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  • Axis2 webservice (aar archive) properties file

    - by XpiritO
    Hi there, guys. I'm currently developing a set of SOAP webservices over Axis2, deployed over a clustered WebLogic 10.3.2 environment. My webservices use some user settings that I want to be editable without the need for recompiling and regenerating the AAR archive. With this in mind, I chose to put them into a properties file that is loaded and consumed in runtime. Unfortunately, I'm having some questions about this: As far as I know, to achieve what I want, the only option is to put the properties file into the ../axis2/WEB-INF/classes directory of each one of the deployments (on each WebLogic instance) I currently have on my clustered configuration, and then load the file, as follows (or equivalent, this has not been verified for optimization): InputStreamReader fMainProp = new InputStreamReader(this.getClass().getResourceAsStream("myfile.properties")); Properties mainProp = new Properties(); mainProp.load(fMainProp); This is not as practical as I wanted it to be, because each time I want to alter some setting on the properties file, I have to edit each one of the files (deployed over different WebLogic instances) and there is a high probability of modifying one of these files without modifying the others. What I would like to know is if there is any (better) alternative to accomplish what I want, minimizing the potential conflict of configuration that is created by distributing and replicating the properties file through multiple WebLogic instances.

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  • Implementing Naïve Bayes algorithm in Java - Need some guidance

    - by techventure
    hello stackflow people As a School assignment i'm required to implement Naïve Bayes algorithm which i am intending to do in Java. In trying to understand how its done, i've read the book "Data Mining - Practical Machine Learning Tools and Techniques" which has a section on this topic but am still unsure on some primary points that are blocking my progress. Since i'm seeking guidance not solution in here, i'll tell you guys what i thinking in my head, what i think is the correct approach and in return ask for correction/guidance which will very much be appreciated. please note that i am an absolute beginner on Naïve Bayes algorithm, Data mining and in general programming so you might see stupid comments/calculations below: The training data set i'm given has 4 attributes/features that are numeric and normalized(in range[0 1]) using Weka (no missing values)and one nominal class(yes/no) 1) The data coming from a csv file is numeric HENCE * Given the attributes are numeric i use PDF (probability density function) formula. + To calculate the PDF in java i first separate the attributes based on whether they're in class yes or class no and hold them into different array (array class yes and array class no) + Then calculate the mean(sum of the values in row / number of values in that row) and standard divination for each of the 4 attributes (columns) of each class + Now to find PDF of a given value(n) i do (n-mean)^2/(2*SD^2), + Then to find P( yes | E) and P( no | E) i multiply the PDF value of all 4 given attributes and compare which is larger, which indicates the class it belongs to In temrs of Java, i'm using ArrayList of ArrayList and Double to store the attribute values. lastly i'm unsure how to to get new data? Should i ask for input file (like csv) or command prompt and ask for 4 values? I'll stop here for now (do have more questions) but I'm worried this won't get any responses given how long its got. I will really appreciate for those that give their time reading my problems and comment.

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  • Any way for a class to prevent outside code from declaring variables of its type?

    - by supercat
    Is it possible for a class of exposing a type for function returns, without allowing users of that class to create variables of that type? A couple usage scenarios: A Fluent interface on a large class; a statement like "foo=bar.WithX(5).WithY(9).WithZ(19);" would be inefficient if it had to create three new instances of the class, but could be much more efficient if the WithX could create one instance, and the other statements could simply use it. A class may wish to support a statement like "foo[19].x = 9;" even when foo itself isn't an array, and does not hold the data in class instances that can be exposed to the public; one way to do that is to have foo[19] return a struct which holds a reference to 'foo' and the value '19', and has a member property 'x' which could call "foo.SetXValue(19, 9);" Such a struct could have a conversion operator to convert itself to the "apparent" type of foo[19]. In both of these scenarios, storing the value returned by a method or property into a variable and then using it more than once would cause strange behavior. It would be desirable if the designer of the class exposing such methods or properties could ensure that callers wouldn't be able to use them more than once. Is there any practical way to accomplish that?

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  • x86 opcode alignment references and guidelines

    - by mrjoltcola
    I'm generating some opcodes dynamically in a JIT compiler and I'm looking for guidelines for opcode alignment. 1) I've read comments that briefly "recommend" alignment by adding nops after calls 2) I've also read about using nop for optimizing sequences for parallelism. 3) I've read that alignment of ops is good for "cache" performance Usually these comments don't give any supporting references. Its one thing to read a blog or a comment that says, "its a good idea to do such and such", but its another to actually write a compiler that implements specific op sequences and realize most material online, especially blogs, are not useful for practical application. So I'm a believer in finding things out myself (disassembly, etc. to see what real world apps do). This is one case where I need some outside info. I notice compilers will usually start an odd byte instruction immediately after whatever previous instruction sequence there was. So the compiler is not taking any special care in most cases. I see "nop" here or there, but usually it seems nop is used sparingly, if at all. How critical is opcode alignment? Can you provide references for cases that I can actually use for implementation? Thanks.

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  • Programmatically creating vector arrows in KML

    - by mettadore
    Does anyone have any practical examples of programmatically drawing icons as vectors in KML? Specifically, I have data with a magnitude and an azimuth at given coordinates, and I would like to have icons (or another graphical element) generated based on these values. Some thoughts on how I might approach it: Image directory (a brute force way): Make an image director of 360 different image files (probably batch rotate a single image) each pointing in a cooresponding azimuth. I've seen things like "Excel to KML," but am looking for code that I can use within a program, rather than a web utility. Issue: Arrow does not contain magnitude context, so that would have to be a label. I'd rather dynamically lengthen the arrow. Line creation in KML: Perhaps create a formula that creates a line with the origin at the coordinate points, with the length of the line proportional to the magnitute, and angled according to azimuth. There would then be two more lines, perhaps 30 degrees or so extending from the end of the previous line to make the arrow head. Issues: Not a separate image icon, so not sure how it would work in KML. Also not sure how easy it would be to generate this algorithm. Separate image generation: Perhaps create a PHP file that uses imagemagick or something similar to dynamically generate a .png file in a similar method to the above, and then link to the icon using the URI "domain.tld/imagegen.php?magnitude=magvalue&azimuth=azmvalue". Issue: Still have the problem of actually writing the algorithm for image generation. So, the question: has anyone else come up with solutions for programmatic vector (rather than merely arrow) generation?

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  • Worse is better. Is there an example?

    - by J.F. Sebastian
    Is there a widely-used algorithm that has time complexity worse than that of another known algorithm but it is a better choice in all practical situations (worse complexity but better otherwise)? An acceptable answer might be in a form: There are algorithms A and B that have O(N**2) and O(N) time complexity correspondingly, but B has such a big constant that it has no advantages over A for inputs less then a number of atoms in the Universe. Examples highlights from the answers: Simplex algorithm -- worst-case is exponential time -- vs. known polynomial-time algorithms for convex optimization problems. A naive median of medians algorithm -- worst-case O(N**2) vs. known O(N) algorithm. Backtracking regex engines -- worst-case exponential vs. O(N) Thompson NFA -based engines. All these examples exploit worst-case vs. average scenarios. Are there examples that do not rely on the difference between the worst case vs. average case scenario? Related: The Rise of ``Worse is Better''. (For the purpose of this question the "Worse is Better" phrase is used in a narrower (namely -- algorithmic time-complexity) sense than in the article) Python's Design Philosophy: The ABC group strived for perfection. For example, they used tree-based data structure algorithms that were proven to be optimal for asymptotically large collections (but were not so great for small collections). This example would be the answer if there were no computers capable of storing these large collections (in other words large is not large enough in this case). Coppersmith–Winograd algorithm for square matrix multiplication is a good example (it is the fastest (2008) but it is inferior to worse algorithms). Any others? From the wikipedia article: "It is not used in practice because it only provides an advantage for matrices so large that they cannot be processed by modern hardware (Robinson 2005)."

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  • method for specialized pathfinding?

    - by rlbond
    I am working on a roguelike in my (very little) free time. Each level will basically be a few rectangular rooms connected together by paths. I want the paths between rooms to be natural-looking and windy, however. For example, I would not consider the following natural-looking: B X X X XX XX XX AXX I really want something more like this: B X XXXX X X X X AXXXXXXXX These paths must satisfy a few properties: I must be able to specify an area inside which they are bounded, I must be able to parameterize how windy and lengthy they are, The lines should not look like they started at one path and ended at the other. For example, the first example above looks as if it started at A and ended at B, because it basically changed directions repeatedly until it lined up with B and then just went straight there. I was hoping to use A*, but honestly I have no idea what my heuristic would be. I have also considered using a genetic algorithm, but I don't know how practical that method might end up. My question is, what is a good way to get the results I want? Please do not just specify a method like "A*" or "Dijkstra's algorithm," because I also need help with a good heuristic.

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  • Using UpdatePanels inside of a ListView

    - by Jim B
    Hey everyone, I'm wondering if anybody has run across something similar to this before. Some quick pseudo-code to get started: <UpdatePanel> <ContentTemplate> <ListView> <LayoutTemplate> <UpdatePanel> <ContentTemplate> <ItemPlaceholder /> </ContentTemplate> </UpdatePanel> </LayoutTemplate> <ItemTemplate> Some stuff goes here </ItemTemplate> </ListView> </ContentTemplate> </UpdatePanel> The main thing to take away from the above is that I have an update panel which contains a listview; and then each of the listview items is contained in its own update panel. What I'm trying to do is when one of the ListView update panels triggers a postback, I'd want to also update one of the other ListView item update panels. A practical implementation would be a quick survey, that has 3 questions. We'd only ask Question #3 if the user answered "Yes" to Question #1. When the page loads; it hides Q3 because it doesn't see "Yes" for Q1. When the user clicks "Yes" to Q1, I want to refresh the Q3 update panel so it now displays. I've got it working now by refreshing the outer UpdatePanel on postback, but this seems inefficient because I don't need to re-evaluate every item; just the ones that would be affected by the prerequisite i detailed out above. I've been grappling with setting up triggers, but i keep coming up empty mainly because I can't figure out a way to set up a trigger for the updatepanel for Q3 based off of the postback triggered by Q1. Any suggestions out there? Am I barking up the wrong tree?

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  • Textbox autofill not in correct position in safari

    - by jerjer
    Hello All, Has anyone experience this weird issue on safari? Textbox autofill is not at its correct position, please see screenshot below. I have been searching for answers in google for almost a day, still no luck. This is the built-in autofill feature of safari. Here is the markup: index.php <html> <body> <div id="nav"></div> <div id="content"> <iframe style="width:100%;height:100%" src="add_user.php" frameborder="0"></iframe> </div> .... </body> </html> add_user.php <html> .... <body> <form method="post"> <h3>Add User (Admin only) <div id="msg">Please enter First and Last Name.</div> <ul> <li><label>* Email</label> <input type="text" id="email" /></li> <li><label>* First Name</label> <input type="text" id="fname" /></li> <li><label>* Last Name</label> <input type="text" id="lname" /></li> .... </ul> </form> </body> </html> I am suspecting that this is caused by the iframe, but it works just fine in other browsers. Also I could not change the page design(using iframe) right away for practical reasons. Thanks

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  • Efficiently Determine if EF 4 POCO Already in ObjectSet

    - by Eric J.
    I'm trying EF 4 with POCO's on a small project for the first time. In my Repository implementation, I want to provide a method AddOrUpdate that will add a passed-in POCO to the repository if it's new, else do nothing (as the updated POCO will be saved when SaveChanges is called). My first thought was to do this: public void AddOrUpdate(Poco p) { if (!Ctx.Pocos.Contains<Poco>(p)) { Ctx.Pocos.AddObject(p); } } However that results in a NotSupportedException as documented under Referencing Non-Scalar Variables Not Supported (bonus question: why would that not be supported?) Just removing the Contains part and always calling AddObject results in an InvalidStateException: An object with the same key already exists in the ObjectStateManager. The existing object is in the Unchanged state. An object can only be added to the ObjectStateManager again if it is in the added state. So clearly EF 4 knows somewhere that this is a duplicate based on the key. What's a clean, efficient way for the Repository to update Pocos for either a new or pre-existing object when AddOrUpdate is called so that the subsequent call to SaveChanges() will do the right thing? I did consider carrying an isNew flag on the object itself, but I'm trying to take persistence ignorance as far as practical.

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  • .NET WF4: Should it be in the middle of everything?

    - by stimpy77
    I am aware that WF4 (Windows Workflow 4.0, part of .NET 4.0) is a significant rework and redesign of WF3, where much of what made WF3 a poor technology choice has been cleaned up in WF4. For example, as far as I can tell, WF4 (Windows Workflow 4.0) activities are more or less testable with [TestMethod] and mocking. This among other things, like improved performance, has grabbed my attention about the technology again, whereas I had previously pooh-poohed WF3. I'm working on a new architecture for essentially an n-tier collaborative application (not enterprise-class, just a smallish project with potential to grow significantly) where I'm already trying to discipline myself to use IoC and, to some extent, TDD, and I'm wondering, in general terms, whether it is wiser to just hand-code workflow logic or if I should delve into learning and integrating WF4 so that WF becomes literally the controller of the entire application, i.e. the practical C in "MVC" (not ASP.NET MVC but rather the pattern). So should workflow activities in WF4 be the primary controller for a highly expandable/growable web-based collaborative application? Or am I asking entirely the wrong question? This is a vague question, I'm sure, so abstract answers are as welcome as specific ones.

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  • Data in two databases, eager spool resulting in query

    - by Valkyrie
    I have two databases in SQL2k5: one that holds a large amount of static data (SQL Database 1) (never updated but frequently inserted into) and one that holds relational data (SQL Database 2) related to the static data. They're separated mainly because of corporate guidelines and business requirements: assume for the following problem that combining them is not practical. There are places in SQLDB2 that PKs in SQLDB1 are referenced; triggers control the referential integrity, since cross-database relationships are troublesome in SQL Server. BUT, because of the large amount of data in SQLDB1, I'm getting eager spools on queries that join from the Id in SQLDB2 that references the data in SQLDB1. (With me so far? Maybe an example will help:) SELECT t.Id, t.Name, t2.Company FROM SQLDB1.table t INNER JOIN SQLDB2.table t2 ON t.Id = t2.FKId This query results in a eager spool that's 84% of the load of the query; the table in SQLDB1 has 35M rows, so it's completely choking this query. I can't create a view on the table in SQLDB1 and use that as my FK/index; it doesn't want me to create a constraint based on a view. Anyone have any idea how I can fix this huge bottleneck? (Short of putting the static data in the first db: believe me, I've argued that one until I'm blue in the face to no avail.) Thanks! valkyrie Edit: also can't create an indexed view because you can't put schemabinding on a view that references a table outside the database where the view resides. Dang it.

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  • Defining jUnit Test cases Correctly

    - by Epitaph
    I am new to Unit Testing and therefore wanted to do some practical exercise to get familiar with the jUnit framework. I created a program that implements a String multiplier public String multiply(String number1, String number2) In order to test the multiplier method, I created a test suite consisting of the following test cases (with all the needed integer parsing, etc) @Test public class MultiplierTest { Multiplier multiplier = new Multiplier(); // Test for 2 positive integers assertEquals("Result", 5, multiplier.multiply("5", "1")); // Test for 1 positive integer and 0 assertEquals("Result", 0, multiplier.multiply("5", "0")); // Test for 1 positive and 1 negative integer assertEquals("Result", -1, multiplier.multiply("-1", "1")); // Test for 2 negative integers assertEquals("Result", 10, multiplier.multiply("-5", "-2")); // Test for 1 positive integer and 1 non number assertEquals("Result", , multiplier.multiply("x", "1")); // Test for 1 positive integer and 1 empty field assertEquals("Result", , multiplier.multiply("5", "")); // Test for 2 empty fields assertEquals("Result", , multiplier.multiply("", "")); In a similar fashion, I can create test cases involving boundary cases (considering numbers are int values) or even imaginary values. 1) But, what should be the expected value for the last 3 test cases above? (a special number indicating error?) 2) What additional test cases did I miss? 3) Is assertEquals() method enough for testing the multiplier method or do I need other methods like assertTrue(), assertFalse(), assertSame() etc 4) Is this the RIGHT way to go about developing test cases? How am I "exactly" benefiting from this exercise? 5)What should be the ideal way to test the multiplier method? I am pretty clueless here. If anyone can help answer these queries I'd greatly appreciate it. Thank you.

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  • Append a dynamically changing watermark to a PDF in SharePoint

    - by ccomet
    This is primarily a question of possibilities more than instructions. I'm a programming consultant working on a WSS project site system for my client. We have a document library in which files are uploaded to go through a complex approval process. With multiple stages in this process, we have an extra field which dictates what the current status of the document is. Now, my client has become enamored with the idea of PDF watermarking. He wants the document (which is already a PDF) to be affixed with a watermark corresponding to the current status, such that with each stage of the approval process the watermark will change. One method, the traditional method for PDF watermarking, of accomplishing this is to have one "clean" copy of the document somewhere hidden on the site, and create a new PDF from it that has the watermark at each stage of the approval process. Since the filename will never change, this new PDF can be uploaded continually to a public library, always overwriting the old version and simulating a "dynamically changing watermark". However, in the various stages there will also be people uploading clean copies with corrections and suggestions, nevermind the complex nature of juggling around two libraries and the fact we double the number of files stored. My client and I agree that this is not a practical path to choose. What we would like to do is be able to "modify" the watermark in a PDF, so that we only have to keep one copy of the file. Unfortunately, from what I've seen, in most cases when you make something like a watermark, which in its nature is supposed to be "unmodifyable", you won't be able to edit it later. So, is it possible to have a part of a PDF which cannot be changed by anyone who downloads the file, but can be changed as part of a workflow or other object model process? Thanks in advance!

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  • Validation in n-tier asp.net mvc applications

    - by sTodorov
    Dear Stack Overflow gurus, I am looking for some practical/theoretical information regarding best practices for validation in asp.net mvc n-tier applications. I am working on a .Net application divided into the following layers: UI - Mvc3 BLL layer - all business rules. Decoupled from data access and UI layers through interfaces DAL layer - Data access with the repository pattern, EF4 and pocos Now, I am looking for a nice, clean and transparent way to specify my validation rules. Here are some thoughts on the matter so far: UI validation should only be responsible for user input and its validity. BLL validation should be handling the validity of the data regarding the application business rules. My main concern is how to bind the BLL and UI validation in the most efficient way. One think I am would like to avoid is having the UI check in a collection of validation and adding manually errors to the ModelState. Furthermore, I do not want to pass the ModelState to the BLL to be populated in there. I will appreciate any thoughts on the matter. P.S. Should this question be marked as a discussion ?

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  • Big-O of PHP functions?

    - by Kendall Hopkins
    After using PHP for a while now, I've noticed that not all PHP built in functions as fast as expected. Consider the below two possible implementations of a function that finds if a number is prime using a cached array of primes. //very slow for large $prime_array $prime_array = array( 2, 3, 5, 7, 11, 13, .... 104729, ... ); $result_array = array(); foreach( $array_of_number => $number ) { $result_array[$number] = in_array( $number, $large_prime_array ); } //still decent performance for large $prime_array $prime_array => array( 2 => NULL, 3 => NULL, 5 => NULL, 7 => NULL, 11 => NULL, 13 => NULL, .... 104729 => NULL, ... ); foreach( $array_of_number => $number ) { $result_array[$number] = array_key_exists( $number, $large_prime_array ); } This is because in_array is implemented with a linear search O(n) which will linearly slow down as $prime_array grows. Where the array_key_exists function is implemented with a hash lookup O(1) which will not slow down unless the hash table gets extremely populated (in which case it's only O(logn)). So far I've had to discover the big-O's via trial and error, and occasionally looking at the source code. Now for the question... I was wondering if there was a list of the theoretical (or practical) big O times for all* the PHP built in functions. *or at least the interesting ones For example find it very hard to predict what the big O of functions listed because the possible implementation depends on unknown core data structures of PHP: array_merge, array_merge_recursive, array_reverse, array_intersect, array_combine, str_replace (with array inputs), etc.

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  • Circular dependecy in winforms app using Castle Windsor

    - by Sven
    Hello, I was experimenting a little bit with Castle winforms in a winforms project. I wanted to register all my form dependencies with Castle windsor. This way I would have a single instance for all my forms. Now I have some problem though. I'm in a situation that form x has a dependency on form y and form y has a dependency on form x. Practical example maybe: form x is used to create an order, form y is the screen that has a list of customers. From form x there is a button to select a customer for the order. This will open form y where ou can search the customer. There is a button that lets you add the found customer to the order. It will call a method on form x and passes the selected customer object. I could do this with events. Raise an event in form y and listen for that in form x. But isn't there a way around the circular dependency in Castle Windsor, lazy registration or something? Can anyone help me out? Thanks in advance

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  • SAP related testing

    - by mgj
    Dear all, One notion that has been prevalent mostly as rumours for many aspiring programmers is that the testing phase of the SDLC(Software Development Life Cycle) is not that challenging and interesting as one's job as a tester after a period of time becomes monotonous because a person does the same thing repeatedly over and over again. Thats why many have this complexion of looking for a developers job rather than that of testers. Don't testers have a space for themselves in software companies to grow..? Please feel free to express your views for or against this. How true is that, could you please give e.g.'s of instances( need not be practical, even theoretical would suffice) which actually contradict this statement wrt a tester's career specifically wrt the SAP domain. E.g.'s from other domains are also welcome. This question is not meant to hurt someone's feelings who is in the testing domain. Its just that for e.g. in my case I want to know what actually would be the challenge's a tester could also face in real life situations.Something that would make their job also interesting and fun-filled. I myself am pro-testing and also interested in pursuing testing as a profession in a sw co, just curious to know more about it so...:) Thanks..:)

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  • What is best practice (and implications) for packaging projects into JAR's?

    - by user245510
    What is considered best practice deciding how to define the set of JAR's for a project (for example a Swing GUI)? There are many possible groupings: JAR per layer (presentation, business, data) JAR per (significant?) GUI panel. For significant system, this results in a large number of JAR's, but the JAR's are (should be) more re-usable - fine-grained granularity JAR per "project" (in the sense of an IDE project); "common.jar", "resources.jar", "gui.jar", etc I am an experienced developer; I know the mechanics of creating JAR's, I'm just looking for wisdom on best-practice. Personally, I like the idea of a JAR per component (e.g. a panel), as I am mad-keen on encapsulation, and the holy-grail of re-use accross projects. I am concerned, however, that on a practical, performance level, the JVM would struggle class loading over dozens, maybe hundreds of small JAR's. Each JAR would contain; the GUI panel code, necessary resources (i.e. not centralised) so each panel can stand alone. Does anyone have wisdom to share?

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  • I didn't say anything treasonous, quit putting words in my mouth

    - by You guys Lie
    Where at all did I say ANYTHING about organizing some kind of anti-government activity? Nowhere. I do not give a flying fuck about America in case you hadn't realized, I'm talking about what I'm going to do when Jesus Christ returns. Besides, why would I make it easy for them to throw me in a black site prison? Use common sense, sheeple. In the end I guess it doesn't matter anyways, since I do not recognize the government as my ultimate authority. Police/Army/Whatever-- funny outfits and a shiny badge don't make you better than me. Allah will do away with your kind. However, as long as they're with me (as they semi-currently are), we have no problems. I fear the government will have other plans to control the population when things start to further decline, and that is when they will run into problems with me and mine, and probably a large percentage of the public. You'd have to be a fucking fool to think we'd fall into anarchy immediately, given the vast resources and blind loyalty of this country. Saying there are practical limits to free speech for anything I have said in this thread is not only ignorant, it is unpatriotic. I should be being celebrated as the modern day Paul Revere for warning you people about our impending doom. You would do well to study the foundations of this country. Nothing I have said is treasonous at all. Besides, the DoD knows I'm harmless until shit pops off, they have bigger fish to fry right now, go forward. Keep in mind, I don't personally have to do anything to overthrow the government. I just said, I would not advocate for any paramilitary organizations at this time, only if/after we dissolve into (more) tyranny. I am not a terrorist, like some soldiers in Iraq. The machine is doing a great job of ruining itself, while I get to comfortably laugh at it on the nightly news knowing that I'm ready for it to shut down.

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  • Possible to Inspect Innards of Core C# Functionality

    - by Nick Babcock
    I was struck today, with the inclination to compare the innards of Buffer.BlockCopy and Array.CopyTo. I am curious to see if Array.CopyTo called Buffer.BlockCopy behind the scenes. There is no practical purpose behind this, I just want to further my understanding of the C# language and how it is implemented. Don't jump the gun and accuse me of micro-optimization, but you can accuse me of being curious! When I ran ILasm on mscorlib.dll I received this for Array.CopyTo .method public hidebysig newslot virtual final instance void CopyTo(class System.Array 'array', int32 index) cil managed { // Code size 0 (0x0) } // end of method Array::CopyTo and this for Buffer.BlockCopy .method public hidebysig static void BlockCopy(class System.Array src, int32 srcOffset, class System.Array dst, int32 dstOffset, int32 count) cil managed internalcall { .custom instance void System.Security.SecuritySafeCriticalAttribute::.ctor() = ( 01 00 00 00 ) } // end of method Buffer::BlockCopy Which, frankly, baffles me. I've never run ILasm on a dll/exe I didn't create. Does this mean that I won't be able to see how these functions are implemented? Searching around only revealed a stackoverflow question, which Marc Gravell said [Buffer.BlockCopy] is basically a wrapper over a raw mem-copy While insightful, it doesn't answer my question if Array.CopyTo calls Buffer.BlockCopy. I'm specifically interested in if I'm able to see how these two functions are implemented, and if I had future questions about the internals of C#, if it is possible for me to investigate it. Or am I out of luck?

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  • What's the fastest way to bulk insert a lot of data in SQL Server (C# client)

    - by Andrew
    I am hitting some performance bottlenecks with my C# client inserting bulk data into a SQL Server 2005 database and I'm looking for ways in which to speed up the process. I am already using the SqlClient.SqlBulkCopy (which is based on TDS) to speed up the data transfer across the wire which helped a lot, but I'm still looking for more. I have a simple table that looks like this: CREATE TABLE [BulkData]( [ContainerId] [int] NOT NULL, [BinId] [smallint] NOT NULL, [Sequence] [smallint] NOT NULL, [ItemId] [int] NOT NULL, [Left] [smallint] NOT NULL, [Top] [smallint] NOT NULL, [Right] [smallint] NOT NULL, [Bottom] [smallint] NOT NULL, CONSTRAINT [PKBulkData] PRIMARY KEY CLUSTERED ( [ContainerIdId] ASC, [BinId] ASC, [Sequence] ASC )) I'm inserting data in chunks that average about 300 rows where ContainerId and BinId are constant in each chunk and the Sequence value is 0-n and the values are pre-sorted based on the primary key. The %Disk time performance counter spends a lot of time at 100% so it is clear that disk IO is the main issue but the speeds I'm getting are several orders of magnitude below a raw file copy. Does it help any if I: Drop the Primary key while I am doing the inserting and recreate it later Do inserts into a temporary table with the same schema and periodically transfer them into the main table to keep the size of the table where insertions are happening small Anything else? -- Based on the responses I have gotten, let me clarify a little bit: Portman: I'm using a clustered index because when the data is all imported I will need to access data sequentially in that order. I don't particularly need the index to be there while importing the data. Is there any advantage to having a nonclustered PK index while doing the inserts as opposed to dropping the constraint entirely for import? Chopeen: The data is being generated remotely on many other machines (my SQL server can only handle about 10 currently, but I would love to be able to add more). It's not practical to run the entire process on the local machine because it would then have to process 50 times as much input data to generate the output. Jason: I am not doing any concurrent queries against the table during the import process, I will try dropping the primary key and see if that helps. ~ Andrew

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  • Architecture Guidance Needed?

    - by vijay
    We are about to automate number of process for our reporting team. (The reports are like daily reports, weekly reports, monthly reports, etc..) Mostly the process is like pulling some data from the oracle and then fill them in particular excel template files. Each reports and so their templates are different from each other. Except the excel file manipulation, there are hardly any business logic behind these. Client wanted an integrated tool and all the automated processes are placed as menus/submenus. Right now roughly there are around 30 process waiting to be automated. And we are expecting more new reports in the next quarter. I am nowhere to near having any practical experience when comes to architecuring. Already i have been maintaining two or three systems(they are more than 4yrs old.) for this prestegious client.The possiblity of the above mentioned tool will be manintained for another 3 yrs is very likely. From my past experience i've been through the pain of implmenting change requests to the rigd & undocumented code base resulting in the break down of the system and then eventually myself. So My main and top most concern is the maintainablity. When i was searching for these i came across this link, Smart Clients Using CAB and SCSF is the above link appropriate for my requirement? Also Should i place each automated processes in separate forms under a single project, or place them in separate projects under a single solution.. Please correct me if have missed any other important information. Thx.

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  • Disabling normal link behaviour on click with an if statement in Jquery?

    - by Qwibble
    I've been banging my head with this all day, trying anything and everything I can think of to no gain. I'm no Jquery guru, so am hoping someone here can help me out. What I'm trying to do in pseudo code (concept) seems practical and easy to implement, but obviously not so =D What I have is a navigation sidebar, with sub menu's within some li's, and a link at the head of each li. When a top level link is clicked, I want the jquery to check if the link has a sibling ul. If it does, the link doesn't act like a link, but slides down the sibling sub nav. If there isn't one, the link should act normally. Here's where I'm at currently, what am I doing wrong? $('ul.navigation li a').not('ul.navigation li ul li a').click(function (){ if($(this).parent().contains('ul')){ $('ul.navigation li ul').slideUp(); $(this).siblings('ul').slideDown(); return false; } else{ alert('Link Clicked') // Maybe do some more stuff in here... } }); Any ideas?

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  • OO Design / Patterns - Fat Model Vs Transaction Script?

    - by ben
    Ok, 'Fat' Model and Transaction Script both solve design problems associated with where to keep business logic. I've done some research and popular thought says having all business logic encapsulated within the model is the way to go (mainly since Transaction Script can become really complex and often results in code duplication). However, how does this work if I want to use the TDG of a second Model in my business logic? Surely Transaction Script presents a neater, less coupled solution than using one Model inside the business logic of another? A practical example... I have two classes: User & Alert. When pushing User instances to the database (eg, creating new user accounts), there is a business rule that requires inserting some default Alerts records too (eg, a default 'welcome to the system' message etc). I see two options here: 1) Add this rule as a User method, and in the process create a dependency between User and Alert (or, at least, Alert's Table Data Gateway). 2) Use a Transaction Script, which avoids the dependency between models. (Also, means the business logic is kept in a 'neutral' class & easily accessible by Alert. That probably isn't too important here, though). User takes responsibility for it's own validation etc, however, but because we're talking about a business rule involving two Models, Transaction Script seems like a better choice to me. Anyone spot flaws with this approach?

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