management Essentials (1Z1-588) Beta testing period will end on November, 17th, 2012 for the following exams: Oracle Global Trade Management 6 Essentials (1Z1-589) Exams Coming Soon in Beta Oracle Fusion Distributed Order Orchestration Essentials Exam (1Z1-469) Take the exam(s) now at a near-by Pearson VUE testing center! Contact Us Please direct any inquiries you may have to the Oracle Partner Enablement team at [email protected] For More Information Oracle Certification Program Beta Exams OPN Certified Specialist Exam Study Guides OPN Certified Specialist FAQ

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  • Web Crawler for Learnign Topics on Wikipedia

    - by Chris Okyen
    When I want to learn a vast topic on wikipedia, I don't know where to start. For instance say I want to learn about Binary Stars, I then have to know other things linked on that pages and linked pages on all the linked pages and so on for the specified number of levels. I want to write a web crawler like HTTracker or something similiar, that will display a heiarchy of the links on a certain page and the links on those linked pages.I wish to use as much prewritten code as possible. Here is an example: Pretending we are bending the rules by grabing links from only the first sentence of each pages The example archives and "processes" two levels deep The page is Ternary operation The First Level In mathematics a ternary operation is an N-ary operation The Second Level Under Mathmatics: Mathematics (from Greek µ???µa máthema, “knowledge, study, learning”) is the abstract study of topics encompassing quantity, structure, space, change and others; it has no generally accepted definition. Under N-ary In logic,mathematics, and computer science, the arity i/'ær?ti/ of a function or operation is the number of arguments or operands that the function takes Under Operation In its simplest meaning in mathematics and logic, an operation is an action or procedure which produces a new value from one or more input values ------------------------------------------------------------------------- I need some way to determine what oder to approach all these wiki pages to learn the concept ( in this case ternary operations )... Following along with this exmpakle, one way to show the path to read would a printout flowout like so: This shows that the first sentence of the Mathematics page doesn't link to the first sentence of pages linked on ternary page two levels deep. (Please tell me how I should explain this ) --- In otherwords, the child node of the top pages first sentence, ternary_operation, does not have any child nodes that reference the children of the top pages other children nodes- N-ary and operation. Thus it is safe to read this first. Since N-ary has a link to operations we shoudl read the operation page second and finally read the N-ary page last. Again, I wish to use as much prewritten code as possible, and was wondering what language to use and what would be the simpliest way to go about doing this if there isn't already somethign out there? Thank You!

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  • Effective and simple matching for 2 unequal small-scale point sets

    - by Pavlo Dyban
    I need to match two sets of 3D points, however the number of points in each set can be different. It seems that most algorithms are designed to align images and trimmed to work with hundreds of thousands of points. My case are 50 to 150 points in each of the two sets. So far I have acquainted myself with Iterative Closest Point and Procrustes Matching algorithms. Implementing Procrustes algorithms seems like a total overkill for this small quantity. ICP has many implementations, but I haven't found any readily implemented version accounting for the so-called "outliers" - points without a matching pair. Besides the implementation expense, algorithms like Fractional and Sparse ICP use some statistics information to cancel points that are considered outliers. For series with 50 to 150 points statistic measures are often biased or statistic significance criteria are not met. I know of Assignment Problem in linear optimization, but it is not suitable for cases with unequal sets of points. Are there other, small-scale algorithms that solve the problem of matching 2 point sets? I am looking for algorithm names, scientific papers or C++ implementations. I need some hints to know where to start my search.

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  • Where ORMs blur the lines between code and data, how do you decide what logic should be a stored procedure, and what should be coded?

    - by PhonicUK
    Take the following pseudocode: CreateInvoiceAndCalculate(ItemsAndQuantities, DispatchAddress, User); And say CreateInvoice does the following: Create a new entry in an Invoices table belonging to the specified User to be sent to the given DispatchAddress. Create a new entry in an InvoiceItems table for each of the items in ItemsAndQuantities, storing the Item, the Quantity, and the cost of the item as of now (by looking it up from an Items table) Calculate the total amount of the invoice (ex shipping and taxes) and store it in the new Invoice row. At a glace you wouldn't be able to tell if this was a method in my applications code, or a stored procedure in the database that is being exposed as a function by the ORM. And to some extent it doesn't really matter. Now technically none of this is business logic. You're not making any decisions - just performing a calculation and creating records. However some may argue that because you are performing a calculation that affects the business (the total amount to be invoiced) that this isn't something that should be done in a stored procedure and instead should be in code. So for this specific example - why would it be more appropriate to do one or the other? And where do you draw the line? Or does it even particular matter as long as it's sufficiently well documented?

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  • Working with lots of cubes. Improving performance?

    - by Randomman159
    Edit: To sum the question up, I have a voxel based world (Minecraft style (Thanks Communist Duck)) which is suffering from poor performance. I am not positive on the source but would like any possible advice on how to get rid of it. I am working on a project where a world consists of a large quantity of cubes (I would give you a number, but it is user defined worlds). My test one is around (48 x 32 x 48) blocks. Basically these blocks don't do anything in themselves. They just sit there. They start being used when it comes to player interaction. I need to check what cubes the users mouse interacts with (mouse over, clicking, etc.), and for collision detecting as the player moves. Now I had a massive amount of lag at first, looping through every block. I have managed to decrease that lag, by looping through all the blocks, and finding which blocks are within a particular range of the character, and then only looping through those blocks for the collision detection, etc. However, I am still going at a depressing 2fps. Does anyone have any other ideas on how I could decrease this lag? Btw, I am using XNA (C#) and yes, it is 3d.

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  • Open Source Highlight: namebench

    - by eddraper
    DNS is a big deal.  Even small incremental changes to improve its performance can yield significant value due to the vast quantity of look-ups required when using the internet.  Until now, It’s always been one of those things I had to kinda take on faith… was my ISP doing a good job?  Are those public DNS server really that much faster?  What about security and privacy concerns? Let me introduce you to namebench.  This is the kinda tool I really love – one that immediately delivers value and is almost over-the-top OCD in its attention to detail. Trust me, this tool is utterly ruthless in it’s quest for getting it right – you’re not left with a big question mark after it presents its data.  The results are conclusive and actionable.  Here’s what is does: It hunts down the fastest DNS servers from your desktop that it can find using thousands of requests.  No, it doesn’t pop up this little dialog in 10 seconds to give you some “off the cuff” answer from a handful of providers.  It takes the better part of 10-15 minutes to run.  When it finishes, it presents you with a veritable horn-o-plenty of data.  Mean response duration, response distribution, bad data,  no stone is left un-turned. Check it out.  You’ll dig it.

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  • Removing 'bundled' software to make a slow laptop faster?

    - by spdegabrielle
    My brother-in-law has a cheap HP laptop used by his kids for schoolwork. It had got into a bit of a state and was running slowly with some dubious software. I removed a bunch of stuff that had been installed, that was obviously not required (three different driver scanners!), had been downloaded in error or looked like malware. I also disabled as many 'start on login' apps as I could and removed AVG replacing it with MSE. (AVG is uninstalled and replaced with MSE after failing to detect malware) What remains is a significant quantity of bundled HP and 'nero backup' software, including a HP restore utility (apparently something like the osx hidden partition restore), the trackpad driver. is there anything else I can do to breath a little more life into the old 'celeron' laptop? Should I bit the bullet and just put win8 on it? Will the trackpad still work?

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  • Feedback on meeting of the MSCC - 20.07.2013

    Impression of our meetup on 20.07.2013 Low quantity but high quality! Meetup summary: Quick introduction to ?MSCC? and interesting topics in general, especially for freshman from/at university. It also seems that the open concept of OUYA (Android-based gaming console) got some attention and hopefully new fans. More info is available online: http://www.ouya.tv/ Design contest The design contest is still going on... There's currently only one submission. Come on, you web & graphic designers in Mauritius - SHOW YOUR WORKAny draft will be published over here: MSCC Design Contest - https://www.facebook.com/media/set/?set=a.200036533488751.1073741829.181737551985316&type=3 Goodies give-away And the first 2 one-month subscriptions for Pluralsight have been well received by attendees, too. Unfortunately, we didn't have any free WiFi at Talking Drums - so, we might have to consider another location for the next meetup. Change of schedule As we spoke about the advantages of gathering during the weekend, we worked out a schedule that could be applied to future meetups of the MSCC. I'm going to address this tomorrow during our regular meetings on Wednesday to see about the response of other members, too.

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  • Enablement 2.0 Get Specialized!

    - by mseika
    Enablement 2.0 Get Specialized! The Oracle PartnerNetwork Specialized program is releasing new certifications on our latest products, and partners are invited to be the first candidates to get certified. Oracle's Certified Exams go through a rigorous review process called a "beta period". Here are a few advantages of taking a Beta Exam: Certification exams taken during the beta period count towards company Specializations. Most new Certified Specialist Exams have no training requirement. Beta Exams Vouchers are available in limited quantity, so request a voucher today by contacting the Partner Enablement Team and act fast to reserve your test from the list below. FREE Certification Testing Are you attending OPN Exchange @ OpenWorld? Then join us at OPN Specialist Test Fest! October 1st - 4th 2012, Marriott Marquis Hotel Pre-register now! Beta testing period will end on October, 6th, 2012 for the following exams: Oracle E-Business Suite R12 Project Essentials (1Z1-511) Beta testing period will end on October, 13th, 2012 for the following exams: Oracle Hyperion Data Relationship Management Essentials (1Z1-588) Beta testing period will end on November, 17th, 2012 for the following exams: Oracle Global Trade Management 6 Essentials (1Z1-589) Exams Coming Soon in Beta Oracle Fusion Distributed Order Orchestration Essentials Exam (1Z1-469) Take the exam(s) now at a near-by Pearson VUE testing center! Contact Us Please direct any inquiries you may have to the Oracle Partner Enablement team at [email protected] For More Information Oracle Certification Program Beta Exams OPN Certified Specialist Exam Study Guides OPN Certified Specialist FAQ

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  • how to fight back attacks on my web service

    - by user12145
    My apache webservice is getting a large quantity of requests over the days, each one with somewhat random login to gain access. I identified about 60 such ips(a few sample below), all belong to google. is there a way to find more information about the origin of the attacker? or should I just block these ips. secondly, should I attempt to block the identified ips subnets(74.125.46.*) as a preventive measure? 72.14.194.65 64.233.172.20 74.125.75.19 72.14.194.33 74.125.46.87 74.125.44.91 74.125.46.91

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  • Table Formatting in Word

    - by user359217
    I have a table in Word which is 5 columns wide and multiple rows. In Row 3, cells 1, 2, 3 & 5 have simple text. Cell 4 contains a large quantity of text and therefore needs to wrap over several pages. Therefore, I mark "Allow row to break across pages". Problem: on next page where row has wrapped, cells 1, 2, 3 & 5 are blank with cell 4 displaying the wrapped text. Is there any way that I can get the simple text from Row 3, cells 1, 2 and 3 to repeat on the pages which contain the wrapped text of cell 4? I do not want the data to be in the table heading, as I have multiple rows which have a similar volume of text.

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  • AWT Textfield behaves weird with MicroSoft JVM

    - by AKh
    Hi, I am facing a weird problem when using MicroSoft JVM to run my Applet. I have an AWT panel with 4 textfields which is added to a dialog box. Everything goes fine until I enter a decimal value into the textfield and close the dialog box. When i reopen the dialog box the textfield inside the panel with all the decimal digits (entered in the previous step) behaves weird. The decimal values along with the WHITE area inside the textfield moves to the left and hides the digits. When I click inside the textfield it becomes normal. The Panel earlier had gridlayout and I even tried changing it to gridbaylayout and still the problem persist. NOTE: All Development are pertained to JRE1.1 to compatibility with MS JVM If any can help me with this it would be a great help. Thanks in advance. . . . . public MyPanel(Dialog myDialog) { Panel panel = new Panel(); this.dialog = myDialog; //Previous code with grid layout /* panel.setLayout(new GridLayout2(4,2,2,2)); panel.add(new Label("Symbol:")); panel.add(symbolField = new TextField("",20)); panel.add(new Label("Quantity:")); panel.add( qtyField = new TextField()); panel.add(new Label("Price per Share:")); panel.add( costField = new TextField()); panel.add(new Label("Date Acquired:")); panel.add( purchaseDate = new TextField() );*/ GridBagLayout gridbag = new GridBagLayout(); System.out.println("######## Created New GridBagLayout"); GridBagConstraints constraints = new GridBagConstraints(); panel.setLayout( gridbag ); constraints = buildConstraints( constraints, 0, 0, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( new Label("Symbol:"), constraints); constraints = buildConstraints( constraints, 1, 0, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( symbolField = new TextField("",20), constraints); constraints = buildConstraints( constraints, 0, 1, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( new Label("Quantity:"), constraints); constraints = buildConstraints( constraints, 1, 1, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( qtyField = new TextField(), constraints); constraints = buildConstraints( constraints, 0, 2, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( new Label("Price per Share:"), constraints); constraints = buildConstraints( constraints, 1, 2, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( costField = new TextField(), constraints); constraints = buildConstraints( constraints, 0, 3, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( new Label("Date Acquired:"), constraints); constraints = buildConstraints( constraints, 1, 3, 1, 1, 1.5, 1 ); constraints.anchor = GridBagConstraints.WEST; constraints.fill = GridBagConstraints.HORIZONTAL; panel.add( purchaseDate = new TextField(), constraints); .............. ......... }

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  • Invoice Discount: Negative line items vs Internal properties

    - by FreshCode
    Should discount on invoice items and entire invoices be negative line items or separate properties of an invoice? In a similar question, Should I incorporate list of fees/discounts into an order class or have them be itemlines, the asker focuses more on orders than invoices (which is a slightly different business entity). Discount is proposed to be separate from order items since it is not equivalent to a fee or product and may have different reporting requirements. Hence, discount should not simply be a negative line item. Previously I have successfully used negative line items to clearly indicate and calculate discount, but this feels inflexible and inaccurate from a business perspective. Now I am opting to add discount to each line item, along with an invoice-wide discount. Is this the right way to do it? Should each item have its own discount amount and percentage? Domain Model Code Sample This is what my domain model, which maps to an SQL repository, looks like: public class Invoice { public int ID { get; set; } public Guid JobID { get; set; } public string InvoiceNumber { get; set; } public Guid UserId { get; set; } // user who created it public DateTime Date { get; set; } public decimal DiscountPercent { get; set; } // all lines discount %? public decimal DiscountAmount { get; set; } // all lines discount $? public LazyList<InvoiceLine> InvoiceLines { get; set; } public LazyList<Payment> Payments { get; set; } // for payments received public boolean IsVoided { get; set; } // Invoices are immutable. // To change: void -> new invoice. public decimal Total { get { return (1.0M - DiscountPercent) * InvoiceLines.Sum(i => i.LineTotal) - DiscountAmount; } } } public class InvoiceLine { public int ID { get; set; } public int InvoiceID { get; set; } public string Title { get; set; } public decimal Quantity { get; set; } public decimal LineItemPrice { get; set; } public decimal DiscountPercent { get; set; } // line discount %? public decimal DiscountAmount { get; set; } // line discount amount? public decimal LineTotal { get { return (1.0M - DiscountPercent) * (this.Quantity * (this.LineItemPrice)) - DiscountAmount; } } }

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  • GAE formpreview

    - by Niklas R
    I'm trying to enable form preview with Google App Engine. Getting the following error message I suspect being mistaken somewhere: ... handler = handler_class() TypeError: __call__() takes at least 2 arguments (1 given) Can you tell what's wrong with my attempt? Here is some of the code. from django.contrib.formtools.preview import FormPreview class AFormPreview(FormPreview): def done(self, request, cleaned_data): # Do something with the cleaned_data, then redirect # to a "success" page. self.response.out.write('Done!') class AForm(djangoforms.ModelForm): text = forms.CharField(widget=forms.Textarea(attrs={'rows':'11','cols':'70','class':'foo'}),label=_("content").capitalize()) def clean(self): cleaned_data = self.clean_data name = cleaned_data.get("name") if not name: raise forms.ValidationError("No name.") # Always return the full collection of cleaned data. return cleaned_data class Meta: model = A fields = ['category','currency','price','title','phonenumber','postaladress','name','text','email'] #change the order ... ('/aformpreview/([^/]*)', AFormPreview(AForm)), UPDATE: Here's a complete app where the preview is not working. Any ideas are most welcome: import cgi from google.appengine.api import users from google.appengine.ext import db from google.appengine.ext import webapp from google.appengine.ext.webapp import template from google.appengine.ext.webapp.util import run_wsgi_app from google.appengine.ext.db import djangoforms class Item(db.Model): name = db.StringProperty() quantity = db.IntegerProperty(default=1) target_price = db.FloatProperty() priority = db.StringProperty(default='Medium',choices=[ 'High', 'Medium', 'Low']) entry_time = db.DateTimeProperty(auto_now_add=True) added_by = db.UserProperty() class ItemForm(djangoforms.ModelForm): class Meta: model = Item exclude = ['added_by'] from django.contrib.formtools.preview import FormPreview class ItemFormPreview(FormPreview): def done(self, request, cleaned_data): # Do something with the cleaned_data, then redirect # to a "success" page. return HttpResponseRedirect('/') class MainPage(webapp.RequestHandler): def get(self): self.response.out.write('<html><body>' '<form method="POST" ' 'action="/">' '<table>') # This generates our shopping list form and writes it in the response self.response.out.write(ItemForm()) self.response.out.write('</table>' '<input type="submit">' '</form></body></html>') def post(self): data = ItemForm(data=self.request.POST) if data.is_valid(): # Save the data, and redirect to the view page entity = data.save(commit=False) entity.added_by = users.get_current_user() entity.put() self.redirect('/items.html') else: # Reprint the form self.response.out.write('<html><body>' '<form method="POST" ' 'action="/">' '<table>') self.response.out.write(data) self.response.out.write('</table>' '<input type="submit">' '</form></body></html>') class ItemPage(webapp.RequestHandler): def get(self): query = db.GqlQuery("SELECT * FROM Item ORDER BY name") for item in query: self.response.out.write('<a href="/edit?id=%d">Edit</a> - ' % item.key().id()) self.response.out.write("%s - Need to buy %d, cost $%0.2f each<br>" % (item.name, item.quantity, item.target_price)) class EditPage(webapp.RequestHandler): def get(self): id = int(self.request.get('id')) item = Item.get(db.Key.from_path('Item', id)) self.response.out.write('<html><body>' '<form method="POST" ' 'action="/edit">' '<table>') self.response.out.write(ItemForm(instance=item)) self.response.out.write('</table>' '<input type="hidden" name="_id" value="%s">' '<input type="submit">' '</form></body></html>' % id) def post(self): id = int(self.request.get('_id')) item = Item.get(db.Key.from_path('Item', id)) data = ItemForm(data=self.request.POST, instance=item) if data.is_valid(): # Save the data, and redirect to the view page entity = data.save(commit=False) entity.added_by = users.get_current_user() entity.put() self.redirect('/items.html') else: # Reprint the form self.response.out.write('<html><body>' '<form method="POST" ' 'action="/edit">' '<table>') self.response.out.write(data) self.response.out.write('</table>' '<input type="hidden" name="_id" value="%s">' '<input type="submit">' '</form></body></html>' % id) def main(): application = webapp.WSGIApplication( [('/', MainPage), ('/edit', EditPage), ('/items.html', ItemPage), ('/itemformpreview', ItemFormPreview(ItemForm)), ], debug=True) run_wsgi_app(application)

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  • Python: Improving long cumulative sum

    - by Bo102010
    I have a program that operates on a large set of experimental data. The data is stored as a list of objects that are instances of a class with the following attributes: time_point - the time of the sample cluster - the name of the cluster of nodes from which the sample was taken code - the name of the node from which the sample was taken qty1 = the value of the sample for the first quantity qty2 = the value of the sample for the second quantity I need to derive some values from the data set, grouped in three ways - once for the sample as a whole, once for each cluster of nodes, and once for each node. The values I need to derive depend on the (time sorted) cumulative sums of qty1 and qty2: the maximum value of the element-wise sum of the cumulative sums of qty1 and qty2, the time point at which that maximum value occurred, and the values of qty1 and qty2 at that time point. I came up with the following solution: dataset.sort(key=operator.attrgetter('time_point')) # For the whole set sys_qty1 = 0 sys_qty2 = 0 sys_combo = 0 sys_max = 0 # For the cluster grouping cluster_qty1 = defaultdict(int) cluster_qty2 = defaultdict(int) cluster_combo = defaultdict(int) cluster_max = defaultdict(int) cluster_peak = defaultdict(int) # For the node grouping node_qty1 = defaultdict(int) node_qty2 = defaultdict(int) node_combo = defaultdict(int) node_max = defaultdict(int) node_peak = defaultdict(int) for t in dataset: # For the whole system ###################################################### sys_qty1 += t.qty1 sys_qty2 += t.qty2 sys_combo = sys_qty1 + sys_qty2 if sys_combo > sys_max: sys_max = sys_combo # The Peak class is to record the time point and the cumulative quantities system_peak = Peak(time_point=t.time_point, qty1=sys_qty1, qty2=sys_qty2) # For the cluster grouping ################################################## cluster_qty1[t.cluster] += t.qty1 cluster_qty2[t.cluster] += t.qty2 cluster_combo[t.cluster] = cluster_qty1[t.cluster] + cluster_qty2[t.cluster] if cluster_combo[t.cluster] > cluster_max[t.cluster]: cluster_max[t.cluster] = cluster_combo[t.cluster] cluster_peak[t.cluster] = Peak(time_point=t.time_point, qty1=cluster_qty1[t.cluster], qty2=cluster_qty2[t.cluster]) # For the node grouping ##################################################### node_qty1[t.node] += t.qty1 node_qty2[t.node] += t.qty2 node_combo[t.node] = node_qty1[t.node] + node_qty2[t.node] if node_combo[t.node] > node_max[t.node]: node_max[t.node] = node_combo[t.node] node_peak[t.node] = Peak(time_point=t.time_point, qty1=node_qty1[t.node], qty2=node_qty2[t.node]) This produces the correct output, but I'm wondering if it can be made more readable/Pythonic, and/or faster/more scalable. The above is attractive in that it only loops through the (large) dataset once, but unattractive in that I've essentially copied/pasted three copies of the same algorithm. To avoid the copy/paste issues of the above, I tried this also: def find_peaks(level, dataset): def grouping(object, attr_name): if attr_name == 'system': return attr_name else: return object.__dict__[attrname] cuml_qty1 = defaultdict(int) cuml_qty2 = defaultdict(int) cuml_combo = defaultdict(int) level_max = defaultdict(int) level_peak = defaultdict(int) for t in dataset: cuml_qty1[grouping(t, level)] += t.qty1 cuml_qty2[grouping(t, level)] += t.qty2 cuml_combo[grouping(t, level)] = (cuml_qty1[grouping(t, level)] + cuml_qty2[grouping(t, level)]) if cuml_combo[grouping(t, level)] > level_max[grouping(t, level)]: level_max[grouping(t, level)] = cuml_combo[grouping(t, level)] level_peak[grouping(t, level)] = Peak(time_point=t.time_point, qty1=node_qty1[grouping(t, level)], qty2=node_qty2[grouping(t, level)]) return level_peak system_peak = find_peaks('system', dataset) cluster_peak = find_peaks('cluster', dataset) node_peak = find_peaks('node', dataset) For the (non-grouped) system-level calculations, I also came up with this, which is pretty: dataset.sort(key=operator.attrgetter('time_point')) def cuml_sum(seq): rseq = [] t = 0 for i in seq: t += i rseq.append(t) return rseq time_get = operator.attrgetter('time_point') q1_get = operator.attrgetter('qty1') q2_get = operator.attrgetter('qty2') timeline = [time_get(t) for t in dataset] cuml_qty1 = cuml_sum([q1_get(t) for t in dataset]) cuml_qty2 = cuml_sum([q2_get(t) for t in dataset]) cuml_combo = [q1 + q2 for q1, q2 in zip(cuml_qty1, cuml_qty2)] combo_max = max(cuml_combo) time_max = timeline.index(combo_max) q1_at_max = cuml_qty1.index(time_max) q2_at_max = cuml_qty2.index(time_max) However, despite this version's cool use of list comprehensions and zip(), it loops through the dataset three times just for the system-level calculations, and I can't think of a good way to do the cluster-level and node-level calaculations without doing something slow like: timeline = defaultdict(int) cuml_qty1 = defaultdict(int) #...etc. for c in cluster_list: timeline[c] = [time_get(t) for t in dataset if t.cluster == c] cuml_qty1[c] = [q1_get(t) for t in dataset if t.cluster == c] #...etc. Does anyone here at Stack Overflow have suggestions for improvements? The first snippet above runs well for my initial dataset (on the order of a million records), but later datasets will have more records and clusters/nodes, so scalability is a concern. This is my first non-trivial use of Python, and I want to make sure I'm taking proper advantage of the language (this is replacing a very convoluted set of SQL queries, and earlier versions of the Python version were essentially very ineffecient straight transalations of what that did). I don't normally do much programming, so I may be missing something elementary. Many thanks!

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  • Problem using form builder & DOM manipulation in Rails with multiple levels of nested partials

    - by Chris Hart
    I'm having a problem using nested partials with dynamic form builder code (from the "complex form example" code on github) in Rails. I have my top level view "new" (where I attempt to generate the template): <% form_for (@transaction_group) do |txngroup_form| %> <%= txngroup_form.error_messages %> <% content_for :jstemplates do -%> <%= "var transaction='#{generate_template(txngroup_form, :transactions)}'" %> <% end -%> <%= render :partial => 'transaction_group', :locals => { :f => txngroup_form, :txn_group => @transaction_group }%> <% end -%> This renders the transaction_group partial: <div class="content"> <% logger.debug "in partial, class name = " + txn_group.class.name %> <% f.fields_for txn_group.transactions do |txn_form| %> <table id="transactions" class="form"> <tr class="header"><td>Price</td><td>Quantity</td></tr> <%= render :partial => 'transaction', :locals => { :tf => txn_form } %> </table> <% end %> <div>&nbsp;</div><div id="container"> <%= link_to 'Add a transaction', '#transaction', :class => "add_nested_item", :rel => "transactions" %> </div> <div>&nbsp;</div> ... which in turn renders the transaction partial: <tr><td><%= tf.text_field :price, :size => 5 %></td> <td><%= tf.text_field :quantity, :size => 2 %></td></tr> The generate_template code looks like this: def generate_html(form_builder, method, options = {}) options[:object] ||= form_builder.object.class.reflect_on_association(method).klass.new options[:partial] ||= method.to_s.singularize options[:form_builder_local] ||= :f form_builder.fields_for(method, options[:object], :child_index => 'NEW_RECORD') do |f| render(:partial => options[:partial], :locals => { options[:form_builder_local] => f }) end end def generate_template(form_builder, method, options = {}) escape_javascript generate_html(form_builder, method, options) end (Obviously my code is not the most elegant - I was trying to get this nested partial thing worked out first.) My problem is that I get an undefined variable exception from the transaction partial when loading the view: /Users/chris/dev/ss/app/views/transaction_groups/_transaction.html.erb:2:in _run_erb_app47views47transaction_groups47_transaction46html46erb_locals_f_object_transaction' /Users/chris/dev/ss/app/helpers/customers_helper.rb:29:in generate_html' /Users/chris/dev/ss/app/helpers/customers_helper.rb:28:in generate_html' /Users/chris/dev/ss/app/helpers/customers_helper.rb:34:in generate_template' /Users/chris/dev/ss/app/views/transaction_groups/new.html.erb:4:in _run_erb_app47views47transaction_groups47new46html46erb' /Users/chris/dev/ss/app/views/transaction_groups/new.html.erb:3:in _run_erb_app47views47transaction_groups47new46html46erb' /Users/chris/dev/ss/app/views/transaction_groups/new.html.erb:1:in _run_erb_app47views47transaction_groups47new46html46erb' /Users/chris/dev/ss/app/controllers/transaction_groups_controller.rb:17:in new' I'm pretty sure this is because the do loop for form_for hasn't executed yet (?)... I'm not sure that my approach to this problem is the best, but I haven't been able to find a better solution for dynamically adding form partials to the DOM. Basically I need a way to add records to a has_many model dynamically on a nested form. Any recommendations on a way to fix this particular problem or (even better!) a cleaner solution are appreciated. Thanks in advance. Chris

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  • Advantage database throws an exception when attempting to delete a record with a like statement used

    - by ChrisR
    The code below shows that a record is deleted when the sql statement is: select * from test where qty between 50 and 59 but the sql statement: select * from test where partno like 'PART/005%' throws the exception: Advantage.Data.Provider.AdsException: Error 5072: Action requires read-write access to the table How can you reliably delete a record with a where clause applied? Note: I'm using Advantage Database v9.10.1.9, VS2008, .Net Framework 3.5 and WinXP 32 bit using System.IO; using Advantage.Data.Provider; using AdvantageClientEngine; using NUnit.Framework; namespace NetworkEidetics.Core.Tests.Dbf { [TestFixture] public class AdvantageDatabaseTests { private const string DefaultConnectionString = @"data source={0};ServerType=local;TableType=ADS_CDX;LockMode=COMPATIBLE;TrimTrailingSpaces=TRUE;ShowDeleted=FALSE"; private const string TestFilesDirectory = "./TestFiles"; [SetUp] public void Setup() { const string createSql = @"CREATE TABLE [{0}] (ITEM_NO char(4), PARTNO char(20), QTY numeric(6,0), QUOTE numeric(12,4)) "; const string insertSql = @"INSERT INTO [{0}] (ITEM_NO, PARTNO, QTY, QUOTE) VALUES('{1}', '{2}', {3}, {4})"; const string filename = "test.dbf"; var connectionString = string.Format(DefaultConnectionString, TestFilesDirectory); using (var connection = new AdsConnection(connectionString)) { connection.Open(); using (var transaction = connection.BeginTransaction()) { using (var command = connection.CreateCommand()) { command.CommandText = string.Format(createSql, filename); command.Transaction = transaction; command.ExecuteNonQuery(); } transaction.Commit(); } using (var transaction = connection.BeginTransaction()) { for (var i = 0; i < 1000; ++i) { using (var command = connection.CreateCommand()) { var itemNo = string.Format("{0}", i); var partNumber = string.Format("PART/{0:d4}", i); var quantity = i; var quote = i * 10; command.CommandText = string.Format(insertSql, filename, itemNo, partNumber, quantity, quote); command.Transaction = transaction; command.ExecuteNonQuery(); } } transaction.Commit(); } connection.Close(); } } [TearDown] public void TearDown() { File.Delete("./TestFiles/test.dbf"); } [Test] public void CanDeleteRecord() { const string sqlStatement = @"select * from test"; Assert.AreEqual(1000, GetRecordCount(sqlStatement)); DeleteRecord(sqlStatement, 3); Assert.AreEqual(999, GetRecordCount(sqlStatement)); } [Test] public void CanDeleteRecordBetween() { const string sqlStatement = @"select * from test where qty between 50 and 59"; Assert.AreEqual(10, GetRecordCount(sqlStatement)); DeleteRecord(sqlStatement, 3); Assert.AreEqual(9, GetRecordCount(sqlStatement)); } [Test] public void CanDeleteRecordWithLike() { const string sqlStatement = @"select * from test where partno like 'PART/005%'"; Assert.AreEqual(10, GetRecordCount(sqlStatement)); DeleteRecord(sqlStatement, 3); Assert.AreEqual(9, GetRecordCount(sqlStatement)); } public int GetRecordCount(string sqlStatement) { var connectionString = string.Format(DefaultConnectionString, TestFilesDirectory); using (var connection = new AdsConnection(connectionString)) { connection.Open(); using (var command = connection.CreateCommand()) { command.CommandText = sqlStatement; var reader = command.ExecuteExtendedReader(); return reader.GetRecordCount(AdsExtendedReader.FilterOption.RespectFilters); } } } public void DeleteRecord(string sqlStatement, int rowIndex) { var connectionString = string.Format(DefaultConnectionString, TestFilesDirectory); using (var connection = new AdsConnection(connectionString)) { connection.Open(); using (var command = connection.CreateCommand()) { command.CommandText = sqlStatement; var reader = command.ExecuteExtendedReader(); reader.GotoBOF(); reader.Read(); if (rowIndex != 0) { ACE.AdsSkip(reader.AdsActiveHandle, rowIndex); } reader.DeleteRecord(); } connection.Close(); } } } }

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  • GroupLayout: JScrollPane in TextArea is not working

    - by Dozent
    i'm new in java and recently started to develop an simple application. For the moment i have a problem with JScrollPanne, it's not able to scroll down (or up) when the text in textarea more than size of area. I have looked to some solutions, but all of them were for FlowLayot (GridLayout and BoxLayout), but not for GroupLayout. Here is the code: JPanel conent_p = new JPanel(); conent_p.setBorder(new TitledBorder(null, "", TitledBorder.LEADING, TitledBorder.TOP, null, null)); JLabel lblItemName = new JLabel("Item name:"); itemField = new JTextField(); itemField.setColumns(10); JLabel lblMxPrice = new JLabel("Max price:"); mpriceField = new JTextField(); mpriceField.setColumns(10); JLabel lblQuantity = new JLabel("Quantity:"); quanField = new JTextField(); quanField.setColumns(10); JLabel lblDelivery = new JLabel("Delivery:"); delivField = new JTextField(); delivField.setColumns(10); JLabel lblLogcat = new JLabel("LogCat:"); final JTextArea txtConsole = new JTextArea(); txtConsole.setEditable(false); txtConsole.setLineWrap(true); txtConsole.setWrapStyleWord(true); sbrText = new JScrollPane(txtConsole); sbrText.setVerticalScrollBarPolicy(JScrollPane.VERTICAL_SCROLLBAR_ALWAYS); // Now create a new TextAreaOutputStream to write to our JTextArea control and wrap a // PrintStream around it to support the println/printf methods. PrintStream out = new PrintStream(new TextAreaOutputStream(txtConsole)); // redirect standard output stream to the TextAreaOutputStream System.setOut(out); // redirect standard error stream to the TextAreaOutputStream System.setErr(out); GroupLayout gl_conent_p = new GroupLayout(conent_p); gl_conent_p.setHorizontalGroup( gl_conent_p.createParallelGroup(Alignment.LEADING) .addGroup(gl_conent_p.createSequentialGroup() .addContainerGap() .addGroup(gl_conent_p.createParallelGroup(Alignment.LEADING) .addComponent(lblMxPrice, Alignment.TRAILING) .addComponent(lblItemName, Alignment.TRAILING) .addComponent(lblLogcat, Alignment.TRAILING)) .addGap(18) .addGroup(gl_conent_p.createParallelGroup(Alignment.LEADING) .addGroup(gl_conent_p.createSequentialGroup() .addGroup(gl_conent_p.createParallelGroup(Alignment.LEADING, false) .addComponent(itemField, GroupLayout.PREFERRED_SIZE, 365, GroupLayout.PREFERRED_SIZE) .addGroup(gl_conent_p.createSequentialGroup() .addComponent(mpriceField, GroupLayout.PREFERRED_SIZE, 80, GroupLayout.PREFERRED_SIZE) .addGap(18) .addComponent(lblQuantity) .addPreferredGap(ComponentPlacement.RELATED) .addComponent(quanField, 0, 0, Short.MAX_VALUE) .addGap(18) .addComponent(lblDelivery) .addPreferredGap(ComponentPlacement.RELATED) .addComponent(delivField, GroupLayout.PREFERRED_SIZE, 80, GroupLayout.PREFERRED_SIZE) .addPreferredGap(ComponentPlacement.RELATED))) .addGap(100)) .addGroup(gl_conent_p.createSequentialGroup() .addComponent(txtConsole, GroupLayout.PREFERRED_SIZE, 345, GroupLayout.PREFERRED_SIZE) .addComponent(sbrText) .addContainerGap()))) ); gl_conent_p.setVerticalGroup( gl_conent_p.createParallelGroup(Alignment.LEADING) .addGroup(gl_conent_p.createSequentialGroup() .addContainerGap() .addGroup(gl_conent_p.createParallelGroup(Alignment.BASELINE) .addComponent(lblItemName) .addComponent(itemField, GroupLayout.PREFERRED_SIZE, 20, GroupLayout.PREFERRED_SIZE)) .addGap(20) .addGroup(gl_conent_p.createParallelGroup(Alignment.LEADING) .addGroup(gl_conent_p.createParallelGroup(Alignment.BASELINE) .addComponent(lblDelivery) .addComponent(delivField, GroupLayout.PREFERRED_SIZE, GroupLayout.DEFAULT_SIZE, GroupLayout.PREFERRED_SIZE)) .addGroup(gl_conent_p.createParallelGroup(Alignment.BASELINE) .addComponent(lblMxPrice) .addComponent(mpriceField, GroupLayout.PREFERRED_SIZE, GroupLayout.DEFAULT_SIZE, GroupLayout.PREFERRED_SIZE) .addComponent(lblQuantity) .addComponent(quanField, GroupLayout.PREFERRED_SIZE, GroupLayout.DEFAULT_SIZE, GroupLayout.PREFERRED_SIZE))) .addGap(55) .addGroup(gl_conent_p.createParallelGroup(Alignment.BASELINE) .addComponent(lblLogcat) .addComponent(txtConsole, GroupLayout.PREFERRED_SIZE, 200, GroupLayout.PREFERRED_SIZE) .addComponent(sbrText)) .addContainerGap()) ); conent_p.setLayout(gl_conent_p); getContentPane().add(conent_p, BorderLayout.NORTH); JButton btnBuy = new JButton("Buy"); btnBuy.addActionListener( new ActionListener() { public void actionPerformed(ActionEvent ev) { try { String title = itemField.getText().trim(); String mprice = mpriceField.getText().trim(); String quantity = quanField.getText().trim(); String deliver = delivField.getText().trim(); Item_CONCEPT item = new Item_CONCEPT(); item.setName(title); item.setDelivery(Integer.parseInt(deliver)); item.setStartPrice(0); item.setMaxPrice(Integer.parseInt(mprice)); myAgent.existsSeller(item); Date date = new Date(); DateFormat df = new SimpleDateFormat("dd.MM.yy HH:mm"); System.out.println(df.format(date)+": Buyer orders an item: "+item.getName()); //Clearing all fields itemField.setText(""); quanField.setText(""); delivField.setText(""); //txtConsole.setText(""); mpriceField.setText(""); } catch (Exception e) { JOptionPane.showMessageDialog(BuyerGUI.this, "A field is filled incorrectly. "+e.getMessage()+" is invalid.", "Error", JOptionPane.ERROR_MESSAGE); } } } );![enter image description here][1]

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  • Output a php multi-dimensional array to a html table

    - by Fireflight
    I have been banging my head against the wall with this one for nearly a week now, and am no closer than I was the first day. I have a form that has 8 columns and a variable number of rows which I need to email to the client in a nicely formatted email. The form submits the needed fields as a multidimensional array. Rough example is below: <input name="order[0][topdiameter]" type="text" id="topdiameter0" value="1" size="5" /> <input name="order[0][bottomdiameter]" type="text" id="bottomdiameter0" value="1" size="5" /> <input name="order[0][slantheight]" type="text" id="slantheight0" value="1" size="5" /> <select name="order[0][fittertype]" id="fittertype0"> <option value="harp">Harp</option> <option value="euro">Euro</option> <option value="bulbclip">Regular</option> </select> <input name="order[0][washerdrop]" type="text" id="washerdrop0" value="1" size="5" /> <select name="order[0][fabrictype]" id="fabrictype"> <option value="linen">Linen</option> <option value="pleated">Pleated</option> </select> <select name="order[0][colours]" id="colours0"> <option value="beige">Beige</option> <option value="white">White</option> <option value="eggshell">Eggshell</option> <option value="parchment">Parchment</option> </select> <input name="order[0][quantity]" type="text" id="quantity0" value="1" size="5" /> This form is formatted in a table, and rows can be added to it dynamically. What I've been unable to do is get a properly formatted table out of the array. This is what I'm using now (grabbed from the net). <?php if (isset($_POST["submit"])) { $arr= $_POST['order'] echo '<table>'; foreach($arr as $arrs) { echo '<tr>'; foreach($arrs as $item) { echo "<td>$item</td>"; } echo '</tr>'; } echo '</table>; }; ?> This works perfectly for a single row of data. If I try submitting 2 or more rows from the form then one of the columns disappears. I'd like the table to be formatted as: | top | Bottom | Slant | Fitter | Washer | Fabric | Colours | Quantity | ------------------------------------------------------------------------ |value| value | value | value | value | value | value | value | with additional rows as needed. But, I can't find any examples that will generate that type of table! It seems like this should be something fairly straightforward, but I just can't locate an example that works the way I need it too.

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  • Using javascript, show a certain amount of divs based on an answer

    - by Adam
    I'm building a form that first asks if you have 'foo'. If the answer is 'Yes', a div appears and asks 'How many foo do you have'? Based on the quantity answered, I'd like to show only that many divs. Thus if the user answers 1, only the first div will show. If they answer three, the first three will show. I have it set so that if the user answers no, the question of the amount remains hidden, but if they answer yes, they would be prompted for the quantity. This is what I've got so far... <script type="text/javascript"> $(document).ready(function(){ $(window).load(function() { $('#amt_of_foo,.foo_panels').hide(); }); $('#yes_foo').click(function() { $('#amt_of_foo').show(); }); $('#no_foo').click(function() { $('.foo_panels,#amt_of_foo').hide(); }); }); </script> </head> <body> <ul> <li> <div class="panel section_panel"> <h2>Questions About Your Foo</h2> <span>Do you have foo?:</span> <input type="radio" name="foo" id="no_foo" /> No <br /> <input type="radio" name="foo" id="yes_foo" /> Yes:</span></span> <span id="amt_of_foo"> <span>How many foo do you have?:</span> <span><input id="qty_of_foo" type="text" size="5" /> </span> </span> </div> </li> <!--answered yes to foo, and entered amount--> <div class="foo_panels"> <li> <li> <div class="panel foo_1"> <h1>First foo's information</h1> <span>Foo name:&nbsp;<input type="text" size="20" /></span> </div> </li> <li> <div class="panel foo_2"> <h1>Second foo's information</h1> <span>Foo name:&nbsp;<input type="text" size="20" /></span> </div> </li> <li> <div class="panel foo_3"> <h1>Third foo's information</h1> <span>Foo name:&nbsp;<input type="text" size="20" /></span> </div> </li> </div> <!--answered no to foo--> <li> <div class="panel"> <h1>Next Question, if no foo</h1> </div> </li> </ul> The ul is used for a jQuery 'slider' plugin. the 'panel' class is used for global css.

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  • How to use value from primary accessdatasource control as parameter in select query for secondary ac

    - by weedave
    Hi, I'm trying to display all orders placed and I have a primary accessdatasource control that has a select query to get the customer information and the orderID. I want to use the orderID value from this first query as a parameter for the secondary accessdatasource control that selects the product information of the products in the order. In plain english, I want to:- select product info from product table where orderID = ? (where ? is the orderID value from the first query) I have tried the <%#Eval("OrderID")% but I get a "server tag not well formed" error, but I do get results returned when I just type the order ID in, but obviously every result (order) just contains the same product info... <asp:Repeater ID="Repeater1" runat="server" DataSourceID="AccessDataSource1"> <ItemTemplate> <asp:AccessDataSource ID="AccessDataSource2" runat="server" DataFile="~/App_Data/project.mdb" SelectCommand="SELECT orderDetails.OrderID, album.Artist, album.Album, album.Cost, album.ImageURL, orderDetails.Quantity, orderDetails.Total FROM (album INNER JOIN orderDetails ON album.AlbumID = orderDetails.AlbumID) WHERE (orderDetails.OrderID = ? )"> <SelectParameters> // Error is on this line <asp:Parameter Name="OrderID" DefaultValue="<%#Eval ("OrderID")%>" /> </SelectParameters> </asp:AccessDataSource> <div class="viewAllOrdersOrderArea"> <div class="viewAllOrdersOrderSummary"> <p><b>Order ID: </b><%#Eval("OrderID")%></p> <h4>Shipping Details</h4> <p><b>Shipping Address: </b><%#Eval("ShippingName")%>, <%#Eval("ShippingAddress")%>, <%#Eval("ShippingTown")%>, <%#Eval("ShippingPostcode")%></p> <h4>Payment Details</h4> <p><b>Cardholder's Address: </b><%#Eval("CardHolder")%>, <%#Eval("BillingAddress")%>, <%#Eval("BillingTown")%>, <%#Eval("BillingPostcode")%></p> <p><b>Payment Method: </b><%#Eval("CardType")%></p> <p><b>Card Number: </b><%#Eval("CardNumber")%></p> <p><b>Start Date: </b><%#Eval("StartDate")%>, Expiry Date: <%#Eval("ExpiryDate")%></p> <p><b>Security Digits: </b><%#Eval("SecurityDigits")%></p> <h4>Ordered items:</h4> <asp:Repeater ID="Repeater2" runat="server" DataSourceID="AccessDataSource2"> <ItemTemplate> <div style="display: block; float: left;"> <div class="viewAllOrdersProductImage"> <img width="70px" height="70px" alt="<%# Eval("Artist") %> - <%# Eval("Album") %>" src="assets/images/thumbs/<%# Eval("ImageURL") %>" /> </div> <div style="display:block; float:left; padding-top:15px; padding-right:20px;"><p><b><%# Eval("Artist") %> - <%# Eval("Album") %></b></p> <p>£<%# Eval("Cost") %> x <%# Eval("Quantity") %> = £<%#Eval("Total")%></p></div> </div> </ItemTemplate> </asp:Repeater> </div> </div> </ItemTemplate> </asp:Repeater>

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  • Using VLOOKUP in Excel

    - by Mark Virtue
    VLOOKUP is one of Excel’s most useful functions, and it’s also one of the least understood.  In this article, we demystify VLOOKUP by way of a real-life example.  We’ll create a usable Invoice Template for a fictitious company. So what is VLOOKUP?  Well, of course it’s an Excel function.  This article will assume that the reader already has a passing understanding of Excel functions, and can use basic functions such as SUM, AVERAGE, and TODAY.  In its most common usage, VLOOKUP is a database function, meaning that it works with database tables – or more simply, lists of things in an Excel worksheet.  What sort of things?   Well, any sort of thing.  You may have a worksheet that contains a list of employees, or products, or customers, or CDs in your CD collection, or stars in the night sky.  It doesn’t really matter. Here’s an example of a list, or database.  In this case it’s a list of products that our fictitious company sells: Usually lists like this have some sort of unique identifier for each item in the list.  In this case, the unique identifier is in the “Item Code” column.  Note:  For the VLOOKUP function to work with a database/list, that list must have a column containing the unique identifier (or “key”, or “ID”), and that column must be the first column in the table.  Our sample database above satisfies this criterion. The hardest part of using VLOOKUP is understanding exactly what it’s for.  So let’s see if we can get that clear first: VLOOKUP retrieves information from a database/list based on a supplied instance of the unique identifier. Put another way, if you put the VLOOKUP function into a cell and pass it one of the unique identifiers from your database, it will return you one of the pieces of information associated with that unique identifier.  In the example above, you would pass VLOOKUP an item code, and it would return to you either the corresponding item’s description, its price, or its availability (its “In stock” quantity).  Which of these pieces of information will it pass you back?  Well, you get to decide this when you’re creating the formula. If all you need is one piece of information from the database, it would be a lot of trouble to go to to construct a formula with a VLOOKUP function in it.  Typically you would use this sort of functionality in a reusable spreadsheet, such as a template.  Each time someone enters a valid item code, the system would retrieve all the necessary information about the corresponding item. Let’s create an example of this:  An Invoice Template that we can reuse over and over in our fictitious company. First we start Excel… …and we create ourselves a blank invoice: This is how it’s going to work:  The person using the invoice template will fill in a series of item codes in column “A”, and the system will retrieve each item’s description and price, which will be used to calculate the line total for each item (assuming we enter a valid quantity). For the purposes of keeping this example simple, we will locate the product database on a separate sheet in the same workbook: In reality, it’s more likely that the product database would be located in a separate workbook.  It makes little difference to the VLOOKUP function, which doesn’t really care if the database is located on the same sheet, a different sheet, or a completely different workbook. In order to test the VLOOKUP formula we’re about to write, we first enter a valid item code into cell A11: Next, we move the active cell to the cell in which we want information retrieved from the database by VLOOKUP to be stored.  Interestingly, this is the step that most people get wrong.  To explain further:  We are about to create a VLOOKUP formula that will retrieve the description that corresponds to the item code in cell A11.  Where do we want this description put when we get it?  In cell B11, of course.  So that’s where we write the VLOOKUP formula – in cell B11. Select cell B11: We need to locate the list of all available functions that Excel has to offer, so that we can choose VLOOKUP and get some assistance in completing the formula.  This is found by first clicking the Formulas tab, and then clicking Insert Function:   A box appears that allows us to select any of the functions available in Excel.  To find the one we’re looking for, we could type a search term like “lookup” (because the function we’re interested in is a lookup function).  The system would return us a list of all lookup-related functions in Excel.  VLOOKUP is the second one in the list.  Select it an click OK… The Function Arguments box appears, prompting us for all the arguments (or parameters) needed in order to complete the VLOOKUP function.  You can think of this box as the function is asking us the following questions: What unique identifier are you looking up in the database? Where is the database? Which piece of information from the database, associated with the unique identifier, do you wish to have retrieved for you? The first three arguments are shown in bold, indicating that they are mandatory arguments (the VLOOKUP function is incomplete without them and will not return a valid value).  The fourth argument is not bold, meaning that it’s optional:   We will complete the arguments in order, top to bottom. The first argument we need to complete is the Lookup_value argument.  The function needs us to tell it where to find the unique identifier (the item code in this case) that it should be retuning the description of.  We must select the item code we entered earlier (in A11). Click on the selector icon to the right of the first argument: Then click once on the cell containing the item code (A11), and press Enter: The value of “A11” is inserted into the first argument. Now we need to enter a value for the Table_array argument.  In other words, we need to tell VLOOKUP where to find the database/list.  Click on the selector icon next to the second argument: Now locate the database/list and select the entire list – not including the header line.  The database is located on a separate worksheet, so we first click on that worksheet tab: Next we select the entire database, not including the header line: …and press Enter.  The range of cells that represents the database (in this case “’Product Database’!A2:D7”) is entered automatically for us into the second argument. Now we need to enter the third argument, Col_index_num.  We use this argument to specify to VLOOKUP which piece of information from the database, associate with our item code in A11, we wish to have returned to us.  In this particular example, we wish to have the item’s description returned to us.  If you look on the database worksheet, you’ll notice that the “Description” column is the second column in the database.  This means that we must enter a value of “2” into the Col_index_num box: It is important to note that that we are not entering a “2” here because the “Description” column is in the B column on that worksheet.  If the database happened to start in column K of the worksheet, we would still enter a “2” in this field. Finally, we need to decide whether to enter a value into the final VLOOKUP argument, Range_lookup.  This argument requires either a true or false value, or it should be left blank.  When using VLOOKUP with databases (as is true 90% of the time), then the way to decide what to put in this argument can be thought of as follows: If the first column of the database (the column that contains the unique identifiers) is sorted alphabetically/numerically in ascending order, then it’s possible to enter a value of true into this argument, or leave it blank. If the first column of the database is not sorted, or it’s sorted in descending order, then you must enter a value of false into this argument As the first column of our database is not sorted, we enter false into this argument: That’s it!  We’ve entered all the information required for VLOOKUP to return the value we need.  Click the OK button and notice that the description corresponding to item code “R99245” has been correctly entered into cell B11: The formula that was created for us looks like this: If we enter a different item code into cell A11, we will begin to see the power of the VLOOKUP function:  The description cell changes to match the new item code: We can perform a similar set of steps to get the item’s price returned into cell E11.  Note that the new formula must be created in cell E11.  The result will look like this: …and the formula will look like this: Note that the only difference between the two formulae is the third argument (Col_index_num) has changed from a “2” to a “3” (because we want data retrieved from the 3rd column in the database). If we decided to buy 2 of these items, we would enter a “2” into cell D11.  We would then enter a simple formula into cell F11 to get the line total: =D11*E11 …which looks like this… Completing the Invoice Template We’ve learned a lot about VLOOKUP so far.  In fact, we’ve learned all we’re going to learn in this article.  It’s important to note that VLOOKUP can be used in other circumstances besides databases.  This is less common, and may be covered in future How-To Geek articles. Our invoice template is not yet complete.  In order to complete it, we would do the following: We would remove the sample item code from cell A11 and the “2” from cell D11.  This will cause our newly created VLOOKUP formulae to display error messages: We can remedy this by judicious use of Excel’s IF() and ISBLANK() functions.  We change our formula from this…       =VLOOKUP(A11,’Product Database’!A2:D7,2,FALSE) …to this…       =IF(ISBLANK(A11),”",VLOOKUP(A11,’Product Database’!A2:D7,2,FALSE)) We would copy the formulas in cells B11, E11 and F11 down to the remainder of the item rows of the invoice.  Note that if we do this, the resulting formulas will no longer correctly refer to the database table.  We could fix this by changing the cell references for the database to absolute cell references.  Alternatively – and even better – we could create a range name for the entire product database (such as “Products”), and use this range name instead of the cell references.  The formula would change from this…       =IF(ISBLANK(A11),”",VLOOKUP(A11,’Product Database’!A2:D7,2,FALSE)) …to this…       =IF(ISBLANK(A11),”",VLOOKUP(A11,Products,2,FALSE)) …and then copy the formulas down to the rest of the invoice item rows. We would probably “lock” the cells that contain our formulae (or rather unlock the other cells), and then protect the worksheet, in order to ensure that our carefully constructed formulae are not accidentally overwritten when someone comes to fill in the invoice. We would save the file as a template, so that it could be reused by everyone in our company If we were feeling really clever, we would create a database of all our customers in another worksheet, and then use the customer ID entered in cell F5 to automatically fill in the customer’s name and address in cells B6, B7 and B8. If you would like to practice with VLOOKUP, or simply see our resulting Invoice Template, it can be downloaded from here. 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  • jQuery to add vertical scroll bar for a fixed height div container

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