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  • How can I better manage far-reaching changes in my code?

    - by neuviemeporte
    In my work (writing scientific software in C++), I often get asked by the people who use the software to get their work done to add some functionality or change the way things are done and organized right now. Most of the time this is just a matter of adding a new class or a function and applying some glue to do the job, but from time to time, a seemingly simple change turns out to have far-reaching consequences that require me to redesign a substantial amount of existing code, which takes a lot of time and effort, and is difficult to evaluate in terms of time required. I don't think it has as much to do with inter-dependence of modules, as with changing requirements (admittedly, on a smaller scale). To provide an example, I was thinking about the recently-added multi-user functionality in Android. I don't know whether they planned to introduce it from the very beginning, but assuming they didn't, it seems hard to predict all the areas that will be affected by the change (apps preferences, themes, need to store account info somehow, etc...?), even though the concept seems simple enough, and the code is well-organized. How do you deal with such situations? Do you just jump in to code and then sort out the cruft later like I do? Or do you do a detailed analysis beforehand of what will be affected, what needs to be updated and how, and what has to be rewritten? If so, what tools (if any) and approaches do you use?

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  • What is a quick and easy way to make a minimal news blog that pulls rss feeds? I have 2 days [on hold]

    - by user44188
    My boss wants me to make a website that pulls news from various rss feeds from all over the web. I need to pull something together, that looks pro, quick! I started by going to themeforest and looked around forever, but nothing really looked right. I need something mostly built like this already that I can just alter into our site. I can do most cms, photoshop, some code, I used to do it like this freelance years ago, but it's not really my job now. It just sort of came up suddenly, so I wanna pull through. This is a good example of the overall structure I had in mind, but it just isn't clean enough. All of the news feeds will essentially be about the same criteria, but will pertain to different geographic areas. It would be a huge plus if I could segregate the news visually in some clever way based on geography. (Like a map?) I'm definitely open to all suggestions. I have to get this done by friday!

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  • How do audio based games such as Audiosurf and Beat Hazard work?

    - by The Communist Duck
    Note: I am not asking how to make a clone of one of these. I am asking about how they work. I'm sure everyone's seen the games where you use your own music files (or provided ones) and the games produce levels based on them, such as Audiosurf and Beat Hazard. Here is a video of Audiosurf in action, to show what I mean. If you provide a heavy metal song, you would get a completely different set of obstacles, enemies, and game experience from something like Vivaldi. What does interest me is how these games work. I do not know much about audio (well, data-side), but how do they process the song to understand when it is settling down or when it's speeding up? I guess they could just feed the pitch values (assuming those sorts of things exist in audio files) to form a level, but it wouldn't fully explain it. I'm either looking for an explanation, some links to articles about this sort of thing (I'm sure there's a term or terms for it), or even an open-source implementation of this kind of thing ;-) EDIT: After some searching and a little help, I found out about FFT (Fast Fourier Transform). This maybe a step in the right direction, but it is something that does not make any sense to me..or fits with my physics knowledge of waves.

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  • With Google DFP (Small Business) is it possible to disable AdSense in an Ad Slot on a per-request basis?

    - by Daniel Pehrson
    Setup: I run a network of websites that target different hobby niches and have a section dedicated to community classifieds. I serve advertising on these sites through Google DFP for Small Business with AdSense enabled on the slots. Problem: One of the next sites in my network will be targeting the firearms/shooting industry and as such the classifieds section will not comply with the prohibited content guidelines of AdSense regarding the sale (or coordination of sale) of weapons. I work very hard to comply with the guidelines of my partners even if I don't understand/agree with them and after talking with many people have decided that the best option is to disable AdSense serving on that section of that website, while leaving it on for the rest of the network. Solution: Right now my only idea for this is to duplicate all my site's ad slots and tack a "_sensitive" onto the end of each one (eg. header and header_sensitive) conditionally registering ad slots based on whether or not I am in the sensitive section of the sensitive site. My hope however is that there may be a way to accomplish this without duplicating all my ad slots possibly with some sort of options to the GA_googleFillSlot() call that allows me to say "load ads from this slot but do not serve AdSense no matter what."

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  • How to implement string matching based on a pattern

    - by Vincent Rischmann
    I was asked to build a tool that can identify if a string match a pattern. Example: {1:20} stuff t(x) {a,b,c} would match: 1 stuff tx a 20 stuff t c It is a sort of regex but with a different syntax Parentheses indicate an optional value {1:20} is a interval; I will have to check if the token is a number and if it is between 1 and 20 {a,b,c} is just an enumeration; it can be either a or b or c Right now I implemented this with a regex, and the interval stuff was a pain to do. On my own time I tried implementing some kind of matcher by hand, but it turns out it's not that easy to do. By experimenting I ended up with a function that generates a state table from the pattern and a state machine. It worked well until I tried to implement the optional value, and I got stuck and how to generate the state table. After that I searched how I could do this, and that led me to stuff like LL parser, LALR parser, recursive-descent parser, context-free grammars, etc. I never studied any of this so it's hard to know what is relevant here, but I think this is what I need: A grammar A parser which generates states from the grammar and a pattern A state machine to see if a string match the states So my first question is: Is this right ? And second question, what do you recommend I read/study to be able to implement this ?

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  • Appcache and jquery mobile on a CMS powered site?

    - by user793011
    Has anyone used the cache manifest to make a CMS site work offline? I've made a demo with static html files which seems to work fine, so I'm assuming it wouldn't be too hard to achieve the same thing with a CMS. The way that you tell browsers that files have changed (and so need to be downloaded again) is by adding a comment to the cache manifest file so its byte size changes. I'm not quite sure how to do this with a CMS, but maybe some sort of server cron could run periodically? Personally I'm more interested in having a site that works offline rather than achieving ideal performance, so if the file was modified every hour rather than when content actually changed that would be fine for me. If anyone has used appcache with a CMS, has anyone done so with jquery mobile at the same time? What I'm after is a fully native feel to a site that's accessible offline, in other words I want to mimic a native App. My static demo does this perfectly with jquery mobile, so again I would have thought this would be achievable in a CMS.

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  • How to manage a lot of Action Listeners for multiple buttons

    - by Wumbo4Dayz
    I have this Tic Tac Toe game and I thought of this really cool way to draw out the grid of 9 little boxes. I was thinking of putting buttons in each of those boxes. How should I give each button (9 buttons in total) an ActionListener that draws either an X or O? Should they each have their own, or should I do some sort of code that detects turns in this? Could I even do a JButton Array and do some for loops to put 9 buttons. So many possibilities, but which one is the most proper? Code so far: import javax.swing.*; import java.awt.event.*; import java.awt.*; public class Board extends JPanel implements ActionListener{ public Board(){ Timer timer = new Timer(25,this); timer.start(); } @Override protected void paintComponent(Graphics g){ for(int y = 0; y < 3; y++){ for(int x = 0; x < 3; x++){ g.drawRect(x*64, y*64, 64, 64); } } } public void actionPerformed(ActionEvent e){ repaint(); } }

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  • How can I convince my boss that ANSI C is inadequate for our new project?

    - by justifiably cowardly
    A few months ago, we started developing an app to control an in-house developed test equipment and record a set of measurements. It should have a simple UI, and would likely require threads due to the continuous recording that must take place. This application will be used for a few years, and shall be maintained by a number of computer science students during this period. Our boss graduated some 30 years ago (not to be taken as an offense; I have more than half that time on my back too) and has mandated that we develop this application in ANSI C. The rationale is that he is the only one that will be around the entire time, and therefore he must be able to understand what we are doing. He also ruled that we should use no abstract data types; he even gave us a list with the name of the global variables (sigh) he wants us to use. I actually tried that approach for a while, but it was really slowing me down to make sure that all pointer operations were safe and all strings had the correct size. Additionally, the number of lines of code that actually related to the problem in hand was a only small fraction of our code base. After a few days, I scrapped the entire thing and started anew using C#. Our boss has already seen the program running and he likes the way it works, but he doesn't know that it's written in another language. Next week the two of us will meet to go over the source code, so that he "will know how to maintain it". I am sort of scared, and I would like to hear from you guys what arguments I could use to support my decision. Cowardly yours,

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  • CentOS drive mapping? [on hold]

    - by DroidOS
    This is the first time I am posting on this particular StackExchange forum and I hope that I am using the right one for the present question. Briefly, this is what I need to do I am running a web service where users can, amongst other things, upload and store files on the server. What I want to do is to hive off user file storage to a different location so my server (CentOS 64 bit) can concentrate on what it does best - server side scripting and database management. As things stand all user files go into subdirectories in a folder called stash that lies above DOC_ROOT. What I would like to do is Transparently detect all attempts to read/write to stash/sub_folder and get/set file data on a remote server - ideally the latter would be one which replicates files like a CDN so they can be delivered from the closest/fastest location based on where the user's location. Even nicer would be if for all read accesses I could provide a URL that allows the user's browser to fetch the relevant file directly without having to funnel them via my server. I am a relative newbie when it comes to this sort of thing so I hope that I have phrased this question adequately well. From the little searching I done I gathered that WebDAV can be used to map drives to a different location on the web so perhaps that is a starting point. But if that will work I need to Establish how to get WebDAV up and running on my CentOS 64 bit server. Ideally, identify a service that allows this kind of file storage and provides an API I can use in my own scripting. I'd much appreciate any help with this.

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  • Moving soon, fiancee has new job: how to transition?

    - by Anonymous
    I've found myself in a sort of conundrum lately and I figured Stack Overflow would be the place to ask this question. I normally post under my personal account here, but I'm writing in anonymously this time so as to make sure my co-workers don't find out too early that I'll be leaving them behind in a few months. My fiancee just landed a great software development job at a very large, stable company. She'll be starting after she graduates and just after we get married (May to June-ish). Her compensation and benefits package will be more than enough to take care of both of us, so I agreed to step down from my current position so we could move to a larger city with more opportunities. I'll probably take a few weeks off to decompress, but I don't want to stay unemployed very long. Since there will be less pressure on me to bring home a second income though, we're not as adverse to risk as we normally would be. I'm currently debating whether to eventually seek employment at a small company, a larger company, do contract work, or do something else entirely. I haven't been in the software development business long (2-3 years plus some small personal projects), but I've seen what things can be like at a startup (my first job) and at a more established, mid-sized business (my current job). Most importantly what I'm looking for out of a new employment opportunity is challenge and variety. Does this situation describe anyone on SO? If so, what did you do/what are you doing? How is it working out for you? Programming is a pleasure as well as a career skill for me, so I want to make sure it stays that way. Thanks to all in advance for any responses.

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  • When should I decline to make a requested change?

    - by reuscam
    I work on the software side of a company that provides custom hardware with software running on top of it. Often times the hardware is not engineered well. In those cases, I am often asked first to troubleshoot the problem - of course the symptom is always "your software crashed" or something along those lines. Just recently we had another one of these incidents where power on a USB line is not reliable, and it causes a USB device to fail. This causes a usability problem in one of our applications. I have been asked by upper management to handle this better - continually monitor the USB device, and if it disappears, then reboot, or try to reset it. Doing either of these is not guaranteed to fix anything. Ultimately, the real fix is to correct the reliability of the device from the hardware side. I could improve performance, but not to 100%, and of course I would be using my already limited time to bloat code and add yet another device monitoring thread. So with all that said, how do I make a good decision about when to say that this needs to be a hardware fix, and only a hardware fix? Can I approach this quantitatively, and come up with some sort of definitive yes/no test? I'm sure its not that easy.

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  • Ubuntu works in try out but not when installed, how to fix?

    - by QVaren
    I've got quite a problem with it, perhaps the problem lies with me but I thought I fixed it, I believe the opposite now... Anyhow, I started off with a 64-Bit Windows 7 platform and I wanted something new then the same boring windows, I heard about Ubuntu before but I didn't see a reason to change it. Now I had found my reason, so what did I do was do the installation via an USB, I went "try out before installation" first and it worked perfectly, however... When I installed it, deleted my Window 7 and tried to reboot with my fresh oh-so-clean new OS, it didn't want to load. At a certain point it said to boot up from a bootable option or something like that. Where it came to was that I couldn't load it up. Now, I wanted to switch back to Windows 7 because it didn't work and now I can't switch back because my harddrive switched modus because of Linux files (From NTFS to 4ex or something, I forgot). I'm currently typing this in the try out version of Ubuntu since I can't switch back to either Windows 7 or to the installed version of Ubuntu. So, my question follows: Can I fix it by keeping Ubuntu? Because I like Ubuntu. Also a side note: I'm a total noob when it comes down to this sort of things.

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  • Replacement for Picasa [closed]

    - by January
    Possible Duplicate: What is the best alternative to Picasa? I use Picasa not because it is a great photo manager -- it's not, the manager is "sort of OK" for my taste. However, it combines a passable photo manager with a good "quick and dirty" image editor. It has the basic functions like cropping, resizing, contrast and color adjustment, and the one great feature -- "I'm feeling lucky" button, that works in 90% of the cases. Also, from time to time, I use one or two of the effects (like saturation or sharpening). GIMP is great and I use it on a regular basis, but in most cases I just want to go quickly through the photographs of my kids birthday and make them more presentable without much fuss. I'm looking for a native, open source replacement, something that would not miss the editing capabilities of Picasa and would allow me to quickly go through a collection of photographs and make basic edits. A function similar to "I'm feeling lucky" (automatic adjustment of contrast, color and brightness) would be most welcome. EDIT: Yes, I have already tried a number of alternatives, if it is necessary I can produce a detailed list here, along with the problems I found. I'm posting that question because I hope to see a new name.

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  • Arguments? Path filing wrong? [on hold]

    - by user3034947
    I'm working through the Java SE 7 programming activity and I'm having trouble sort of understanding how arguments work. Here's the code: public class CopyFileTree implements FileVisitor<Path> { private Path source; private Path target; public CopyFileTree(Path source, Path target) { this.source = source; this.target = target; } @Override public FileVisitResult preVisitDirectory(Path dir, BasicFileAttributes attrs) { // Your code goes here Path newdir = target.resolve(source.relativize(dir)); try { Files.copy(dir, newdir); } catch (FileAlreadyExistsException x) { // ignore } catch (IOException x) { System.err.format("Unable to create: %s: %s%n", newdir, x); return SKIP_SUBTREE; } return CONTINUE; } @Override public FileVisitResult visitFile(Path file, BasicFileAttributes attrs ) { // Your code goes here Path newdir = target.resolve(source.relativize(file)); try { Files.copy(file, newdir, REPLACE_EXISTING); } catch (IOException x) { System.err.format("Unable to copy: %s: %s%n", source, x); } return CONTINUE; } @Override public FileVisitResult postVisitDirectory(Path dir, IOException exc ) { return CONTINUE; } @Override public FileVisitResult visitFileFailed(Path file, IOException exc ) { if (exc instanceof FileSystemLoopException) { System.err.println("cycle detected: " + file); } else { System.err.format("Unable to copy: %s: %s%n", file, exc); } return CONTINUE; } } It says to test this I need to enter arguments in properties of the project which I did? Can someone clarity what I'm doing wrong?

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  • Should I amortize scripting cost via bytecode analysis or multithreading?

    - by user18983
    I'm working on a game sort of thing where users can write arbitrary code for individual agents, and I'm trying to decide the best way to divide up computation time. The simplest option would be to give each agent a set amount of time and skip their turn if it elapses without an action being decided upon, but I would like people to be able to write their agents decision functions without having to think too much about how long its taking unless they really want to. The two approaches I'm considering are giving each agent a set number of bytecode instructions (taking cost into account) each timestep, and making players deal with the consequences of the game state changing between blocks of computation (as with Battlecode) or giving each agent it's own thread and giving each thread equal time on the processor. I'm about equally knowledgeable on both concurrency and bytecode stuff, which is to say not very, so I'm wondering which approach would be best. I have a clearer idea of how I'd structure things if I used bytecode, but less certainty about how to actually implement the analysis. I'm pretty sure I can work up a concurrency based system without much trouble, but I worry it will be messier with more overhead and will add unnecessary complexity to the project.

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  • jquery selector for elements beside one another? [migrated]

    - by PaulHanak
    this SHOULD be simple, but I have been through the Jquery Selector help for about an hour now and nothing seems to be working. Help! I am basically trying to pull the text (an address) of a SPAN after a user clicks on the link next to it. Please note though, I will have about 10 on a page, so I cannot set a static address. It must be pulled when the user clicks. The html code: <a href="3" class="clicky">Click to Show Map</a> <span style="display: none" class="theaddy">123 Fake Street, Somewhere Else, 12341</span> So really, my question is, how do I grab the text from .theaddy when a user clicks on .clicky? As I said, I cannot use var propertyaddy = $(.theaddy).text(); because there are 10 of these addy's on the same page. I need some sort of "THIS" Next To kinda thing. I also tossed around the idea of placing the SPAN inside the A, but my efforts on that weren't working either. Thank you in advance for any help!

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  • Sorting a Multidimensional array...

    - by sologhost
    I need to sort an array that can look like this: $array[4][0] = array('id' => 1, 'value' => 2); $array[3][2] = array('id' => 0, 'value' => 3); $array[4][1] = array('id' => 1, 'value' => 0); $array[1][3] = array('id' => 2, 'value' => 1); $array[1][1] = array('id' => 3, 'value' => 0); $array[3][0] = array('id' => 2, 'value' => 1); $array[3][1] = array('id' => 1, 'value' => 0); $array[1][2] = array('id' => 3, 'value' => 2); $array[1][0] = array('id' => 2, 'value' => 1); $array[2][1] = array('id' => 0, 'value' => 2); $array[2][4] = array('id' => 3, 'value' => 1); But needs to be sorted and returned as this: $array[1][0] = array('id' => 2, 'value' => 1); $array[1][1] = array('id' => 3, 'value' => 0); $array[1][2] = array('id' => 3, 'value' => 2); $array[1][3] = array('id' => 2, 'value' => 1); $array[2][1] = array('id' => 0, 'value' => 2); $array[2][4] = array('id' => 3, 'value' => 1); $array[3][0] = array('id' => 2, 'value' => 1); $array[3][1] = array('id' => 1, 'value' => 0); $array[3][2] = array('id' => 0, 'value' => 3); $array[4][0] = array('id' => 1, 'value' => 2); $array[4][1] = array('id' => 1, 'value' => 0); Can anyone help me? It needs to sort both indexes of the array from lowest to highest index value. Sounds simple enough, but I'm having the hardest time trying to figure this out, while still keeping the values intact. Please help someone...

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  • Problem receving in RXTX

    - by drhorrible
    I've been using RXTX for about a year now, without too many problems. I just started a new program to interact with a new piece of hardware, so I reused the connect() method I've used on my other projects, but I have a weird problem I've never seen before. The Problem The device works fine, because when I connect with hyperterminal, I send things and receive what I expect, and Serial Port Monitor(SPM) reflects this. However, when I run the simple hyperterminal-clone I wrote to diagnose the problem I'm having with my main app, bytes are sent, according to SPM, but nothing is received, and my SerialPortEventListener never fires. Even when I check for available data in the main loop, reader.ready() returns false. If I ignore this check, then I get an exception, details below. Relevant section of connect() method // Configure and open port port = (SerialPort) CommPortIdentifier.getPortIdentifier(name) .open(owner,1000) port.setSerialPortParams(baud, databits, stopbits, parity); port.setFlowControlMode(fc_mode); final BufferedReader br = new BufferedReader( new InputStreamReader( port.getInputStream(), "US-ASCII")); // Add listener to print received characters to screen port.addEventListener(new SerialPortEventListener(){ public void serialEvent(SerialPortEvent ev) { try { System.out.println("Received: "+br.readLine()); } catch (IOException e) { e.printStackTrace(); } } }); port.notifyOnDataAvailable(); Exception java.io.IOException: Underlying input stream returned zero bytes at sun.nio.cs.StreamDecoder.readBytes(StreamDecoder.java:268) at sun.nio.cs.StreamDecoder.implRead(StreamDecoder.java:306) at sun.nio.cs.StreamDecoder.read(StreamDecoder.java:158) at java.io.InputStreamReader.read(InputStreamReader.java:167) at java.io.BufferedReader.fill(BufferedReader.java:136) at java.io.BufferedReader.read(BufferedReader.java:157) at <my code> The big question (again) I think I've eliminated all possible hardware problems, so what could be wrong with my code, or the RXTX library? Edit: something interesting When I open hyperterminal after sending a bunch of commands from java that should have gotten responses, all of the responses appear immediately, as if they had been put in the buffer somewhere, but unavailable. Edit 2: Tried something new, same results I ran the code example found here, with the same results. No data came in, but when I switched to a new program, it came all at once. Edit 3 The hardware is fine, and even a different computer has the same problem. I am not using any sort of USB adapter. I've started using PortMon, too, and it's giving me some interesting results. Hyperterminal and RXTX are not using the same settings, and RXTX always polls the port, unlike HyperTerminal, but I still can't see what settings would affect this. As soon as I can isolate the configuration from the constant polling, I'll post my PortMon logs. Edit 4 Is it possible that some sort of Windows update in the last 3 months could have caused this? It has screwed up one of my MATLAB mex-based programs once. Edit 5 I've also noticed some things that are different between HyperTerminal, RXTX, and a separate program I found that communicates with the device (but doesn't do what I want, which is why I'm rolling my own program) HyperTerminal - set to no flow control, but Serial Port Monitor's RTS and DTR indicators are green Other program - not sure what settings it thinks it's using, but only SPM's RTS indicator is green RXTX - no matter what flow control I set, only SPM's CTS and DTR indicators are on. From Serial Port Monitor's help files (paraphrased): the indicators display the state of the serial control lines RTS - Request To Send CTS - Clear To Send DTR - Data Terminal Ready

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  • MOSS Content Query Web part itemstyle.xsl

    - by nav
    Hi, I have a Content Query Webpart (CQWP) pulling the URL and title from a NewsLinks list. The CQWP uses the XSLT style LVIS.News.Links defined in ItemStyle.xsl. I need to sort the title @Title0 field as commented out below because it causes an error. Does anyone know whats causing this error? - Many Thanks. The XSLT code is below: <xsl:template name="LVIS.News.Links" match="Row[@Style='LVIS.News.Links']" mode="itemstyle"> <xsl:param name="CurPos" /> <xsl:param name="Last" /> <xsl:variable name="SafeLinkUrl"> <xsl:call-template name="OuterTemplate.GetSafeLink"> <xsl:with-param name="UrlColumnName" select="'LinkUrl'"/> </xsl:call-template> </xsl:variable> <xsl:variable name="DisplayTitle"> <xsl:call-template name="OuterTemplate.GetTitle"> <xsl:with-param name="Title" select="@URL"/> <xsl:with-param name="UrlColumnName" select="'URL'"/> </xsl:call-template> </xsl:variable> <xsl:variable name="LinkTarget"> <xsl:if test="@OpenInNewWindow = 'True'" >_blank</xsl:if> </xsl:variable> <xsl:variable name="SafeImageUrl"> <xsl:call-template name="OuterTemplate.GetSafeStaticUrl"> <xsl:with-param name="UrlColumnName" select="'ImageUrl'"/> </xsl:call-template> </xsl:variable> <xsl:variable name="Header"> <xsl:if test="$CurPos = 1"> <![CDATA[<ul class="list_Links">]]> </xsl:if> </xsl:variable> <xsl:variable name="Footer"> <xsl:if test="$Last = $CurPos"> <![CDATA[</ul>]]> </xsl:if> </xsl:variable> <xsl:value-of select="$Header" disable-output-escaping="yes" /> <li> <a> <xsl:attribute name="href"> <xsl:value-of select="substring-before($DisplayTitle,', ')"></xsl:value-of> </xsl:attribute> <xsl:attribute name="title"> <xsl:value-of select="@Description"/> </xsl:attribute> <!-- <xsl:sort select="@Title0"/> --> <xsl:value-of select="@Title0"> </xsl:value-of> </a> </li> <xsl:value-of select="$Footer" disable-output-escaping="yes" /> </xsl:template>

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  • Contructor parameters for dependent classes with Unity Framework

    - by Onisemus
    I just started using the Unity Application Block to try to decouple my classes and make it easier for unit testing. I ran into a problem though that I'm not sure how to get around. Looked through the documentation and did some Googling but I'm coming up dry. Here's the situation: I have a facade-type class which is a chat bot. It is a singleton class which handles all sort of secondary classes and provides a central place to launch and configure the bot. I also have a class called AccessManager which, well, manages access to bot commands and resources. Boiled down to the essence, I have the classes set up like so. public class Bot { public string Owner { get; private set; } public string WorkingDirectory { get; private set; } private IAccessManager AccessManager; private Bot() { // do some setup // LoadConfig sets the Owner & WorkingDirectory variables LoadConfig(); // init the access mmanager AccessManager = new MyAccessManager(this); } public static Bot Instance() { // singleton code } ... } And the AccessManager class: public class MyAccessManager : IAccessManager { private Bot botReference; public MyAccesManager(Bot botReference) { this.botReference = botReference; SetOwnerAccess(botReference.Owner); } private void LoadConfig() { string configPath = Path.Combine( botReference.WorkingDirectory, "access.config"); // do stuff to read from config file } ... } I would like to change this design to use the Unity Application Block. I'd like to use Unity to generate the Bot singleton and to load the AccessManager interface in some sort of bootstrapping method that runs before anything else does. public static void BootStrapSystem() { IUnityContainer container = new UnityContainer(); // create new bot instance Bot newBot = Bot.Instance(); // register bot instance container.RegisterInstance<Bot>(newBot); // register access manager container.RegisterType<IAccessManager,MyAccessManager>(newBot); } And when I want to get a reference to the Access Manager inside the Bot constructor I can just do: IAcessManager accessManager = container.Resolve<IAccessManager>(); And elsewhere in the system to get a reference to the Bot singleton: // do this Bot botInstance = container.Resolve<Bot>(); // instead of this Bot botInstance = Bot.Instance(); The problem is the method BootStrapSystem() is going to blow up. When I create a bot instance it's going to try to resolve IAccessManager but won't be able to because I haven't registered the types yet (that's the next line). But I can't move the registration in front of the Bot creation because as part of the registration I need to pass the Bot as a parameter! Circular dependencies!! Gah!!! This indicates to me I have a flaw in the way I have this structured. But how do I fix it? Help!!

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  • Python: Improving long cumulative sum

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

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  • storing a sorted array of hashes

    - by srk
    use strict; use warnings; my @aoh =( { 3 => 15, 4 => 8, 5 => 9, }, { 3 => 11, 4 => 25, 5 => 6, }, { 3 => 5, 4 => 18, 5 => 5, }, { 0 => 16, 1 => 11, 2 => 7, }, { 0 => 21, 1 => 13, 2 => 31, }, { 0 => 11, 1 => 14, 2 => 31, }, ); #declaring a new array to store the sorted hashes my @new; print "\n-------------expected output------------\n"; foreach my $href (@aoh) { #i want a new array of hashes where the hashes are sorted my %newhash; my @sorted_keys = sort {$href->{$b} <=> $href->{$a} || $b <=> $a} keys %$href; foreach my $key (@sorted_keys) { print "$key => $href->{$key}\n"; $newhash{$key} = $href->{$key}; } print "\n"; push(@new,\%newhash); } print "-----------output i am getting---------------\n"; foreach my $ref(@new) { my @skeys = sort {$ref->{$a} <=> $ref->{$b} } keys %$ref; foreach my $key (@skeys) { print "$key => $ref->{$key}\n" } print "\n"; } The output of the program : -------------expected output------------ 3 => 15 5 => 9 4 => 8 4 => 25 3 => 11 5 => 6 4 => 18 5 => 5 3 => 5 0 => 16 1 => 11 2 => 7 2 => 31 0 => 21 1 => 13 2 => 31 1 => 14 0 => 11 -----------output i am getting--------------- 4 => 8 5 => 9 3 => 15 5 => 6 3 => 11 4 => 25 3 => 5 5 => 5 4 => 18 2 => 7 1 => 11 0 => 16 1 => 13 0 => 21 2 => 31 0 => 11 1 => 14 2 => 31 Please tell me what am i doing wrong in storing the hashes into a new array.. how do i achieve what i want.. ? Thanks in advance...

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  • how can i convert a .tpl file to a .php file? [closed]

    - by kim
    What do I do?? I am building a site and there is a categories.tpl that I want to go where sitemap.php is. sorry i am brand new to all this. let me try to be more clear.id show you a picture but it is marking it as spam. i have a menu at the top of my site like with any retail site. [About Cart Account and Products]. when you click products it takes to you the sitemap.php file. however i need the content from the categories.tpl to appear instead. (Categories in prestashop is another way of saying products) here is the categories.tpl code: {include file=$tpl_dir./breadcrumb.tpl} {include file=$tpl_dir./errors.tpl} {if $category-id AND $category-active} {$category-name|escape:'htmlall':'UTF-8'} {$nb_products|intval} {if $nb_products1}{l s='products'}{else}{l s='product'}{/if} {if $scenes} <!-- Scenes --> {include file=$tpl_dir./scenes.tpl scenes=$scenes} {else} <!-- Category image --> {if $category->id_image} <img src="{$link->getCatImageLink($category->link_rewrite, $category->id_image, 'category')}" alt="{$category->name|escape:'htmlall':'UTF-8'}" title="{$category->name|escape:'htmlall':'UTF-8'}" id="categoryImage" /> {/if} {/if} {if $category->description} <div class="cat_desc">{$category->description}</div> {/if} {if isset($subcategories)} <!-- Subcategories --> <div id="subcategories"> <h3>{l s='Subcategories'}</h3> <ul class="inline_list"> {foreach from=$subcategories item=subcategory} <li> <a href="{$link->getCategoryLink($subcategory.id_category, $subcategory.link_rewrite)|escape:'htmlall':'UTF-8'}" title="{$subcategory.name|escape:'htmlall':'UTF-8'}"> {if $subcategory.id_image} <img src="{$link->getCatImageLink($subcategory.link_rewrite, $subcategory.id_image, 'medium')}" alt="" /> {else} <img src="{$img_cat_dir}default-medium.jpg" alt="" /> {/if} </a> <br /> <a href="{$link->getCategoryLink($subcategory.id_category, $subcategory.link_rewrite)|escape:'htmlall':'UTF-8'}">{$subcategory.name|escape:'htmlall':'UTF-8'}</a> </li> {/foreach} </ul> <br class="clear"/> </div> {/if} {if $products} {include file=$tpl_dir./product-sort.tpl} {include file=$tpl_dir./product-list.tpl products=$products} {include file=$tpl_dir./pagination.tpl} {elseif !isset($subcategories)} <p class="warning">{l s='There is no product in this category.'}</p> {/if} {elseif $category-id} {l s='This category is currently unavailable.'} {/if} and here is the sitemap.php include(dirname(FILE).'/config/config.inc.php'); include(dirname(FILE).'/header.php'); include(dirname(FILE).'/product-sort.php'); $nbProducts = intval(Product::getNewProducts(intval($cookie-id_lang), isset($p) ? intval($p) - 1 : NULL, isset($n) ? intval($n) : NULL, true)); include(dirname(FILE).'/pagination.php'); $smarty-assign(array( 'products' = Product::getNewProducts(intval($cookie-id_lang), intval($p) - 1, intval($n), false, $orderBy, $orderWay), 'nbProducts' = intval($nbProducts))); $smarty-display(_PS_THEME_DIR_.'new-products.tpl'); include(dirname(FILE).'/footer.php'); ?

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  • LinkButtons Created Dynamically in a Repeater Don't Fire ItemCommand Event

    - by 5arx
    Hi. I've got a repeater that's used to display the output of a dynamic report that takes criteria from webcontrols on the page. Within the repeater's ItemDataBound method I'm adding controls (Linkbuttons for sorting by column values) dynamically to the header of the repeater based on values selected in a checkbox list and at this point setting the CommandArgument and CommandName properties of the linkbuttons. The issue is that when the linkbuttons are clicked they don't fire the ItemCommand event although they are clearly being correctly created and added to the header (there is some additional code to set the cssClass, text etc. and this works as expected.) The first column header in the repeater is set in the markup and the itemcommand event fires correctly on this one only. When the other column headers are clicked the repeater rebinds as programmed, but the columns are not dynamically re-generated. I would really appreciate somebody explaining what I'm doing wrong - afaik I'm following the approved way of doing this :-( Simplified code follows: Nightmare.ascx <asp:repeater runat="server" id="rptReport" OnItemDataBound="rptResults_ItemDataBound" OnItemCommand="rptResults_ItemCommand" EnableViewState="true"> <headertemplate> <table> <tr runat="Server" id="TRDynamicHeader"> <th> <!-- This one works --> <asp:Linkbutton runat="server" CommandName="sort" commandArgument='<%# Eval("Name")%?' /> </th> <!-- additional header cells get added dynamically here --> </tr> </headertemplate> <itemTemplate> <td><%# Eval("Name")</td> ... </itemTemplate> </asp:repeater> Nightmare.ascx.cs protected void PageLoad(object sender, eventArgs e){ if (! isPostback){ setupGui();//just binds dropdowns etc. to datasources } } protected void btnRunReport_Click(...){ List<ReportLines> lstRep = GetReportLines(); rptReport.DataSource = lstRep; repReport.DataBind(); } protected void rptReport_ItemDataBound (...){ if (e.Item.ItemType == ListItemType.Header) { foreach (ListItem li in chbxListBusFuncs.Items) { if (li.Selected) { th = new HtmlTableCell(); lb = new LinkButton(); lb.CssClass = "SortColHeader"; lb.CommandArgument = li.Text.Replace(" ", ""); lb.CommandName = "sort"; lb.Text = li.Text; th.Controls.Add(lb); ((HtmlTableRow)e.Item.FindControl("TRDynamicHeader")).Cells.Add(th); } } } if (e.Item.ItemType == ListItemType.Item || e.Item.ItemType == ListItemType.AlternatingItem) { //Row level customisations, totals calculations etc. } } <!-- this only gets called when the 'hardcoded' linkbutton in the markup is clicked. protected void rptReport_ItemCommand(object sender, Eventargs e){ lblDebug.Text = string.Format("Well? What's Happening? -> {0}:{1}", e.CommandName, e.CommandArgument.ToString()); } (The only thing that can call the runreport routine is a single button on the page, not shown in the code snippet above.)

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  • Allocation algorithm help, using Python.

    - by Az
    Hi there, I've been working on this general allocation algorithm for students. The pseudocode for it (a Python implementation) is: for a student in a dictionary of students: for student's preference in a set of preferences (ordered from 1 to 10): let temp_project be the first preferred project check if temp_project is available if so, allocate it to them and make the project UNavailable to others Quite simply this will try to allocate projects by starting from their most preferred. The way it works, out of a set of say 100 projects, you list 10 you would want to do. So the 10th project wouldn't be the "least preferred overall" but rather the least preferred in their chosen set, which isn't so bad. Obviously if it can't allocate a project, a student just reverts to the base case which is an allocation of None, with a rank of 11. What I'm doing is calculating the allocation "quality" based on a weighted sum of the ranks. So the lower the numbers (i.e. more highly preferred projects), the better the allocation quality (i.e. more students have highly preferred projects). That's basically what I've currently got. Simple and it works. Now I'm working on this algorithm that tries to minimise the allocation weight locally (this pseudocode is a bit messy, sorry). The only reason this will probably work is because my "search space" as it is, isn't particularly large (just a very general, anecdotal observation, mind you). Since the project is only specific to my Department, we have their own limits imposed. So the number of students can't exceed 100 and the number of preferences won't exceed 10. for student in a dictionary/list/whatever of students: where i = 0 take the (i)st student, (i+1)nd student for their ranks: allocate the projects and set local_weighting to be sum(student_i.alloc_proj_rank, student_i+1.alloc_proj_rank) these are the cases: if local_weighting is 2 (i.e. both ranks are 1): then i += 1 and and continue above if local weighting is = N>2 (i.e. one or more ranks are greater than 1): let temp_local_weighting be N: pick student with lowest rank and then move him to his next rank and pick the other student and reallocate his project after this if temp_local_weighting is < N: then allocate those projects to the students move student with lowest rank to the next rank and reallocate other if temp_local_weighting < previous_temp_allocation: let these be the new allocated projects try moving for the lowest rank and reallocate other else: if this weighting => previous_weighting let these be the allocated projects i += 1 and move on for the rest of the students So, questions: This is sort of a modification of simulated annealing, but any sort of comments on this would be appreciated. How would I keep track of which student is (i) and which student is (i+1) If my overall list of students is 100, then the thing would mess up on (i+1) = 101 since there is none. How can I circumvent that? Any immediate flaws that can be spotted? Extra info: My students dictionary is designed as such: students[student_id] = Student(student_id, student_name, alloc_proj, alloc_proj_rank, preferences) where preferences is in the form of a dictionary such that preferences[rank] = {project_id}

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