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  • Processing velocity-vectors during collision as neatly as possible

    - by DevEight
    Hello. I'm trying to create a good way to handle all possible collisions between two objects. Typically one will be moving and hitting the other, and should then "bounce" away. What I've done so far (I'm creating a typical game where you have a board and bounce a ball at bricks) is to check if the rectangles intersect and if they do, invert the Y-velocity. This is a really ugly and temporary solution that won't work in the long haul and since this is kind of processing is very common in games I'd really like to find a great way of doing this for future projects aswell. Any links or helpful info is appreciated. Below is what my collision-handling function looks like right now. protected void collision() { #region Boundaries if (bal.position.X + bal.velocity.X >= viewportRect.Width || bal.position.X + bal.velocity.X <= 0) { bal.velocity.X *= -1; } if (bal.position.Y + bal.velocity.Y <= 0) { bal.velocity.Y *= -1; } #endregion bal.rect = new Rectangle((int)bal.position.X+(int)bal.velocity.X-bal.sprite.Width/2, (int)bal.position.Y-bal.sprite.Height/2+(int)bal.velocity.Y, bal.sprite.Width, bal.sprite.Height); player.rect = new Rectangle((int)player.position.X-player.sprite.Width/2, (int)player.position.Y-player.sprite.Height/2, player.sprite.Width, player.sprite.Height); if (bal.rect.Intersects(player.rect)) { bal.position.Y = player.position.Y - player.sprite.Height / 2 - bal.sprite.Height / 2; if (player.position.X != player.prevPos.X) { bal.velocity.X -= (player.prevPos.X - player.position.X) / 2; } bal.velocity.Y *= -1; } foreach (Brick b in brickArray.list) { b.rect.X = Convert.ToInt32(b.position.X-b.sprite.Width/2); b.rect.Y = Convert.ToInt32(b.position.Y-b.sprite.Height/2); if (bal.rect.Intersects(b.rect)) { b.recieveHit(); bal.velocity.Y *= -1; } } brickArray.removeDead(); }

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  • Google maps KM bounds box reapplying itself on map zoom

    - by creminsn
    I have a map in which I apply a custom overlay using KMbox overlay to signify where I think the users general point of interest lies. What I want is to display this map to the user and allow them to click on the map to give me an exact location match of their POI. This all works fine except for when the user clicks on the map and changes the zoom of the map. Here's my code to add the marker to the map. function addMarker(location) { if(KmOverlay) { KmOverlay.remove(); } if(last_marker) { last_marker.setMap(null); } marker = new google.maps.Marker({ position: location, map: map }); // Keep track for future unsetting... last_marker = marker; } And to show the map I have this function. function show_map(lt, ln, zoom, controls, marker) { var ltln = new google.maps.LatLng(lt, ln); var vars = { zoom: zoom, center: ltln, mapTypeId: google.maps.MapTypeId.ROADMAP, navigationControl: controls, navigationControlOptions: {style: google.maps.NavigationControlStyle.ZOOM_PAN} , mapTypeControl: false, scaleControl: false, scrollwheel: false }; map = new google.maps.Map(document.getElementById("map_canvas"), vars); KmOverlay = new KmBox(map, new google.maps.LatLng(lat, lon), KmOpts); var totalBounds = new google.maps.LatLngBounds(); totalBounds.union(KmOverlay.getBounds()); google.maps.event.addListener(map, 'click', function(event) { addMarker(event.latLng); }); } I have a working example at the following link here

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  • For business people to manage, keep binary images in MySQL or just the urls?

    - by Michael Mao
    Hello everyone: I am working on a task to enable image uploading and auto-scaling(from full sized to thumbnail) by jQuery & PHP. I can naturally come up with two approaches : First, store both images as binary objects directly into MySQL; Second, store only urls to the images and keep the images somewhere on server. The images are for everyone to view, so there are no security restrictions, as far as I know. Personally I don't have any preference, however, at the end of the day, it is the business people that are going to manage the images as part of the system(CRUD). So I am wondering which seems to be a bit better for them? Of course I am building a easy-to-use, visualize web interface for the staff to control the process, but I am not sure if that is enough. Lessons told me that if I don't think for the future and seek the most flexible approach, the I will probably screw myself sooner or later. PS. The following link is what I've found so far, which is pretty cool, no flash involved :) Andrew Valum's ajax image upload jQuery plugin

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  • changing asp .net web service namespace when already in productive state

    - by eloQ
    by some unfortunate events we published a web service with the tempuri-namespace a couple of months ago and no one did notice (not in our company, not the companies connecting to the web service) even though it's live since that time and lots of companies (~25 i guess) already access this web service. now i'm thinking of correcting that mistake and have the namespace fixed to a proper value. the only problem is: as soon as we would do it, all the programs and services connected to this web service would stop working. i can't really allow that to happen. is there any way to fix the namespace for future purpose or to have the web service operate under two namespaces as one web service? any tip at all what i could do to get rid of the tempuri-namespace and have it fixed without needing to synchronize the change with all the external companies? i'm all out of ideas, so any help would be much appreciated! thanks! I hope this question is alright here, first time user, found this through using search engines on my research and found tempuri.org related posts, just not the right one..

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  • How to debug a Gruntfile with breakpoints using node-inspector?

    - by Kris Hollenbeck
    So I have spent the past couple days trying to get this to work with no luck. Most of the solutions I have found seem to work "okay" for debugging node applications. But I haven't had much luck debugging grunt stand alone. I would like to be able to set breakpoints in my gruntfile and either step through the code with either the browser or an IDE. I have tried the following: Debugging using intelliJ IDE Using Grunt Console (Process finished with exit code 6) Debugging with Nodeeclipse (This sort of works okay but doesn't hit the breakpoints set in eclipse, not very intuitive) Debugging using node-inspector (This one also sort of works. I can step through a little ways using F11 and F10 in chrome. But eventually it just crashes. Using F8 to skip to break point never works.) ERROR MESSAGE USING NODE-INSPECTOR So currently node-inspector feels like it has gotten me the closest to what I want. To get here I did the following: From my grunt directory I ran the following commands: grunt node-inspector node --debug-brk Gruntfile.js And then from there I went to localhost:8080/debug?port=5858 to debug my Gruntfile.js. But like I mentioned above, as soon as I hit F8 to skip to breakpoint it crashes with the above error. Has anybody had any success using this method to try to debug a Gruntfile? So far from my search efforts I have not found a very well documented way of doing this. So hopefully this will be useful or beneficial information for future users. Also I am using Windows 7 by the way. Thanks in advance.

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  • import csv file/excel into sql database asp.net

    - by kiev
    Hi everyone! I am starting a project with asp.net visual studio 2008 / SQL 2000 (2005 in future) using c#. The tricky part for me is that the existing DB schema changes often and the import files columns will all have to me matched up with the existing db schema since they may not be one to one match on column names. (There is a lookup table that provides the tables schema with column names I will use) I am exploring different ways to approach this, and need some expert advice. Is there any existing controls or frameworks that I can leverage to do any of this? So far I explored FileUpload .NET control, as well as some 3rd party upload controls to accomplish the upload such as SlickUpload but the files uploaded should be < 500mb Next part is reading of my csv /excel and parsing it for display to the user so they can match it with our db schema. I saw CSVReader and others but for excel its more difficult since I will need to support different versions. Essentially The user performing this import will insert and/or update several tables from this import file. There are other more advance requirements like record matching but and preview of the import records, but I wish to get through understanding how to do this first. Update: I ended up using csvReader with LumenWorks.Framework for uploading the csv files.

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  • How to speed-up python nested loop?

    - by erich
    I'm performing a nested loop in python that is included below. This serves as a basic way of searching through existing financial time series and looking for periods in the time series that match certain characteristics. In this case there are two separate, equally sized, arrays representing the 'close' (i.e. the price of an asset) and the 'volume' (i.e. the amount of the asset that was exchanged over the period). For each period in time I would like to look forward at all future intervals with lengths between 1 and INTERVAL_LENGTH and see if any of those intervals have characteristics that match my search (in this case the ratio of the close values is greater than 1.0001 and less than 1.5 and the summed volume is greater than 100). My understanding is that one of the major reasons for the speedup when using NumPy is that the interpreter doesn't need to type-check the operands each time it evaluates something so long as you're operating on the array as a whole (e.g. numpy_array * 2), but obviously the code below is not taking advantage of that. Is there a way to replace the internal loop with some kind of window function which could result in a speedup, or any other way using numpy/scipy to speed this up substantially in native python? Alternatively, is there a better way to do this in general (e.g. will it be much faster to write this loop in C++ and use weave)? ARRAY_LENGTH = 500000 INTERVAL_LENGTH = 15 close = np.array( xrange(ARRAY_LENGTH) ) volume = np.array( xrange(ARRAY_LENGTH) ) close, volume = close.astype('float64'), volume.astype('float64') results = [] for i in xrange(len(close) - INTERVAL_LENGTH): for j in xrange(i+1, i+INTERVAL_LENGTH): ret = close[j] / close[i] vol = sum( volume[i+1:j+1] ) if ret > 1.0001 and ret < 1.5 and vol > 100: results.append( [i, j, ret, vol] ) print results

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  • Retaining Managed objects - more general retaining objects

    - by Luuk D. Jansen
    A quick question regarding Managed Objects. I created an Array with Managed Objects (in Object 1: TableViewConbtroller), and pass one of those objects to another class/object (object 2: TableCell). The original array should still be retained in the original caller class. Then Object 2 is released, does that mean that that particular item in the array is released as well, as the reference to it in Object 2 was released? I am trying to better understand how to work with ManagedObjects as I get 'Object was released' errors. [EDIT] After some experimenting I came across the following scenario: I have the main AppDelegate. In a different class I create an AppDelegate to obtain the ManagedObjectContext. appDelegate = (iDomsAppDelegate *)[[UIApplication sharedApplication] delegate]; [self setContext:[appDelegate managedObjectContext]]; When the class is finished, and I release it, the variable in the class 'appDelegate' is also released. But then the ManagedObjectContext is closed, and obvious any future attempt to use it will cause a crash. So should I leave the appDelegate unreleased? This comes to the same question as the above about when and how to release in those situations where an objects is used from another class. I think a way of putting it is, how to know when you own an object and when not.

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  • How do the operators < and > work with pointers?

    - by Øystein
    Just for fun, I had a std::list of const char*, each element pointing to a null-terminated text string, and ran a std::list::sort() on it. As it happens, it sort of (no pun intended) did not sort the strings. Considering that it was working on pointers, that makes sense. According to the documentation of std::list::sort(), it (by default) uses the operator < between the elements to compare. Forgetting about the list for a moment, my actual question is: How do these (, <, =, <=) operators work on pointers in C++ and C? Do they simply compare the actual memory addresses? char* p1 = (char*) 0xDAB0BC47; char* p2 = (char*) 0xBABEC475; e.g. on a 32-bit, little-endian system, p1 p2 because 0xDAB0BC47 0xBABEC475? Testing seems to confirm this, but I thought it'd be good to put it on StackOverflow for future reference. C and C++ both do some weird things to pointers, so you never really know...

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  • PHP/MySQL time zone migration

    - by El Yobo
    I have an application that currently stores timestamps in MySQL DATETIME and TIMESTAMP values. However, the application needs to be able to accept data from users in multiple time zones and show the timestamps in the time zone of other users. As such, this is how I plan to amend the application; I would appreciate any suggestions to improve the approach. Database modifications All TIMESTAMPs will be converted to DATETIME values; this is to ensure consistency in approach and to avoid having MySQL try to do clever things and convert time zones (I want to keep the conversion in PHP, as it involves less modification to the application, and will be more portable when I eventually manage to escape from MySQL). All DATETIME values will be adjusted to convert them to UTC time (currently all in Australian EST) Query modifications All usage of NOW() to be replaced with UTC_TIMESTAMP() in queries, triggers, functions, etc. Application modifications The application must store the time zone and preferred date format (e.g. US vs the rest of the world) All timestamps will be converted according to the user settings before being displayed All input timestamps will be converted to UTC according to the user settings before being input Additional notes Converting formats will be done at the application level for several main reasons The approach to converting time zones varies from DB to DB, so handing it there will be non-portable (and I really hope to be migrating away from MySQL some time in the not-to-distant future). MySQL TIMESTAMPs have limited ranges to the permitted dates (~1970 to ~2038) MySQL TIMESTAMPs have other undesirable attributes, including bizarre auto-update behaviour (if not carefully disabled) and sensitivity to the server zone settings (and I suspect I might screw these up when I migrate to Amazon later in the year). Is there anything that I'm missing here, or does anyone have better suggestions for the approach?

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  • Is going for a BCS the right move for me?

    - by Michel Carroll
    I'm at a fork in the road. I need somebody to give me some advice from their personal journey in IT. At the moment, I have a college diploma (2 years) in Computer Programmer, and about 2 years of professional experience in the field of software. I'm currently freelancing my programming skills to the public, and am enjoying a nice income, and the rewards of flexibly working on a variety of projects with different cool people. I'm young (21 years old), passionate about software, technology, the internet, and also business. I know if I ever want to dwell deeper into the software industry, I might have a hard time doing so without a Bachelors in Computer Science. On one side, I think I'm better off getting my BCS while I'm still young and malleable. Also, the thought of learning even more stuff in my field is really exciting to me. On the flip side, it means another 3-4 years of studying, and jeopardizing my chances of going on vacation and accumulating wealth for a long time. Considering that I'm already pretty successful with my college diploma, do you think it's a good idea for me to go get my BCS? Will it open up many more doors in the future?

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  • Calculating collision for a moving circle, without overlapping the boundaries

    - by Robert Vella
    Let's say I have circle bouncing around inside a rectangular area. At some point this circle will collide with one of the surfaces of the rectangle and reflect back. The usual way I'd do this would be to let the circle overlap that boundary and then reflect the velocity vector. The fact that the circle actually overlaps the boundary isn't usually a problem, nor really noticeable at low velocity. At high velocity it becomes quite clear that the circle is doing something it shouldn't. What I'd like to do is to programmatically take reflection into account and place the circle at it's proper position before displaying it on the screen. This means that I have to calculate the point where it hits the boundary between it's current position and it's future position -- rather than calculating it's new position and then checking if it has hit the boundary. This is a little bit more complicated than the usual circle/rectangle collision problem. I have a vague idea of how I should do it -- basically create a bounding rectangle between the current position and the new position, which brings up a slew of problems of it's own (Since the rectangle is rotated according to the direction of the circle's velocity). However, I'm thinking that this is a common problem, and that a common solution already exists. Is there a common solution to this kind of problem? Perhaps some basic theories which I should look into?

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  • Is there a way to validate the presence of Javadoc and/or inline code comments?

    - by Chris Aldrich
    We are trying to put quality code processes in place for a large project I am working on. Right now a lot of developers are not putting in Javadoc or in-line code comments into their code. Ok right now. But it will severely hurt us in the very near future. We are using Maven 2.0.9 as our build tool, as well as Hudson for Continuous Integration. We are using Subversion as our source versioning tool/code repository, Rational Application Developer and Rational Softare Architect (essentially Eclipse) 7.5.1 as our IDE's, and then Subclipse as our Eclipse plug-in to connect to SVN. Is there a plug-in or a way to validate that a developer put in Javadoc and/or in-line code comments in order to allow a commit to SVN? This isn't intended to be a substitute for good code reviews, but merely a help to make sure that developers are reminded to add this documentation before committing. We are still intending on conducting code reviews that would also review documentation. Has anyone found any plug-ins for something like this? Any links? Any ideas?

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  • regexp in java problem

    - by Staszek28
    Hello! I found some problem while testing my NLP system. I have a java regex "(.\.\s)*Dendryt.*" and for string "v Table of Contents List of Tables . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . " it just dont stop computing. Its clear that this regex complexity is very high, I will try to refactor it. Have you some suggestions for me for a future regex development ??? Thanks.

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  • How to make a self contained jQuery plugin that finds the tallest image height?

    - by Jannis
    I have been trying to make this to be a little jQuery plugin that I can reuse in the future without having to write the following into my actions.js file in full. This works when loaded in the same file where I set the height using my variable tallest. var tallest = null; $('.slideshow img').each(function(index) { if ($(this).height() >= tallest ) { tallest = $(this).height(); } }); $('.slideshow').height(tallest); This works and will cycle through all the items, then set the value of tallest to the greatest height found. The following however does not work: This would be the plugin, loaded from its own file (before the actions.js file that contains the parts using this): (function($){ $.fn.extend({ tallest: function() { var tallest = null; return this.each(function() { if ($(this).height() >= tallest ) { tallest = $(this).height(); } }); } }); })(jQuery); Once loaded I am trying to use it as follows: $('.slideshow img').tallest(); $('.slideshow').height(tallest); However the above two lines return an error of 'tallest is undefined'. How can I make this work? Any ideas would be appreciated. Thinking about this even more the perfect usage of this would be as follows: $('.container').height(tallest('.container item')); But I wouldn't even know where to begin to get this to work in the manner that you pass the object to be measured into the function by adding it into the brackets of the function name. Thanks for reading, Jannis

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  • need help with mvc & routes

    - by geoff
    I'm very new to MVC and I'm trying to get a new site set up using it. For SEO reasons we need to make the url of a page something like "Recruiter/4359/John_Smith" or basically {controller}/{id}/{name}. I have that working when I create the url in the code behind like so... //r is a recruiter object that is part of the results for the view r.Summary = searchResult.Summary + "... &lt;a href=\"/Recruiter/" + r.Id + "/" + r.FirstName + "_" + r.LastName + "\"&gt;Read More&lt;/a&gt;" But when I am using the collection of results from a search in my view and iterating through them I am trying to create another link to the same page doing something like <%=Html.ActionLink<RecruiterController>(x => x.Detail((int)r.Id), r.RecruiterName)%> but that doesn't work. When I use that code in the view it gives me a url in the form of /Recruiter/Detail/4359 I was told by a coworker that I should use the Html.ActionLink to create the link in both the view and the controller so that if the route changes in the future it will automatically work. Unfortunately he wasn't sure how to do that in this case. So, my problems are... How can I make the Html.ActionLink work in the view to create a url like I need (like r.Summary above)? How do I use the Html.ActionLink in a controller instead of hardcoding the link like I have above?

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  • Best way to implement plugin framework - are DLLs the only way (C/C++ project)?

    - by Microkernel
    Introduction: I am currently developing a document classifier software in C/C++ and I will be using Naive-Bayesian model for classification. But I wanted the users to use any algorithm that they want(or I want in the future), hence I went to separate the algorithm part in the architecture as a plugin that will be attached to the main app @ app start-up. Hence any user can write his own algorithm as a plugin and use it with my app. Problem Statement: The way I am intending to develop this is to have each of the algorithms that user wants to use to be made into a DLL file and put into a specific directory. And at the start, my app will search for all the DLLs in that directory and load them. My Questions: (1) What if a malicious code is made as a DLL (and that will have same functions mandated by plugin framework) and put into my plugins directory? In that case, my app will think that its a plugin and picks it and calls its functions, so the malicious code can easily bring down my entire app down (In the worst case could make my app as a malicious code launcher!!!). (2) Is using DLLs the only way available to implement plugin design pattern? (Not only for the fear of malicious plugin, but its a generic question out of curiosity :) ) (3) I think a lot of softwares are written with plugin model for extendability, if so, how do they defend against such attacks? (4) In general what do you think about my decision to use plugin model for extendability (do you think I should look at any other alternatives?) Thank you -MicroKernel :)

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  • Compromising design & code quality to integrate with existing modules

    - by filip-fku
    Greetings! I inherited a C#.NET application I have been extending and improving for a while now. Overall it was obviously a rush-job (or whoever wrote it was seemingly less competent than myself). The app pulls some data from an embedded device & displays and manipulates it. At the core is a communications thread in the main application form which executes a 600+ lines of code method which calls functions all over the place, implementing a state machine - lots of if-state-then-do type code. Interaction with the device is done by setting the state/mode globally and letting the thread do it's thing. (This is just one example of the badness of the code - overall it is not very OO-like, it reminds of the style of embedded C code the device firmware is written in). My problem is that this piece of code is central to the application. The software, communications protocol or device firmware are not documented at all. Obviously to carry on with my work I have to interact with this code. What I would like some guidance on, is whether it is worth scrapping this code & trying to piece together something more reasonable from the information I can reverse engineer? I can't decide! The reason I don't want to refactor is because the code already works, and changing it will surely be a long, laborious and unpleasant task. On the flip side, not refactoring means I have to sometimes compromise the design of other modules so that I may call my code from this state machine! I've heard of "If it ain't broke don't fix it!", so I am wondering if it should apply when "it" is influencing the design of future code! Any advice would be appreciated! Thanks!

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  • How do I stop a page from unloading (navigating away) in JS?

    - by Natalie Downe
    Does anyone know how to stop a page from reloading or navigating away? jQuery(function($) { /* global on unload notification */ warning = true; if(warning) { $(window).bind("unload", function() { if (confirm("Do you want to leave this page") == true) { //they pressed OK alert('ok'); } else { // they pressed Cancel alert('cancel'); return false; } }); } }); I am working on an e-commerce site at the moment, the page that displays your future orders has the ability to alter the quantities of items ordered using +/- buttons. Changing the quantities this way this doesn't actually change the order itself, they have to press confirm and therefore committing a positive action to change the order. However if they have changed the quantities and navigate away from the page I would like to warn them they are doing so in case this is an accident, as the changed quantities will be lost if they navigate away or refresh the page. In the code above I am using a global variable which will be false by default (its only true for testing), when a quantity is changed I will update this variable to be true, and when they confirm the changes I will set it to false. If warning is true and the page is unloaded, I offer them a confirmation box, if they say no they would like to stay on this page I need to stop it from unloading. return false isn't working, it still lets the user navigate away (the alerts are there for debugging only) Any ideas?

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  • How would you organize this in asp.net mvc?

    - by chobo
    I have an asp.net mvc 2.0 application that contains Areas/Modules like calendar, admin, etc... There may be cases where more than one area needs to access the same Repo, so I am not sure where to put the Data Access Layers and Repositories. First Option: Should I create Data Access Layer files (Linq to SQL in my case) with their accompanying Repositories for each area, so each area only contains the Tables, and Repositories needed by those areas. The benefit is that everything needed to run that module is one place, so it is more encapsulated (in my mind anyway). The downside is that I may have duplicate queries, because other modules may use the same query. Second Option Or, would it be better to place the DAL and Repositories outside the Area's and treat them as Global? The advantage is I won't have any duplicate queries, but I may be loading a lot of unnecessary queries and DAL tables up for certain modules. It is also more work to reuse or modify these modules for future projects (though the chance of reusing them is slim to none :)) Which option makes more sense? If someone has a better way I'd love to hear it. Thanks!

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  • Abstracting the interpretation of MVC checkboxes values received by the FormsCollection object

    - by Simon_Weaver
    In ASP.NET MVC a checkbox is generated by the HtmlHelper code here: <%= Html.CheckBox("List_" + mailingList.Key, true) %> as this HTML: <input id="List_NEW_PRODUCTS" name="List_NEW_PRODUCTS" type="checkbox" value="true" /> <input name="List_NEW_PRODUCTS" type="hidden" value="false" /> In case you're wondering why is there an extra hidden field? - then read this. Its definitely a solution that makes you first think 'hmmmmm' but then you realize its a pretty elegant one. The problem I have is when I'm trying to parse the data on the backend. Well its not so much of a problem as a concern if anything in future were to change in the framework. If I'm using the built in binding everything is great - its all done for me. But in my case I'm dynamically generating checkboxes with unknown names and no corresponding properties in my model. So i end up having to write code like this : if (forms["List_RETAIL_NOTIFICATION"] == "true,false") { } or this: if (forms.GetValues("List_RETAIL_NOTIFICATION")[0] == "true") { } Both of which i still look at and cringe - especially since theres no guarantee this will always be the return value. I'm wondering if theres a way to access the layer of abstraction used by the model binders - or if I'm stuck with my controller 'knowing' this much about HTTP POST hacks. Yes I'm maybe being a little picky - but perhaps theres a better clever way using the model binders that I can employ to read dynamically created checkbox parameters. In addition i was hoping this this post might help others searcheing for : "true,false". Even though I knew why it does this I just forgot and it took me a little while to realize 'duh'. FYI: I tried another few things, and this is what I found : forms["List_RETAIL_NOTIFICATION"] evaluates to "true,false" forms.GetValues("List_RETAIL_NOTIFICATION")[0] evaluates to "true" (forms.GetValue("List_RETAIL_NOTIFICATION").RawValue as string[])[0] evaluates to "true" forms.GetValues("List_RETAIL_NOTIFICATION").FirstOrDefault() evaluates to "true"

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  • Code Contracts: Do we have to specify Contract.Requires(...) statements redundantly in delegating me

    - by herzmeister der welten
    I'm intending to use the new .NET 4 Code Contracts feature for future development. This made me wonder if we have to specify equivalent Contract.Requires(...) statements redundantly in a chain of methods. I think a code example is worth a thousand words: public bool CrushGodzilla(string weapon, int velocity) { Contract.Requires(weapon != null); // long code return false; } public bool CrushGodzilla(string weapon) { Contract.Requires(weapon != null); // specify contract requirement here // as well??? return this.CrushGodzilla(weapon, int.MaxValue); } For runtime checking it doesn't matter much, as we will eventually always hit the requirement check, and we will get an error if it fails. However, is it considered bad practice when we don't specify the contract requirement here in the second overload again? Also, there will be the feature of compile time checking, and possibly also design time checking of code contracts. It seems it's not yet available for C# in Visual Studio 2010, but I think there are some languages like Spec# that already do. These engines will probably give us hints when we write code to call such a method and our argument currently can or will be null. So I wonder if these engines will always analyze a call stack until they find a method with a contract that is currently not satisfied? Furthermore, here I learned about the difference between Contract.Requires(...) and Contract.Assume(...). I suppose that difference is also to consider in the context of this question then?

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  • Where can I get software-related legal advice?

    - by musicfreak
    Whenever someone asks a legal question here on SO, the response is usually something along the lines of "we are not lawyers." Okay, that's legitimate, but in that case, how can I talk to a lawyer about software-related legal matters? I could look through the phone book and find a local lawyer, but then I have no way of knowing whether the lawyer knows anything about software. (And I hear most local lawyers charge for your time, even if it's just a simple question.) Is there maybe some kind of online service for this sort of thing? For now, I'm just looking for some basic advice, so something free would be awesome, even if the "quality" is not as good. However, I'll still take any kind of paid services--I'll keep them in mind for the future. You can give me anything from a forum or QA site (like this one) to a professional service. Just remember that I'm looking specifically for software-related legal advice. I'm sure most lawyers know a thing or two about software, but I'd rather talk to someone who legitimately knows his stuff than someone who can only guess.

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  • why does setting stderr=subprocess.STDOUT fix a subprocess.check_output call?

    - by ShankarG
    I have a python script running on a small server that is called in three different ways - from within another python script, by cron, or by gammu-smsd (an SMS daemon with the wonderful mobile utility [gammu]). The script is for maintenance and contained the following kludge to measure used space on the system (presumably this is possible from within Python, but this was quick and dirty): reportdict['Used Space'] = subprocess.check_output(["df / | tail -1 | awk '{ print $5; }'"], shell=True)[0:-1] Oddly enough this line would only fail when the script was called by a shell script running from gammu-smsd. The line would fail with a CalledProcessError exception saying "returned exit status 2", even though the output attribute of the CalledProcessError object contained the correct output. The only command in the sequence of shell commands that would give such an error status would be awk, with status 2 indicating a fatal error. If the python script with this line was called by cron, by another python script, or from the command line, this line would work fine. I broke my head trying to fix the environment for the script, thinking this must be the problem. Finally though I put in stderr=subprocess.STDOUT, like so: reportdict['Used Space'] = subprocess.check_output(["df / | tail -1 | awk '{ print $5; }'"], stderr=subprocess.STDOUT, shell=True)[0:-1] This was a debug measure to help me figure out if some output was coming on stderr. But after this the script started working, even when called from gammu-smsd! Why might this be the case? I ask for future reference when using subprocess...

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  • Starting an STA thread, but with parameters to the final function

    - by DRapp
    I'm a bit weak on how some delegates behave, such as passing a method as the parameter to be invoked. While trying to do some NUnit test scripts, I have something that I need to run many test with. Each of these tests requires a GUI created and thus the need for an STA thread. So, I have something like public class MyTest { // the Delegate "ThreadStart" is part of the System.Threading namespace and is defined as // public delegate void ThreadStart(); protected void Start_STA_Thread(ThreadStart whichMethod) { Thread thread = new Thread(whichMethod); thread.SetApartmentState(ApartmentState.STA); //Set the thread to STA thread.Start(); thread.Join(); } [Test] public void Test101() { // Since the thread issues an INVOKE of a method, I'm having it call the // corresponding "FromSTAThread" method, such as Start_STA_Thread( Test101FromSTAThread ); } protected void Test101FromSTAThread() { MySTA_RequiredClass oTmp = new MySTA_RequiredClass(); Assert.IsTrue( oTmp.DoSomething() ); } } This part all works fine... Now the next step. I now have a different set of tests that ALSO require an STA thread. However, each "thing" I need to do requires two parameters... both strings (for this case). How do I go about declaring proper delegate so I can pass in the method I need to invoke, AND the two string parameters in one shot... I may have 20+ tests to run with in this pattern and may have future of other similar tests with different parameter counts and types of parameters too. Thanks.

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