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  • Custom Solr sorting

    - by Tom
    Hello everyone, I've been asked to do an evaluation of Solr as an alternative for a commercial search engine. The application now has a very particular way of sorting results using something called "buckets". I'll try to explain with a bit of details: In the interface they have 2 fields: "what" and "where". Both fields are actually sets of fields (what = category, name, contact info... and where= country, state, region, city...) so the copyfield feature of Solr immediately comes to mind. Now based on the field generated the actual match the result should end up in a specific bucket. In particular the first bucket contains all the result documents that have an exact match on the category field, in the second bucket all exact matches on name, the third partial matches on category, the fourth partial matches on name, the fifth matches on contact info etc... Then within each of those first tier buckets all results are placed in second tier buckets depending on what location was matched: city, then region, then province and so on. To even complicate things more there is also a third tier bucket where results are placed according to the value of a ranking field: all documents with the value 1 in the ranking field go in bucket 1 and so on. And finally results should be randomized in the third tier bucket... On top of this they obviously want support for facets and paging. My apologies for the long mail but I would greatly appreciate feedback and/or suggestions. I'm aware that this that this is a very particular problem but everything that points me in the right direction is helpful. Cheers, Tom

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  • Implementing list position locator in C++?

    - by jfrazier
    I am writing a basic Graph API in C++ (I know libraries already exist, but I am doing it for the practice/experience). The structure is basically that of an adjacency list representation. So there are Vertex objects and Edge objects, and the Graph class contains: list<Vertex *> vertexList list<Edge *> edgeList Each Edge object has two Vertex* members representing its endpoints, and each Vertex object has a list of Edge* members representing the edges incident to the Vertex. All this is quite standard, but here is my problem. I want to be able to implement deletion of Edges and Vertices in constant time, so for example each Vertex object should have a Locator member that points to the position of its Vertex* in the vertexList. The way I first implemented this was by saving a list::iterator, as follows: vertexList.push_back(v); v->locator = --vertexList.end(); Then if I need to delete this vertex later, then rather than searching the whole vertexList for its pointer, I can call: vertexList.erase(v->locator); This works fine at first, but it seems that if enough changes (deletions) are made to the list, the iterators will become out-of-date and I get all sorts of iterator errors at runtime. This seems strange for a linked list, because it doesn't seem like you should ever need to re-allocate the remaining members of the list after deletions, but maybe the STL does this to optimize by keeping memory somewhat contiguous? In any case, I would appreciate it if anyone has any insight as to why this happens. Is there a standard way in C++ to implement a locator that will keep track of an element's position in a list without becoming obsolete? Much thanks, Jeff

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  • Cannot call DLL import entry in C# from C++ project. EntryPointNotFoundException

    - by kriau
    I'm trying to call from C# a function in a custom DLL written in C++. However I'm getting the warning during code analysis and the error at runtime: Warning: CA1400 : Microsoft.Interoperability : Correct the declaration of 'SafeNativeMethods.SetHook()' so that it correctly points to an existing entry point in 'wi.dll'. The unmanaged entry point name currently linked to is SetHook. Error: System.EntryPointNotFoundException was unhandled. Unable to find an entry point named 'SetHook' in DLL 'wi.dll'. Both projects wi.dll and C# exe has been compiled in to the same DEBUG folder, both files reside here. There is only one file with the name wi.dll in the whole file system. C++ function definition looks like: #define WI_API __declspec(dllexport) bool WI_API SetHook(); I can see exported function using Dependency Walker: as decorated: bool SetHook(void) as undecorated: ?SetHook@@YA_NXZ C# DLL import looks like (I've defined these lines using CLRInsideOut from MSDN magazine): [DllImport("wi.dll", EntryPoint = "SetHook", CallingConvention = CallingConvention.Cdecl)] [return: MarshalAsAttribute(UnmanagedType.I1)] internal static extern bool SetHook(); I've tried without EntryPoint and CallingConvention definitions as well. Both projects are 32-bits, I'm using W7 64 bits, VS 2010 RC. I believe that I simply have overlooked something.... Thanks in advance.

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  • How to create a snowstorm on your Windows desktop?

    - by Vilx-
    Practical uses aside, how (if it is possible at all) could you create a "snowing" effect on your desktop PC running Windows? Preferably with nothing but raw C/C++ and WinAPI. The requirements for the snow are: Appears over everything else shown; Snowflakes are small, possibly simple dots or clusters of a few white pixels; Does not bother working with the computer (clicking a snowflake sends the click through to the underlying window); Plays nicely with users dragging windows; Multimonitor capable. Bonus points for any of the following features: Snow accumulates on the lower edge of the window or the taskbar (if it's at the bottom of the screen); Snow accumulates also on top-level windows. Or perhaps some snow accumulates, some continues down, accumulating on every window with a title bar; Snow accumulated on windows gets "shaken off" when windows are dragged; Snow accumulated on taskbar is aware of the extended "Start" button under Vista/7. Snowflakes have shadows/outlines, so they are visible on white backgrounds; Snowflakes have complex snowflike-alike shapes (they must still be tiny). Most of these effects are straightforward enough, except the part where snow is click-through and plays nicely with dragging of windows. In my early days I've made an implementation that draws on the HDC you get from GetDesktopWindow(), which was click-through, but had problems with users dragging windows (snowflakes rendered on them got "dragged along"). The solution may use Vista/7 Aero features, but, of course, a universal solution is preferred. Any ideas? :)

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  • Interpreting java.lang.NoSuchMethodError message

    - by Doog
    I get the following runtime error message (along with the first line of the stack trace, which points to line 94). I'm trying to figure out why it says no such method exists. java.lang.NoSuchMethodError: com.sun.tools.doclets.formats.html.SubWriterHolderWriter.printDocLinkForMenu( ILcom/sun/javadoc/ClassDoc;Lcom/sun/javadoc/MemberDoc; Ljava/lang/String;Z)Ljava/lang/String; at com.sun.tools.doclets.formats.html.AbstractExecutableMemberWriter.writeSummaryLink( AbstractExecutableMemberWriter.java:94) Line 94 of writeSummaryLink is shown below. QUESTIONS What does "ILcom" or "Z" mean? Why there are four types in parentheses (ILcom/sun/javadoc/ClassDoc;Lcom/sun/javadoc/MemberDoc;Ljava/lang/String;Z) and one after the parentheses Ljava/lang/String; when the method printDocLinkForMenu clearly has five parameters? CODE DETAIL The writeSummaryLink method is: protected void writeSummaryLink(int context, ClassDoc cd, ProgramElementDoc member) { ExecutableMemberDoc emd = (ExecutableMemberDoc)member; String name = emd.name(); writer.strong(); writer.printDocLinkForMenu(context, cd, (MemberDoc) emd, name, false); // 94 writer.strongEnd(); writer.displayLength = name.length(); writeParameters(emd, false); } Here's the method line 94 is calling: public void printDocLinkForMenu(int context, ClassDoc classDoc, MemberDoc doc, String label, boolean strong) { String docLink = getDocLink(context, classDoc, doc, label, strong); print(deleteParameterAnchors(docLink)); }

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  • Script to install and compile Python, Django, Virtualenv, Mercurial, Git, LessCSS, etc... on Dreamho

    - by tmslnz
    The Story After cleaning up my Dreamhost shared server's home folder from all the cruft accumulated over time, I decided to start afresh and compile/reinstall Python. All tutorials and snippets I found seemed overly simplistic, assuming (or ignoring) a bunch of dependencies needed by Python to compile all modules correctly. So, starting from http://andrew.io/weblog/2010/02/installing-python-2-6-virtualenv-and-virtualenvwrapper-on-dreamhost/ (so far the best guide I found), I decided to write a set-and-forget Bash script to automate this painful process, including along the way a bunch of other things I am planning to use. The Script I am hosting the script on http://bitbucket.org/tmslnz/python-dreamhost-batch/src/ The TODOs So far it runs fine, and does all it needs to do in about 900 seconds, giving me at the end of the process a fully functional Python / Mercurial / etc... setup without even needing to log out and back in. I though this might be of use for others too, but there are a few things that I think it's missing and I am not quite sure how to go for it, what's the best way to do it, or if this just doesn't make any sense at all. Check for errors and break Check for minor version bumps of the packages and give warnings Check for known dependencies Use arguments to install only some of the packages instead of commenting out lines Organise the code in a manner that's easy to update Optionally make the installers and compiling silent, with error logging to file failproof .bashrc modification to prevent breaking ssh logins and having to log back via FTP to fix it EDIT: The implied question is: can anyone, more bashful than me, offer general advice on the worthiness of the above points or highlight any problems they see with this approach? (see my answer to Ry4an's comment below) The Gist I am no UNIX or Bash or compiler expert, and this has been built iteratively, by trial and error. It is somehow going towards apt-get (well, 1% of it...), but since Dreamhost and others obviously cannot give root access on shared servers, this looks to me like a potentially very useful workaround; particularly so with some community work involved.

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  • How to make HTML layout whitespace-agnostic?

    - by ssg
    If you have consecutive inline-blocks white-space becomes significant. It adds some level of space between elements. What's the "correct" way of avoiding whitespace effect to HTML layout if you want those blocks to look stuck to each other? Example: <span>a</span> <span>b</span> This renders differently than: <span>a</span><span>b</span> because of the space inbetween. I want whitespace-effect to go away without compromising HTML source code layout. I want my HTML templates to stay clean and well-indented. I think these options are ugly: 1) Tweaking text-indent, margin, padding etc. (Because it would be dependent on font-size, default white-space width etc) 2) Putting everything on a single line, next to each other. 3) Zero font-size. That would require overriding font-size in blocks, which would otherwise be inherited. 4) Possible document-wide solutions. I want the solution to stay local for a certain block of HTML. Any ideas, any obvious points which I'm missing?

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  • Python CGI Premature end of script error depending on script parameters.

    - by nickengland
    I have a python script which should parse a file and produce some output to disk, as well as returning a webpage linking to the outputted files. When run with a file posted from the HTML form I get no HTML output back, just a 500 error page and the error_log contains the line: [Mon Apr 19 15:03:23 2010] [error] [client xxx.xxx.121.79] Premature end of script headers: uploadcml.py, referer: http://xxx.ch.cam.ac.uk:9000/ However, the files which the script should be saving are indeed saved to disk. If I run it without any arguments, the script returns the correct HTML indicating no file was parsed. All the information I have found on the web about Premature end of script headers implies it is due to either a missing header, or lack of permissions on the python script but neither can apply to me. The first lines of the script are: #!/home/nwe23/bin/bin/python import cgitb; cgitb.enable() import cgi import pybel,openbabel import random print "Content-Type: text/html" print so when run, I can see no way for it to fail to output the header, and it DOES output the header when run without a file to parse, but when given a file produces the error(but still parsed the file and saves the output to disk!). Does anyone know how this is happening and what can be done to fix it? I have tried adding wrongly-indented gibberish (such as foobar) at various points in the file, and this results in adding an indent error to the error_log wherever it is, even if its the very last line in the script. The Premature script headers error remains though. Does this mean the script is executing all the way through?

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  • Uncrackable anti-piracy protection/DRM even possible? [closed]

    - by some guy
    I hope that this is programming-related enough. You have probably heard about Ubisofts recent steps against piracy. (New DRM requires a constant connection to the Ubisoft server) Many people including me see this as intolerable because the only ones suffering from it at the end are the paying customers. Now to the actual question(s): Ubisoft justified this by calling this mechanism "Uncrackable, only playable by the paying customers". Is a so called uncrackable DRM even possible? You can reverse-engineer and modify everything, even if it takes long. Isn't Ubisoft already lying by calling something not crackable? I mean, hey - With the game you get all its content (textures, models, you know) and some anti-piracy mechanism hardcoded into it. How could that be "uncrackable"? You can just patch the unwanted mechanisms out ---- "Pirates" play the cracked game without problems and the paying customers are the idiots by having constant problems with the game and being unable to play it without a (working) internet connection. What are the points Ubisoft sees in this? If they are at least a bit intelligent and informed they know their anti-piracy protection won't last long. All they get is lower sales, angry customers and happy pirates and crackers.

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  • No output got after execution.

    - by wilson88
    I am still stuck with getting output for a copied vector. Probably something am not doing right. I get no output. void Auctioneer::accept_bids(const BidList& bid){ BidList list; BidList list2; BidList::const_iterator iter; copy (list.begin(),list.end(), back_inserter(list2)); for(iter=list2.begin(); iter != list2.end(); iter++) { const Bid& bid = *iter; // Get a reference to the Bid object that the iterator points to cout << "Bid id : " << bid.bidId << endl; cout << "Trd id : " << bid.trdId << endl; cout << "Quantity: " << bid.qty << endl; cout << "Price : " << bid.price << endl; cout << "Type : " << bid.type << endl; } }

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  • Why is debugging better in an IDE?

    - by Bill Karwin
    I've been a software developer for over twenty years, programming in C, Perl, SQL, Java, PHP, JavaScript, and recently Python. I've never had a problem I could not debug using some careful thought, and well-placed debugging print statements. I respect that many people say that my techniques are primitive, and using a real debugger in an IDE is much better. Yet from my observation, IDE users don't appear to debug faster or more successfully than I can, using my stone knives and bear skins. I'm sincerely open to learning the right tools, I've just never been shown a compelling advantage to using visual debuggers. Moreover, I have never read a tutorial or book that showed how to debug effectively using an IDE, beyond the basics of how to set breakpoints and display the contents of variables. What am I missing? What makes IDE debugging tools so much more effective than thoughtful use of diagnostic print statements? Can you suggest resources (tutorials, books, screencasts) that show the finer techniques of IDE debugging? Sweet answers! Thanks much to everyone for taking the time. Very illuminating. I voted up many, and voted none down. Some notable points: Debuggers can help me do ad hoc inspection or alteration of variables, code, or any other aspect of the runtime environment, whereas manual debugging requires me to stop, edit, and re-execute the application (possibly requiring recompilation). Debuggers can attach to a running process or use a crash dump, whereas with manual debugging, "steps to reproduce" a defect are necessary. Debuggers can display complex data structures, multi-threaded environments, or full runtime stacks easily and in a more readable manner. Debuggers offer many ways to reduce the time and repetitive work to do almost any debugging tasks. Visual debuggers and console debuggers are both useful, and have many features in common. A visual debugger integrated into an IDE also gives you convenient access to smart editing and all the other features of the IDE, in a single integrated development environment (hence the name).

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  • Convenient way to do "wrong way rebase" in git?

    - by Kaz
    I want to pull in newer commits from master into topic, but not in such a way that topic changes are replayed over top of master, but rather vice versa. I want the new changes from master to be played on top of topic, and the result to be installed as the new topic head. I can get exactly the right object if I rebase master to topic, the only problem being that the object is installed as the new head of master rather than topic. Is there some nice way to do this without manually shuffling around temporary head pointers? Edit: Here is how it can be achieved using a temporary branch head, but it's clumsy: git checkout master git checkout -b temp # temp points to master git rebase topic # topic is brought into temp, temp changes played on top Now we have the object we want, and it's pointed at by temp. git checkout topic git reset --hard temp Now topic has it; and all that is left is to tidy up by deleting temp: git branch -d temp Another way is to to do away with temp and just rebase master, and then reset topic to master. Finally, reset master back to what it was by pulling its old head from the reflog, or a cut-and-paste buffer.

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  • Rewriting a for loop in pure NumPy to decrease execution time

    - by Statto
    I recently asked about trying to optimise a Python loop for a scientific application, and received an excellent, smart way of recoding it within NumPy which reduced execution time by a factor of around 100 for me! However, calculation of the B value is actually nested within a few other loops, because it is evaluated at a regular grid of positions. Is there a similarly smart NumPy rewrite to shave time off this procedure? I suspect the performance gain for this part would be less marked, and the disadvantages would presumably be that it would not be possible to report back to the user on the progress of the calculation, that the results could not be written to the output file until the end of the calculation, and possibly that doing this in one enormous step would have memory implications? Is it possible to circumvent any of these? import numpy as np import time def reshape_vector(v): b = np.empty((3,1)) for i in range(3): b[i][0] = v[i] return b def unit_vectors(r): return r / np.sqrt((r*r).sum(0)) def calculate_dipole(mu, r_i, mom_i): relative = mu - r_i r_unit = unit_vectors(relative) A = 1e-7 num = A*(3*np.sum(mom_i*r_unit, 0)*r_unit - mom_i) den = np.sqrt(np.sum(relative*relative, 0))**3 B = np.sum(num/den, 1) return B N = 20000 # number of dipoles r_i = np.random.random((3,N)) # positions of dipoles mom_i = np.random.random((3,N)) # moments of dipoles a = np.random.random((3,3)) # three basis vectors for this crystal n = [10,10,10] # points at which to evaluate sum gamma_mu = 135.5 # a constant t_start = time.clock() for i in range(n[0]): r_frac_x = np.float(i)/np.float(n[0]) r_test_x = r_frac_x * a[0] for j in range(n[1]): r_frac_y = np.float(j)/np.float(n[1]) r_test_y = r_frac_y * a[1] for k in range(n[2]): r_frac_z = np.float(k)/np.float(n[2]) r_test = r_test_x +r_test_y + r_frac_z * a[2] r_test_fast = reshape_vector(r_test) B = calculate_dipole(r_test_fast, r_i, mom_i) omega = gamma_mu*np.sqrt(np.dot(B,B)) # write r_test, B and omega to a file frac_done = np.float(i+1)/(n[0]+1) t_elapsed = (time.clock()-t_start) t_remain = (1-frac_done)*t_elapsed/frac_done print frac_done*100,'% done in',t_elapsed/60.,'minutes...approximately',t_remain/60.,'minutes remaining'

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  • Removing HttpModule for specific path in ASP.NET / IIS 7 application?

    - by soccerdad
    Most succinctly, my question is whether an ASP.NET 4.0 app running under IIS 7 integrated mode should be able to honor this portion of my Web.config file: <location path="auth/windows"> <system.webServer> <modules> <remove name="FormsAuthentication"/> </modules> </system.webServer> </location> I'm experimenting with mixed mode authentication (Windows and Forms - I know there are other questions on S.O. about the topic). Using IIS Manager, I've disabled Anonymous authentication to auth/windows/winauth.aspx, which is within the location path above. I have Failed Request Tracing set up to trace various HTTP status codes, including 302s. When I request the winauth.aspx page, a 302 HTTP status code is returned. If I look at the request trace, I can see that a 401 (unauthorized) was originally generated by the AnonymousAuthenticationModule. However, the FormsAuthenticationModule converts that to a 302, which is what the browser sees. So it seems as though my attempt to remove that module from the pipeline for pages in that path isn't working. But I'm not seeing any complaints anywhere (event viewer, yellow pages of death, etc.) that would indicate it's an invalid configuration. I want the 401 returned to the browser, which presumably would include an appropriate WWW-Authenticate header. A couple of other points: a) I do have <authentication mode="Forms"> in my Web.config, and that is what the 302 redirects to; b) I got the "name" of the module I'm trying to remove from the inetserv\config\applicationHost.config file. Anyone had any luck removing modules in this fashion? Thanks much, Donnie

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  • Pointers to structs

    - by Bobby
    I have the following struct: struct Datastore_T { Partition_Datastores_T cmtDatastores; // bytes 0 to 499 Partition_Datastores_T cdhDatastores; // bytes 500 to 999 Partition_Datastores_T gncDatastores; // bytes 1000 to 1499 Partition_Datastores_T inpDatastores; // bytes 1500 1999 Partition_Datastores_T outDatastores; // bytes 2000 to 2499 Partition_Datastores_T tmlDatastores; // bytes 2500 to 2999 Partition_Datastores_T sm_Datastores; // bytes 3000 to 3499 }; I want to set a char* to struct of this type like so: struct Datastore_T datastores; // Elided: datastores is initialized with data here char* DatastoreStartAddr = (char*)&datastores; memset(DatastoreStartAddr, 0, sizeof(Datastore_T)); The problem I have is that the value that DatastoreStartAddr points to always has a value of zero when it should point to the struct that has been initialized with data. Meaning if I change the values in the struct using the struct directly, the values pointed to by DatastoreStartAddr should also change b/c they are pointing to the same address. But this is not happening. What am I doing wrong?

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  • What database systems should an startup company consider?

    - by Am
    Right now I'm developing the prototype of a web application that aggregates large number of text entries from a large number of users. This data must be frequently displayed back and often updated. At the moment I store the content inside a MySQL database and use NHibernate ORM layer to interact with the DB. I've got a table defined for users, roles, submissions, tags, notifications and etc. I like this solution because it works well and my code looks nice and sane, but I'm also worried about how MySQL will perform once the size of our database reaches a significant number. I feel that it may struggle performing join operations fast enough. This has made me think about non-relational database system such as MongoDB, CouchDB, Cassandra or Hadoop. Unfortunately I have no experience with either. I've read some good reviews on MongoDB and it looks interesting. I'm happy to spend the time and learn if one turns out to be the way to go. I'd much appreciate any one offering points or issues to consider when going with none relational dbms?

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  • Why might my PHP log file not entirely be text?

    - by Fletcher Moore
    I'm trying to debug a plugin-bloated Wordpress installation; so I've added a very simple homebrew logger that records all the callbacks, which are basically listed in a single, ultimately 250+ row multidimensional array in Wordpress (I can't use print_r() because I need to catch them right before they are called). My logger line is $logger->log("\t" . $callback . "\n"); The logger produces a dandy text file in normal situations, but at two points during this particular task it is adding something which causes my log file to no longer be encoded properly. Gedit (I'm on Ubuntu) won't open the file, claiming to not understand the encoding. In vim, the culprit corrupt callback (which I could not find in the debugger, looking at the array) is about in the middle and printed as ^@lambda_546 and at the end of file there's this cute guy ^M. The ^M and ^@ are blue in my vim, which has no color theme set for .txt files. I don't know what it means. I tried adding an is_string($callback) condition, but I get the same results. Any ideas?

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  • Script tag in ASPX page is written partially (output stopped at random)

    - by Nir
    I have an aspx page where I put a script tag with .net "if" and "else". The problem is that the output gets cut at random points each time. Sometimes it's ok, sometimes I get cropped output. The code itself (Simplified example): <body id="body" runat="server"> <form id="form1" runat="server">some HTML <script type="text/javascript"> window.addEvent('domready', function() { var x = "nothing"; <% if(someCondition){%> x = "2"; <%} else {%> x = "3"; <%}%> }); </script> </form> </body> The cropped output: <body id="body" runat="server"> <form id="form1" runat="server">some HTML <script type="text/javascript"> window.addEvent('domready', function() { var x = "nothi </script> </form> </body> Does anybody have a clue?

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  • How do I use InputType=numberDecimal with the "phone" soft keypad?

    - by Adam Dunn
    For an EditText box, the user should only be entering valid numbers, so I am using android:inputType="numberDecimal". Unfortunately, the soft keyboard that Android brings up has numbers only along the top row, while the next three rows have various other symbols (dollar sign, percent sign, exclamation mark, space, etc). Since the numberDecimal only accepts numbers 0-9, negative sign, and decimal point, it would make more sense to use the "phone" soft keyboard (0-9 in a 3x3 grid, plus some other symbols). This would make the buttons larger and easier to hit (since it's a 4x4 grid rather than a 10x4 grid in the same screen area). Unfortunately, using android:inputType="phone" allows non-numeric characters such as parentheses I have attempted to use android:inputType="numberDecimal|phone", but the numberDecimal aspect of the bit flag seems to be ignored. I have also tried using android:inputType="phone" in combination with android:digits="0123456789-.", but that still allows multiple negative signs or decimal points (inputType="number" has really good error checking for things like that, and won't let the user even type it in). I have also tried using android:inputType="phone" in the xml layout file, while using a DigitsKeyListener in the java code, but then that just uses the default number soft keyboard (the one that has numbers only along top row) (it appears to set InputType.TYPE_CLASS_NUMBER, which voids the InputType.TYPE_CLASS_PHONE set by the xml layout). Writing a custom IME wouldn't work, since the user would have to select the IME as a global option outside the app. Is there any way to use the "phone" style soft keyboard while also using the "number" restrictions on what is entered?

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  • invasive vs non-invasive ref-counted pointers in C++

    - by anon
    For the past few years, I've generally accepted that if I am going to use ref-counted smart pointers invasive smart pointers is the way to go -- However, I'm starting to like non-invasive smart pointers due to the following: I only use smart pointers (so no Foo* lying around, only Ptr) I'm starting to build custom allocators for each class. (So Foo would overload operator new). Now, if Foo has a list of all Ptr (as it easily can with non-invasive smart pointers). Then, I can avoid memory fragmentation issues since class Foo move the objects around (and just update the corresponding Ptr). The only reason why this Foo moving objects around in non-invasive smart pointers being easier than invasive smart pointers is: In non-invasive smart pointers, there is only one pointer that points to each Foo. In invasive smart pointers, I have no idea how many objects point to each Foo. Now, the only cost of non-invasive smart pointers ... is the double indirection. [Perhaps this screws up the caches]. Does anyone have a good study of expensive this extra layer of indirection is?

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  • Update graph in real time from server

    - by user1869421
    I'm trying to update a graph with received data, so that the height of the bars increase as more data is received from the server via a websocket. But my code doesn't render a graph in the browser and plot the data points. I cannot see anything wrong with the code. I really need some help here please. ws = new WebSocket("ws://localhost:8888/dh"); var useData = [] //var chart; var chart = d3.select("body") .append("svg:svg") .attr("class", "chart") .attr("width", 420) .attr("height", 200); ws.onmessage = function(evt) { var distances = JSON.parse(evt.data); data = distances.miles; console.log(data); if(useData.length <= 10){ useData.push(data) } else { var draw = function(data){ // Set the width relative to max data value var x = d3.scale.linear() .domain([0, d3.max(useData)]) .range([0, 420]); var y = d3.scale.ordinal() .domain(useData) .rangeBands([0, 120]); var rect = chart.selectAll("rect") .data(useData) // enter rect rect.enter().append("svg:rect") .attr("y", y) .attr("width", x) .attr("height", y.rangeBand()); // update rect rect .attr("y", y) .attr("width", x) .attr("height", y.rangeBand()); var text = chart.selectAll("text") .data(useData) // enter text text.enter().append("svg:text") .attr("x", x) .attr("y", function (d) { return y(d) + y.rangeBand() / 2; }) .attr("dx", -3) // padding-right .attr("dy", ".35em") // vertical-align: middle .attr("text-anchor", "end") // text-align: right .text(String); // update text text .data(useData) .attr("x", x) .text(String); } useData.length = 0; } } Thanks

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  • Git. Checkout feature branch between merge commits

    - by mageslayer
    Hi all It's kind weird, but I can't fulfill a pretty common operation with git. Basically what I want is to checkout a feature branch, not using it's head but using SHA id. This SHA points between merges from master branch. The problem is that all I get is just master branch without a commits from feature branch. Currently I'm trying to fix a regression introduced earlier in master branch. Just to be more descriptive, I crafted a small bash script to recreate a problem repository: #!/bin/bash rm -rf ./.git git init echo "test1" > test1.txt git add test1.txt git commit -m "test1" -a git checkout -b patches master echo "test2" > test2.txt git add test2.txt git commit -m "test2" -a git checkout master echo "test3" > test3.txt git add test3.txt git commit -m "test3" -a echo "test4" > test4.txt git add test4.txt git commit -m "test4" -a echo "test5" > test5.txt git add test5.txt git commit -m "test5" -a git checkout patches git merge master #Now how to get a branch having all commits from patches + test3.txt + test4.txt - test5.txt ??? Basically all I want is just to checkout branch "patches" with files 1-4, but not including test5.txt. Doing: git checkout [sha_where_test4.txt_entered] ... just gives a branch with test1,test3,test4, but excluding test2.txt Thanks.

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  • What is an elegant way to solve this max and min problem in Ruby or Python?

    - by ????
    The following can be done by step by step, somewhat clumsy way, but I wonder if there are elegant method to do it. There is a page: http://www.mariowiki.com/Mario_Kart_Wii, where there are 2 tables... there is Mario - 6 2 2 3 - - Luigi 2 6 - - - - - Diddy Kong - - 3 - 3 - 5 [...] The name "Mario", etc are the Mario Kart Wii character names. The numbers are for bonus points for: Speed Weight Acceleration Handling Drift Off-Road Mini-Turbo and then there is table 2 Standard Bike S 39 21 51 51 54 43 48 Out Bullet Bike 53 24 32 35 67 29 67 In Bubble Bike / Jet Bubble 48 27 40 40 45 35 37 In [...] These are also the characteristics for the Bike or Kart. I wonder what's the most elegant solution for finding all the maximum combinations of Speed, Weight, Acceleration, etc, and also for the minimum, either by directly using the HTML on that page or copy and pasting the numbers into a text file. Actually, in that character table, Mario to Bower Jr are all medium characters, Baby Mario to Dry Bones are small characters, and the rest are all big characters, except the small, medium, or large Mii are just as what the name says. Small characters can only ride small bike or small kart, and so forth for medium and large.

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  • Are UTF16 (as used by for example wide-winapi functions) characters always 2 byte long?

    - by Cray
    Please clarify for me, how does UTF16 work? I am a little confused, considering these points: There is a static type in C++, WCHAR, which is 2 bytes long. (always 2 bytes long obvisouly) Most of msdn and some other documentation seem to have the assumptions that the characters are always 2 bytes long. This can just be my imagination, I can't come up with any particular examples, but it just seems that way. There are no "extra wide" functions or characters types widely used in C++ or windows, so I would assume that UTF16 is all that is ever needed. To my uncertain knowledge, unicode has a lot more characters than 65535, so they obvisouly don't have enough space in 2 bytes. UTF16 seems to be a bigger version of UTF8, and UTF8 characters can be of different lengths. So if a UTF16 character not always 2 bytes long, how long else could it be? 3 bytes? or only multiples of 2? And then for example if there is a winapi function that wants to know the size of a wide string in characters, and the string contains 2 characters which are each 4 bytes long, how is the size of that string in characters calculated? Is it 2 chars long or 4 chars long? (since it is 8 bytes long, and each WCHAR is 2 bytes)

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  • Spring 2.0.0/2.0.6 to 3.0.5 migration stories

    - by Pangea
    We are in the process of migrating to 3.0.5 of spring from 2.0.x. We mainly use spring in below scenarios custom scope: thread local scope persistence: jdbc+hibernate 3.6 (but moving to mix of ejb 3.0+jpa 2.0+hibernate, not sure if all 3 can co-exist in 1 app) transactions: local (but planning to use jta due to the necessity of using multiple persistence inits, and has to use ejb+jpa+hibernate in 1 single trans), declarative trans mgmt parent-child contexts cxf annotations+xml OracleLobHandler Resource/ResourceBundleMessageResource JSF/Facelets with FacesSpringVariableResolver ActiveMQ integration Quartz integration TaskExecutor JMX exporter HttpExporter/Invoker Appreciate if someone can share their experiences like what to watch out for head aches/pain points which ones to drop for better alternate choices in new 3.0.5 release Is it better to switch from commons/iscreen validator to Hibernate Validator (Spec impl) or Spring Validator Is there a bean mapping framework in spring that i can use instead of Dozer XSLT transformation helper: currently we have small homegrown framework to cache xslts during load. if spring can do that for me then I would like to drop this Encryption/Decryption support. Password generation support. Authentication with SALT any SAML (or claims based secur New ideas Suggestions Switch to latest version of aspectj Upgrade guide from 2.5 to 3.0.5

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