Search Results

Search found 63182 results on 2528 pages for 'data driven tests'.

Page 180/2528 | < Previous Page | 176 177 178 179 180 181 182 183 184 185 186 187  | Next Page >

  • ??????Oracle Developer Tools for Visual Studio(ODT)???

    - by Yusuke.Yamamoto
    ????? ??:2010/11/12 ??:???? Oracle ??Oracle Developer Tools for Visual Studio(???ODT)????? Visual Studio ??????????????????ODT ????????????????????ODT ????????????SQL*Plus ???????????????????????·????????????Oracle??????·????????????????? ?????????????ODT ???????ODT ???????Visual Studio ?? ODT ???Visual Studio ?? Oracle??????·????????????????? ????????? ????????????????? http://codezine.jp/article/detail/5499

    Read the article

  • Data adapter not filling my dataset

    - by Doug Ancil
    I have the following code: Imports System.Data.SqlClient Public Class Main Protected WithEvents DataGridView1 As DataGridView Dim instForm2 As New Exceptions Private Sub Button1_Click_1(ByVal sender As System.Object, ByVal e As System.EventArgs) Handles startpayrollButton.Click Dim ssql As String = "select MAX(payrolldate) AS [payrolldate], " & _ "dateadd(dd, ((datediff(dd, '17530107', MAX(payrolldate))/7)*7)+7, '17530107') AS [Sunday]" & _ "from dbo.payroll" & _ " where payrollran = 'no'" Dim oCmd As System.Data.SqlClient.SqlCommand Dim oDr As System.Data.SqlClient.SqlDataReader oCmd = New System.Data.SqlClient.SqlCommand Try With oCmd .Connection = New System.Data.SqlClient.SqlConnection("Initial Catalog=mdr;Data Source=xxxxx;uid=xxxxx;password=xxxxx") .Connection.Open() .CommandType = CommandType.Text .CommandText = ssql oDr = .ExecuteReader() End With If oDr.Read Then payperiodstartdate = oDr.GetDateTime(1) payperiodenddate = payperiodstartdate.AddSeconds(604799) Dim ButtonDialogResult As DialogResult ButtonDialogResult = MessageBox.Show(" The Next Payroll Start Date is: " & payperiodstartdate.ToString() & System.Environment.NewLine & " Through End Date: " & payperiodenddate.ToString()) If ButtonDialogResult = Windows.Forms.DialogResult.OK Then exceptionsButton.Enabled = True startpayrollButton.Enabled = False End If End If oDr.Close() oCmd.Connection.Close() Catch ex As Exception MessageBox.Show(ex.Message) oCmd.Connection.Close() End Try End Sub Private Sub Button2_Click(ByVal sender As System.Object, ByVal e As System.EventArgs) Handles exceptionsButton.Click Dim connection As System.Data.SqlClient.SqlConnection Dim adapter As System.Data.SqlClient.SqlDataAdapter = New System.Data.SqlClient.SqlDataAdapter Dim connectionString As String = "Initial Catalog=mdr;Data Source=xxxxx;uid=xxxxx;password=xxxxx" Dim ds As New DataSet Dim _sql As String = "SELECT [Exceptions].Employeenumber,[Exceptions].exceptiondate, [Exceptions].starttime, [exceptions].endtime, [Exceptions].code, datediff(minute, starttime, endtime) as duration INTO scratchpad3" & _ " FROM Employees INNER JOIN Exceptions ON [Exceptions].EmployeeNumber = [Exceptions].Employeenumber" & _ " where [Exceptions].exceptiondate between @payperiodstartdate and @payperiodenddate" & _ " GROUP BY [Exceptions].Employeenumber, [Exceptions].Exceptiondate, [Exceptions].starttime, [exceptions].endtime," & _ " [Exceptions].code, [Exceptions].exceptiondate" connection = New SqlConnection(connectionString) connection.Open() Dim _CMD As SqlCommand = New SqlCommand(_sql, connection) _CMD.Parameters.AddWithValue("@payperiodstartdate", payperiodstartdate) _CMD.Parameters.AddWithValue("@payperiodenddate", payperiodenddate) adapter.SelectCommand = _CMD Try adapter.Fill(ds) If ds Is Nothing OrElse ds.Tables.Count = 0 OrElse ds.Tables(0).Rows.Count = 0 Then 'it's empty MessageBox.Show("There was no data for this time period. Press Ok to continue", "No Data") connection.Close() Exceptions.saveButton.Enabled = False Exceptions.Hide() Else connection.Close() End If Catch ex As Exception MessageBox.Show(ex.ToString) connection.Close() End Try Exceptions.Show() End Sub Private Sub payrollButton_Click(ByVal sender As System.Object, ByVal e As System.EventArgs) Handles payrollButton.Click Payrollfinal.Show() End Sub End Class and when I run my program and press this button Private Sub Button2_Click(ByVal sender As System.Object, ByVal e As System.EventArgs) Handles exceptionsButton.Click I have my date range within a time that I know that my dataset should produce a result, but when I put a line break in my code here: adapter.Fill(ds) and look at it in debug, I show a table value of 0. If I run the same query that I have to produce these results in sql analyser, I see 1 result. Can someone see why my query on my form produces a different result than the sql analyser does? Also here is my schema for my two tables: Exceptions employeenumber varchar no 50 yes no no SQL_Latin1_General_CP1_CI_AS exceptiondate datetime no 8 yes (n/a) (n/a) NULL starttime datetime no 8 yes (n/a) (n/a) NULL endtime datetime no 8 yes (n/a) (n/a) NULL duration varchar no 50 yes no no SQL_Latin1_General_CP1_CI_AS code varchar no 50 yes no no SQL_Latin1_General_CP1_CI_AS approvedby varchar no 50 yes no no SQL_Latin1_General_CP1_CI_AS approved varchar no 50 yes no no SQL_Latin1_General_CP1_CI_AS time timestamp no 8 yes (n/a) (n/a) NULL employees employeenumber varchar no 50 no no no SQL_Latin1_General_CP1_CI_AS name varchar no 50 no no no SQL_Latin1_General_CP1_CI_AS initials varchar no 50 no no no SQL_Latin1_General_CP1_CI_AS loginname1 varchar no 50 yes no no SQL_Latin1_General_CP1_CI_AS

    Read the article

  • Synchronizing an ERWin model with a Visual Studio 2008 GDR 2/2010 db project

    - by Grant Back
    I am looking for options to get our vast collection of DB objects across many DBs into source control (TFS 2010). Once we succeed here, we will work toward generating our alter scripts for a particular DB change via TFS build. The problem is, our data architecture group is responsible for maintaining the DB objects (excluding SPs), and they work within a model centric process, via ERWin. What this means, is that they maintain the DBs via ERWin models, and generate alters from them that are used to release changes. In order to achieve our goal of getting the DB objects (not just the ERWin models) into TFS, I believe the best option is to do this via Visual Studio DB projects. From what I can tell, there is very little urgency for CA to continue supporting an integration between ERWin and Visual Studio, that no longer works as of Visual Studio 2008 DB Ed. GDR. If I have been mislead in this regard, please feel free to set me straight. One potential solution is to: Perform changes in the ERWin model. Take the alter script generated from ERWin, and import the script into the appropriate Visual Studio DB project, updating the objects in the in the DB project Check the changed objects in the DB project into TFS. TFS Build executes to generate the alter scripts that will be used to push the changes through our release process. My question is, is this solution viable, or are there any other options?

    Read the article

  • Is Form validation and Business validation too much?

    - by Robert Cabri
    I've got this question about form validation and business validation. I see a lot of frameworks that use some sort of form validation library. You submit some values and the library validates the values from the form. If not ok it will show some errors on you screen. If all goes to plan the values will be set into domain objects. Here the values will be or, better said, should validated (again). Most likely the same validation in the validation library. I know 2 PHP frameworks having this kind of construction Zend/Kohana. When I look at programming and some principles like Don't Repeat Yourself (DRY) and single responsibility principle (SRP) this isn't a good way. As you can see it validates twice. Why not create domain objects that do the actual validation. Example: Form with username and email form is submitted. Values of the username field and the email field will be populated in 2 different Domain objects: Username and Email class Username {} class Email {} These objects validate their data and if not valid throw an exception. Do you agree? What do you think about this aproach? Is there a better way to implement validations? I'm confused about a lot of frameworks/developers handling this stuff. Are they all wrong or am I missing a point? Edit: I know there should also be client side kind of validation. This is a different ballgame in my Opinion. If You have some comments on this and a way to deal with this kind of stuff, please provide.

    Read the article

  • What is the best practice in regards to building composite dtos off of an aggregate root with domain

    - by Chance
    I'm trying to figure out the best approach/practice for assembling a composite data transfer object off of an aggregate root and would love to hear people's thoughts on this. For example, lets say I have a root that has a few domain objects as children. I want to assemble a specific view dto, based on some business logic, that either has attributes or full dto's of it's objects. What I'm struggling with is trying to figure out where that assembly should happen. I can see it going on the domain object of the aggregate root as there is some business logic associated with it. The benefits of this approach from what I've deduced thus far is that it should reduce the inevitable business logic from bleeding outisde of the domain object. It also allows for private methods that take care of tasks that could become more complex from an external builder. The downsides being that the domain object becomes much more entrenched in the application's workflow and represents much more than just the domain object. It also could become very large in the scenario where you need multiple composite Dtos. Alternatively, I could also see it belonging to some form of transfer object assembler where there is a builder for each domain object. The domain objects would still be responsible for GetDto() and UpdateFromDto(dto). Outside of that, the builder would handle the construction and deconstruction of composite dtos. The downside is kind of mentioned above, where I fear this will easily lead to developers unfamiliar with DDD bleeding a ton of business logic into the assembler which is what I want to desperately avoid. Any thoughts would be greatly apperciated.

    Read the article

  • Pagination in a Rich Domain Model

    - by user246790
    I use rich domain model in my app. The basic ideas were taken there. For example I have User and Comment entities. They are defined as following: <?php class Model_User extends Model_Abstract { public function getComments() { /** * @var Model_Mapper_Db_Comment */ $mapper = $this->getMapper(); $commentsBlob = $mapper->getUserComments($this->getId()); return new Model_Collection_Comments($commentsBlob); } } class Model_Mapper_Db_Comment extends Model_Mapper_Db_Abstract { const TABLE_NAME = 'comments'; protected $_mapperTableName = self::TABLE_NAME; public function getUserComments($user_id) { $commentsBlob = $this->_getTable()->fetchAllByUserId((int)$user_id); return $commentsBlob->toArray(); } } class Model_Comment extends Model_Abstract { } ?> Mapper's getUserComments function simply returns something like: return $this->getTable->fetchAllByUserId($user_id) which is array. fetchAllByUserId accepts $count and $offset params, but I don't know to pass them from my Controller to this function through model without rewriting all the model code. So the question is how can I organize pagination through model data (getComments). Is there a "beatiful" method to get comments from 5 to 10, not all, as getComments returns by default.

    Read the article

  • Why represent shopping carts and order invoices differently in a domain model?

    - by Todd
    I've built some shopping cart systems in the past, but I always designed them such that the final order invoice is just a shopping cart that has been marked as "purchased". All the logic for adding/removing/changing items in a cart is also the logic for the order. All data is stored in the same tables in the database. But it seems this is not the proper way to design an e-commerce site.. Can someone explain the benefit of separating the shopping cart from invoices in the domain model? It seems to me this would lead to a lot of duplicated code, an extra set of tables in the database, and make it harder to maintain in the event the system need to start accommodating more complicated orders (like specifying selected options for an item which may or may not change the price/availability/shipping time of the order). I'm assuming I just haven't seen the light, as every book and other example I see seems to separate these two seemingly similar concerns -- but I can't find any explanation as to the benefit of doing such! It's also the case in the systems that I design that changes are often made after the initial order is confirmed. It's not uncommon for items to be removed, replaced, or added afterwards (but prior to fulfillment).

    Read the article

  • Parallelizing L2S Entity Retrieval

    - by MarkB
    Assuming a typical domain entity approach with SQL Server and a dbml/L2S DAL with a logic layer on top of that: In situations where lazy loading is not an option, I have settled on a convention where getting a list of entities does not also get each item's child entities (no loading), but getting a single entity does (eager loading). Since getting a single entity also gets children, it causes a cascading effect in which each child then gets its children too. This sounds bad, but as long as the model is not too deep, I usually don't see performance problems that outweigh the benefits of the ease of use. So if I want to get a list in which each of the items is fully hydrated with children, I combine the GetList and GetItem methods. So I'll get a list and then loop through it getting each item with the full cascade. Even this is generally acceptable in many of the projects I've worked on - but I have recently encountered situations with larger models and/or more data in which it needs to be more efficient. I've found that partitioning the loop and executing it on multiple threads yields excellent results. In my first experiment with a list of 50 items from one particular project, I did 5 threads of 10 items each and got a 3X improvement in time. Of course, the mileage will vary depending on the project but all else being equal this is clearly a big opportunity. However, before I go further, I was wondering what others have done that have already been through this. What are some good approaches to parallelizing this type of thing?

    Read the article

  • ExtJs store, how to load data using a MemoryProxy

    - by Miau
    Hi there I m trying to load a json store using a MemoryProxy ( i need to use a proxy because I use different sources depending on scenarios) it kinda looks like this var data = Ext.decode(gridArrayData); var proxy = new Ext.data.MemoryProxy(data); var store = new Ext.data.GroupingStore({ proxy: proxy }); however when I inspect this I can see that the proxy has 10 rows of data, but not the store I m lost as to why Any pointers?

    Read the article

  • JQuery getJSON Callback Returning Null Data

    - by user338828
    I have a getJSON call that is called back correctly, but the data variable is null. The python code posted below is executed by the getJSON call to the demandURL. Any ideas? javascript: var demandURL = "/demand/washington/"; $.getJSON(demandURL, function(data) { console.log(data); }); python: data = {"demand_count":"one"} json = simplejson.dumps(data) return HttpResponse(json, mimetype="application/json")

    Read the article

  • Oracle sample data problems

    - by Jay
    So, I have this java based data trasformation / masking tool, which I wanted to test out on Oracle 10g. The good part with Oracle 10g is that you get a load of sample schemas with half a million records in some. The schemas are : SH, OE, HR, IX and etc. So, I installed 10g, found out that the installation scripts are under ORACLE_HOME/demo/scripts. I customized these scripts a bit to run in batch mode. That solves one half of my requirement - to create source data for my testing my data transformation software. The second half of the requirement is that I create the same schemas under different names (TR_HR, TR_OE and so on...) without any data. These schemas would represent my target schemas. So, in short, my software would pick up data from a table in a schema and load it up in to the same table in a different schema. Now, I have two issues in creating my target schema and emptying it. I would like this in a batch job. But the oracle scripts you get, the sample schema names are not configurable. So, I tried creating a script, replacing OE with TR_OE, HR with TR_HR and so on. However, this approach is kind of irritating coz the sample schemas are kind of complicated in the way they are created; Oracle creates synonyms, views, materialized views, data types and lot of weird stuff. I would like the target schemas (TR_HR, TR_OE,...) to be empty. But some of the schemas have circular references, which would not allow me to delete data. The only work around seems to be removing certain foreign keys, deleting data and then adding the constraints back. Is there any easy way to all this, without all this fuss? I would need a complicated data set for my testing (complicated as in tables with triggers, multiple hierarchies.. for instance.. a child table that has children up to 5 levels, a parent table that refers to an IOT table and an IOT table that refers to a non-IOT table etc..). The sample schemas are just about perfect from a data set perspective. The only challenge I see is in automating this whole process of loading up the source schemas, and then creating the target schemas and emptying them. Appreciate your help and suggestions.

    Read the article

  • Why is "rake tests" running an empty suite when I use shoulda?

    - by ryeguy
    So here is my test suite: class ReleaseTest < ActiveSupport::TestCase should_not_allow_values_for :title, '', 'blah', 'blah blah' should_allow_values_for :title, 'blah - bleh', 'blah blah - bleh bleh' def test_something assert true end end Shoulda's macros generate 5 tests, and then I have test_something below (just to see if that would matter), totalling 6 tests. They all pass as you can see below, but then it runs a 0-test suite. This happens even if I completely empty out ReleaseTest. This problem only exists if I have config.gem 'shoulda' in my environment.rb. If I explicitly do require 'shoulda' at the top of my tests, everything works fine. What would be causing this? /usr/bin/ruby -e STDOUT.sync=true;STDERR.sync=true;load($0=ARGV.shift) /var/lib/gems/1.9.1/bin/rake test Testing started at 6:58 PM ... (in /home/rlepidi/projects/rails/testproject) /usr/bin/ruby1.9.1 -I"lib:test" "/var/lib/gems/1.9.1/gems/rake-0.8.7/lib/rake/rake_test_loader.rb" "test/unit/release_test.rb" Loaded suite /var/lib/gems/1.9.1/gems/rake-0.8.7/lib/rake/rake_test_loader Started ...... Finished in 0.029335778 seconds. 6 tests, 6 assertions, 0 failures, 0 errors, 0 pendings, 0 omissions, 0 notifications 100% passed /usr/bin/ruby1.9.1 -I"lib:test" "/var/lib/gems/1.9.1/gems/rake-0.8.7/lib/rake/rake_test_loader.rb" /usr/bin/ruby1.9.1 -I"lib:test" "/var/lib/gems/1.9.1/gems/rake-0.8.7/lib/rake/rake_test_loader.rb" Loaded suite /var/lib/gems/1.9.1/bin/rake Started Finished in 0.000106717 seconds. 0 tests, 0 assertions, 0 failures, 0 errors, 0 pendings, 0 omissions, 0 notifications 0% passed Empty test suite.

    Read the article

  • Can I ensure all tests contain an assertion in test/unit?

    - by Andrew Grimm
    With test/unit, and minitest, is it possible to fail any test that doesn't contain an assertion, or would monkey-patching be required (for example, checking if the assertion count increased after each test was executed)? Background: I shouldn't write unit tests without assertions - at a minimum, I should use assert_nothing_raised if I'm smoke testing to indicate that I'm smoke testing. Usually I write tests that fail first, but I'm writing some regression tests. Alternatively, I could supply an incorrect expected value to see if the test is comparing the expected and actual value.

    Read the article

  • Beginner problem with posting data table to JsonResult

    - by ognjenb
    With this script I get data from JsonResult (GetDevicesTable) and put them to table ( id="OrderDevices") <script type="text/javascript"> $(document).ready(function() { $("#getDevices a").click(function() { var Id = $(this).attr("rel"); var rowToMove = $(this).closest("tr"); $.post("/ImportXML/GetDevicesTable", { Id: Id }, function(data) { if (data.success) { //remove row rowToMove.fadeOut(function() { $(this).remove() }); //add row to other table $("#OrderDevices").append("<tr><td>"+ data.DeviceId+ "</td><td>" + data.Id+ "</td><td>" + data.OrderId + "</td></tr>"); } else { alert(data.ErrorMsg); } }, "json"); }); }); <% using (Html.BeginForm()) {%> <table id="OrderDevices" class="data-table"> <tr> <th> DeviceId </th> <th> Id </th> <th> OrderId </th> </tr> </table> <p> <input type="submit" value="Submit" /> </p> <% } %> When click on Submit I need something like this: $(document).ready(function() { $("#submit").click(function() { var Id = $(this).attr("rel"); var DeviceId = $(this).attr(???); var OrderId = $(this).attr(???); var rowToMove = $(this).closest("tr"); $.post("/ImportXML/DevicesActions", { Id: Id, DeviceId:DeviceId, OrderId:OrderId }, function(data) { }, "json"); }); }); I have problem with this script because do not know how post data to this JsonResult: public JsonResult DevicesActions(int Id,int DeviceId,int OrderId) { orderdevice ord = new orderdevice(); ord.Id = Id; ord.OrderId = DeviceId; ord.DeviceId = OrderId; DBEntities.AddToorderdevice(ord); DBEntities.SaveChanges(); }

    Read the article

  • How to generate tests with different names in testng, java?

    - by Ula Karzelek
    I'm using testng to run selenium based tests in java. I have a bunch of repeated tests. Generally they do all the same except of test name and one parameter. I want to automate generation of it. I was thinking about using factory. Is there a way to generate tests with different name? What would be the best approach to this? As for now I have something like below and I want to create 10 tests like LinkOfInterestIsActiveAfterClick @Test(dependsOnGroups="loggedin") public class SmokeTest extends BrowserStartingStoping{ public void LinkOfInterestIsActiveAfterClick(){ String link = "link_of_interest"; browser.click("*",link); Assert.assertTrue(browser.isLinkActive(link)); } } My xml suite is auto-generated from java code. test names are crucial for logging which link is active, and which one is not.

    Read the article

  • Persistent (purely functional) Red-Black trees on disk performance

    - by Waneck
    I'm studying the best data structures to implement a simple open-source object temporal database, and currently I'm very fond of using Persistent Red-Black trees to do it. My main reasons for using persistent data structures is first of all to minimize the use of locks, so the database can be as parallel as possible. Also it will be easier to implement ACID transactions and even being able to abstract the database to work in parallel on a cluster of some kind. The great thing of this approach is that it makes possible implementing temporal databases almost for free. And this is something quite nice to have, specially for web and for data analysis (e.g. trends). All of this is very cool, but I'm a little suspicious about the overall performance of using a persistent data structure on disk. Even though there are some very fast disks available today, and all writes can be done asynchronously, so a response is always immediate, I don't want to build all application under a false premise, only to realize it isn't really a good way to do it. Here's my line of thought: - Since all writes are done asynchronously, and using a persistent data structure will enable not to invalidate the previous - and currently valid - structure, the write time isn't really a bottleneck. - There are some literature on structures like this that are exactly for disk usage. But it seems to me that these techniques will add more read overhead to achieve faster writes. But I think that exactly the opposite is preferable. Also many of these techniques really do end up with a multi-versioned trees, but they aren't strictly immutable, which is something very crucial to justify the persistent overhead. - I know there still will have to be some kind of locking when appending values to the database, and I also know there should be a good garbage collecting logic if not all versions are to be maintained (otherwise the file size will surely rise dramatically). Also a delta compression system could be thought about. - Of all search trees structures, I really think Red-Blacks are the most close to what I need, since they offer the least number of rotations. But there are some possible pitfalls along the way: - Asynchronous writes -could- affect applications that need the data in real time. But I don't think that is the case with web applications, most of the time. Also when real-time data is needed, another solutions could be devised, like a check-in/check-out system of specific data that will need to be worked on a more real-time manner. - Also they could lead to some commit conflicts, though I fail to think of a good example of when it could happen. Also commit conflicts can occur in normal RDBMS, if two threads are working with the same data, right? - The overhead of having an immutable interface like this will grow exponentially and everything is doomed to fail soon, so this all is a bad idea. Any thoughts? Thanks! edit: There seems to be a misunderstanding of what a persistent data structure is: http://en.wikipedia.org/wiki/Persistent_data_structure

    Read the article

  • how to check if internal storage file has any data

    - by user3720291
    public class Save extends Activity { int levels = 2; int data_block = 1024; //char[] data = new char[] {'0', '0'}; String blankval = "0"; String targetval = "0"; String temp; String tempwrite; String string = "null"; TextView tex1; TextView tex2; @Override protected void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); setContentView(R.layout.save); Intent intent = getIntent(); Bundle b = intent.getExtras(); tex1 = (TextView) findViewById(R.id.textView1); tex2 = (TextView) findViewById(R.id.textView2); if(b!=null) { string =(String) b.get("string"); } loadprev(); save(); } public void save() { if (string.equals("Blank")) blankval = "1"; if (string.equals("Target")) targetval = "1"; temp = blankval + targetval; try { FileOutputStream fos = openFileOutput("data.gds", MODE_PRIVATE); fos.write(temp.getBytes()); fos.close(); } catch (FileNotFoundException e) {e.printStackTrace();} catch (IOException e) {e.printStackTrace();} tex1.setText(blankval); tex2.setText(targetval); } public void loadprev() { String final_data = ""; try { FileInputStream fis = openFileInput("data.gds"); InputStreamReader isr = new InputStreamReader(fis); char[] data = new char[data_block]; int size; while((size = isr.read(data))>0) { String read_data = String.copyValueOf(data, 0, size); final_data += read_data; data = new char[data_block]; } } catch (FileNotFoundException e) {e.printStackTrace();} catch (IOException e) {e.printStackTrace();} char[] tempread = final_data.toCharArray();; blankval = "" + tempread[0]; targetval = "" + tempread[1]; } } After much tinkering i have finally managed to get my save/load function to work, but it does have an error, pretty much i got it to work then i did a fresh reintall deleting data.gds, afterwards the save/load function crashes because the data.gds file has no previous values. can i use a if statment to check if data.gds has any values in it, if so how do i do it and if not, then what could i use instead?

    Read the article

  • Programmatically import CSV data to Access

    - by FrustratedWithFormsDesigner
    I have an Access database and the source of data comes from generated CSV files. I'd like to have an easy way for the users to simply select the data file and import it. Import should append the existing data to the data already in the data table. Is there a way in Access to create a file selector and import using saved CSV import settings that are already in the file?

    Read the article

  • warning about data loss c++/c

    - by Dr Deo
    i am getting a benign warning about possible data loss warning C4244: 'argument' : conversion from 'const int' to 'float', possible loss of data question i remember as if float has a larger precision than int. So how can data be lost if i convert from a smaller data type (int) to a larger data type (float)

    Read the article

  • why do you write tests and what is a unit test and how does it differ other types of testing ?

    - by dfafa
    im curious as to know, why tests are written? why would bother writing it ? why not just compile and run the code or view it in your browser, click around and test out stuff. i mean i can understand, a crawler that checks your web app's functions....but why is tests written, maintained and treated as important as the main feature codes ? is it crucial to always write and use tests ?

    Read the article

  • Why is cakephp form input stored in $this->data and POST data stored in $this->params['form'] ?

    - by spudnik1979
    the cakephp rest tutorial says that post data should be in $this-data, but I am finding that it is not, but instead inside $this-params['form'] However, when using cakephp form helper in a view, the data is in $this-data. Am I correct to have to check both locations in my controller? It just seems a bit of a waste of extra code. Shouldnt the data appear in one place for whether it came from a rest rest requestor or Cakephp form post? ps im using cakephp 1.3

    Read the article

  • how to interpret testng console log message for passing tests?

    - by Kunal Cholera
    I ran testng tests for my test classes, I get the following three types of log output when I run the passing tests. I am using org.testng.AssertJUnit.assertTrue() methods in my tests. [testng] PASSED: testMethod1 on null(test.foo.bar.Class1) [testng] PASSED: testMethod2 on Default test name(test.foo.bar.jar.Class2) [testng] PASSED: testMethod3 Can any one please tell me why for some tests it says "on null" for some it says "on Default test name ... " and for some it does not say anything on the console output. Specifically I want to make it consistent message. Environment : linux Testng framework : 6.3.2beta please advise. thanks.

    Read the article

< Previous Page | 176 177 178 179 180 181 182 183 184 185 186 187  | Next Page >