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  • Java: initialization problem with private-final-int-value and empty constructor

    - by HH
    $ javac InitInt.java InitInt.java:7: variable right might not have been initialized InitInt(){} ^ 1 error $ cat InitInt.java import java.util.*; import java.io.*; public class InitInt { private final int right; InitInt(){} public static void main(String[] args) { // I don't want to assign any value. // just initialize it, how? InitInt test = new InitInt(); System.out.println(test.getRight()); // later assiging a value } public int getRight(){return right;} } Initialization problem with Constructor InitInt{ // Still the error, "may not be initialized" // How to initialise it? if(snippetBuilder.length()>(charwisePos+25)){ right=charwisePos+25; }else{ right=snippetBuilder.length()-1; } }

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  • Relational vs. Dimensional Databases, what's the difference?

    - by grautur
    I'm trying to learn about OLAP and data warehousing, and I'm confused about the difference between relational and dimensional modeling. Is dimensional modeling basically relational modeling, but allowing for redundant/un-normalized data? For example, let's say I have historical sales data on (product, city, # sales). I understand that the following would be a relational point-of-view: Product | City | # Sales Apples, San Francisco, 400 Apples, Boston, 700 Apples, Seattle, 600 Oranges, San Francisco, 550 Oranges, Boston, 500 Oranges, Seattle, 600 While the following is a more dimensional point-of-view: Product | San Francisco | Boston | Seattle Apples, 400, 700, 600 Oranges, 550, 500, 600 But it seems like both points of view would nonetheless be implemented in an identical star schema: Fact table: Product ID, Region ID, # Sales Product dimension: Product ID, Product Name City dimension: City ID, City Name And it's not until you start adding some additional details to each dimension that the differences start popping up. For instance, if you wanted to track regions as well, a relational database would tend to have a separate region table, in order to keep everything normalized: City dimension: City ID, City Name, Region ID Region dimension: Region ID, Region Name, Region Manager, # Regional Stores While a dimensional database would allow for denormalization to keep the region data inside the city dimension, in order to make it easier to slice the data: City dimension: City ID, City Name, Region Name, Region Manager, # Regional Stores Is this correct?

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  • Which is the most memory leak safe approach.

    - by MattC
    I have a table of frequently updated information. This is presented using a container div with a div for each row, each row containing 10 divs. I am using setInterval to call a an asmx webservice that returns some json formatted information. On the success callback I call $("#myContainer").empty(); on the container div and recreate the rows and 10 nested divs for each row's columns. This page may be left to run for a whole day, so I am wary of updating the DOM like this as I have noticed that memory does rise for the browser over time (IE8). The other approach I am considering is to add an idea to the row div. When new results process each item of data, look for the corresponding row, if it exists overwrite the data in each div. If it doesn't exist (new data for example), append the row. What approaches have others used for this sort of long lived pseudo realtime information display. TIA

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  • Examples of IOC/DI over Singleton

    - by Amitd
    Hi, Just started learning/reading about DI and IOC frameworks. Also I read many articles on SO and internet that say that one should prefer DI/IOC over singleton. Can anyone give/link examples of exactly how DI/IOC eliminates/solves the various issues regarding the Singleton pattern? (hopefully code and explanation for better understanding) Also given a system has already implemented Singleton pattern, how to refactor/implement DI/IOC for the same? (any examples for the same?) (Language/Framework no bars..C# would be helpful) Thanks

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  • Building big, immutable objects without using constructors having long parameter lists

    - by Malax
    Hi StackOverflow! I have some big (more than 3 fields) Objects which can and should be immutable. Every time I run into that case i tend to create constructor abominations with long parameter lists. It doesn't feel right, is hard to use and readability suffers. It is even worse if the fields are some sort of collection type like lists. A simple addSibling(S s) would ease the object creation so much but renders the object mutable. What do you guys use in such cases? I'm on Scala and Java, but i think the problem is language agnostic as long as the language is object oriented. Solutions I can think of: "Constructor abominations with long parameter lists" The Builder Pattern Thanks for your input!

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  • Sub-Schemas in SQL Server 2005/2008

    - by Maushu
    This is a simple question yet I was unable to find any information at all about this. Is it possible to have sub-schemas in SQL Server 2005/2008? Example: Having a HR (Human Resources) schema with a sub-schema called Training (with tables related to this). It would end up like HR.Training.* where * would be the tables.

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  • where to enlist transaction with parent child delete (repository or bll)?

    - by Caroline Showden
    My app uses a business layer which calls a repository which uses linq to sql. I have an Item class that has an enum type property and an ItemDetail property. I need to implement a delete method that: (1) always delete the Item (2) if the item.type is XYZ and the ItemDetail is not null, delete the ItemDetail as well. My question is where should this logic be housed? If I have it in my business logic which I would prefer, this involves two separate repository calls, each of which uses a separate datacontext. I would have to wrap both calls is a System.Transaction which (in sql 2005) get promoted to a distributed transaction which is not ideal. I can move it all to a single repository call and the transaction will be handled implicitly by the datacontext but feel that this is really business logic so does not belong in the repository. Thoughts? Carrie

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  • Should business objects be able to create their own DTOs?

    - by Sam
    Suppose I have the following class: class Camera { public Camera( double exposure, double brightness, double contrast, RegionOfInterest regionOfInterest) { this.exposure = exposure; this.brightness = brightness; this.contrast = contrast; this.regionOfInterest = regionOfInterest; } public void ConfigureAcquisitionFifo(IAcquisitionFifo acquisitionFifo) { // do stuff to the acquisition FIFO } readonly double exposure; readonly double brightness; readonly double contrast; readonly RegionOfInterest regionOfInterest; } ... and a DTO to transport the camera info across a service boundary (WCF), say, for viewing in a WinForms/WPF/Web app: using System.Runtime.Serialization; [DataContract] public class CameraData { [DataMember] public double Exposure { get; set; } [DataMember] public double Brightness { get; set; } [DataMember] public double Contrast { get; set; } [DataMember] public RegionOfInterestData RegionOfInterest { get; set; } } Now I can add a method to Camera to expose its data: class Camera { // blah blah public CameraData ToData() { var regionOfInterestData = regionOfInterest.ToData(); return new CameraData() { Exposure = exposure, Brightness = brightness, Contrast = contrast, RegionOfInterestData = regionOfInterestData }; } } or, I can create a method that requires a special IReporter to be passed in for the Camera to expose its data to. This removes the dependency on the Contracts layer (Camera no longer has to know about CameraData): class Camera { // beep beep I'm a jeep public void ExposeToReporter(IReporter reporter) { reporter.GetCameraInfo(exposure, brightness, contrast, regionOfInterest); } } So which should I do? I prefer the second, but it requires the IReporter to have a CameraData field (which gets changed by GetCameraInfo()), which feels weird. Also, if there is any even better solution, please share with me! I'm still an object-oriented newb.

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  • Collaboration Diagrams: how to represent setting a variable's and attribute's value to a specified v

    - by devoured elysium
    Let's assume I have a class called MyClass with an attribute called MyAttribute and a method called MyMethod(). Inside that method I'd like to have a variable called MyVariable. I'd like to set the value of MyVariable to "MyVariable" and MyAttribute to "MyAttribute" inside the call to MyMethod(). How can I do this in a Collaboration Diagram? I can't find any info of this kind on the internet and the book I'm studying from (Applying UML and Patterns) is very vague in the details. Thanks

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  • To subclass or not to subclass

    - by poulenc
    I have three objects; Action, Issue and Risk. These all contain a nunber of common variables/attributes (for example: Description, title, Due date, Raised by etc.) and some specific fields (risk has probability). The question is: Should I create 3 separate classes Action, Risk and Issue each containing the repeat fields. Create a parent class "Abstract_Item" containing these fields and operations on them and then have Action, Risk and Issue subclass Abstract_Item. This would adhere to DRY principal.

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  • Making a DateTime field in SQLExpress database?

    - by Mike
    I'm putting together a simple test database to learn MVC with. I want to add a DateTime field to show when the record was CREATED. ID = int Name = Char DateCreated = (dateTime, DateTime2..?) I have a feeling that this type of DateTime capture can be done automatically - but that's all I have, a feeling. Can it be done? And if so how? While we're on the subject: if I wanted to include another field that captured the DateTime of when the record was LAST UPDATED how would I do that. I'm hoping to not do this manually. Many thanks Mike

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  • Best practices for managing limited client licenses/login

    - by MicSim
    I have a multi-user software solution (containing different applications, i.e. EXEs) that should allow only a limited number of concurrent users. It's designed to run in an intranet. I dont have a really good, satisfactory solution to the problem of counting the client licenses yet. The key requirements are: Multiple instances (starts) of the same application (= process) should count as only one client licence Starting different applications of the software solution should also count as only one (the same) client licence Application crash should not lead to orphaned used licences The above should work also for Terminal Server environments (all clients same IP, but different install folders) I'm looking for estabilished patterns, solutions, tips for managing used client licenses. Specific hints for the above sitaution are also welcome.

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  • Storing varchar(max) & varbinary(max) together - Problem?

    - by Tony Basallo
    I have an app that will have entries of both varchar(max) and varbinary(max) data types. I was considering putting these both in a separate table, together, even if only one of the two will be used at any given time. The question is whether storing them together has any impact on performance. Considering that they are stored in the heap, I'm thinking that having them together will not be a problem. However, the varchar(max) column will be probably have the text in row table option set. I couldn't find any performance testing or profiling while "googling bing," probably too specific a question? The SQL Server 2008 table looks like this: Id ParentId Version VersionDate StringContent - varchar(max) BinaryContent - varbinary(max) The app will decide which of the two columns to select for when the data is queried. The string column will much used much more frequently than the binary column - will this have any impact on performance?

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  • log in as a proxy for a certain user

    - by Samuel
    We have a requirement, wherein the administrative user needs to proxy in as a certain user in an environment where several users (Role: User) are managed by an administrator (Role: Admin). e.g If we have the following users in the database (admin, user1, user2, user3), we would want the admin to proxy as 'user2' and use the system in certain scenarios. Authentication in our web application is based username / password credentials, what mechanisms are available for the admin to proxy as 'user2' when he doesn't have the password for 'user2'. How can the application track such access for audit purposes to mention that 'admin' had proxied for 'user2' and performed certain actions. I am looking for suggestions on supporting this in our j2ee (jboss seam) web application.

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  • Single value data to multiple values of data in database relation

    - by Sofiane Merah
    I have such a hard time picturing this. I just don't have the brain to do it. I have a table called reports. --------------------------------------------- | report_id | set_of_bads | field1 | field2 | --------------------------------------------- | 123 | set1 | qwe | qwe | --------------------------------------------- | 321 | 123112 | ewq | ewq | --------------------------------------------- I have another table called bads. This table contains a list of bad data. ------------------------------------- | bad_id | set_it_belongs_to | field2 | field3 | ------------------------------------- | 1 | set1 | qwe | qwe | ------------------------------------- | 2 | set1 | qee | tte | ------------------------------------- | 3 | set1 | q44w | 3qwe | ------------------------------------- | 4 | 234 | qoow | 3qwe | ------------------------------------- Now I have set the first field of every table as the primary key. My question is, how do I connect the field set_of_bads to set_it_belongs_to in the bads table. This way if I want to get the entire set of data that is set1 by calling on the reports table I can do it. Example: hey reports table.. bring up the row that has the report_id 123. Okay thank you.. Now get all the rows from bads that has the set_of_bads value from the row with the report_id 123. Thanks.

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  • When should a member function have a const qualifier and when shouldn't it?

    - by SCFrench
    About six years ago, a software engineer named Harri Porten wrote this article, asking the question, "When should a member function have a const qualifier and when shouldn't it?" I found it to be the best write-up I could find of the issue, which I've been wrestling with more recently and which I think is not well covered in most discussions I've found on const correctness. Since a software information-sharing site as powerful as SO didn't exist back then, I'd like to resurrect the question here.

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  • How to store a numeric value which can have other statuses in a database?

    - by Jiho Han
    I need to store a set of numbers in a database which are imported from a spreadsheet. Sometimes a number is just a number. But in other times, a value can be "missing", "N/A", or blank and these all represent different things. What would be a good approach to store these numbers in the database? Originally I only had to account for N/A. So I made it -1 as I imported them (this only works if the number can never be negative obviously). I could use other negative numbers for other statuses. However, that seems clunky to me. Should I store the numbers as string then apply conversion at use time? Should I create a matching table that stores different statuses of each value?

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  • Credit card system implementation?

    - by Mark
    My site is going to have a credit system that basically works a lot like a credit card. Each user has an unlimited credit limit, but at the end of each week, they have to pay it off. For example, a user might make several purchases between March 1st and 7th, and then at the end of March 7th, they would be emailed an invoice that lists all their purchases during the week and a total that is due by the 14th. If they don't pay it off, their account is simply deactivated until they do. I'm just trying to wrap my head around how to implement this. I have a list of all their purchases, that's not a problem, but I'm just trying to figure out what to do with it. On the end of the 7th day, I could set up a cronjob to generate an invoice, which would basically have an id, and due date, and then I would need another many-to-many table to link all the purchases to the invoice. Then when a user adds money to their account, I guess it's applied against their current outstanding invoice? And what if they don't pay off their invoice by the time a new invoice rolls around, so now they have 2 outstanding ones, how do I know which to apply it against? Or do I make the cronjob check for any previous outstanding invoices, cancel them, and add a new item to the new invoice as "balance forward (+interest)"? How would you apply the money against an invoice? Would each payment have to be linked to an invoice, or could I just deposit it to their account credit, and then somehow figure out whats been paid and what hasn't? What if they pay in advance, before their invoice has been generated? Do I deduct it from their credit from the invoice upon generation, or at the end of the week when its due? There are so many ways to do this... Can anyone describe what approach they would take?

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  • Extend base type and automatically update audit information on Entity

    - by Nix
    I have an entity model that has audit information on every table (50+ tables) CreateDate CreateUser UpdateDate UpdateUser Currently we are programatically updating audit information. Ex: if(changed){ entity.UpdatedOn = DateTime.Now; entity.UpdatedBy = Environment.UserName; context.SaveChanges(); } But I am looking for a more automated solution. During save changes, if an entity is created/updated I would like to automatically update these fields before sending them to the database for storage. Any suggestion on how i could do this? I would prefer to not do any reflection, so using a text template is not out of the question. A solution has been proposed to override SaveChanges and do it there, but in order to achieve this i would either have to use reflection (in which I don't want to do ) or derive a base class. Assuming i go down this route how would I achieve this? For example EXAMPLE_DB_TABLE CODE NAME --Audit Tables CREATE_DATE CREATE_USER UPDATE_DATE UPDATE_USER And if i create a base class public abstract class IUpdatable{ public virtual DateTime CreateDate {set;} public virtual string CreateUser { set;} public virtual DateTime UpdateDate { set;} public virtual string UpdateUser { set;} } The end goal is to be able to do something like... public overrride void SaveChanges(){ //Go through state manager and update audit infromation //FOREACH changed entity in state manager if(entity is IUpdatable){ //If state is created... update create audit. //if state is updated... update update audit } } But I am not sure how I go about generating the code that would extend the interface.

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  • Making a DateTime field in a database automatic?

    - by Mike
    I'm putting together a simple test database to learn MVC with. I want to add a DateTime field to show when the record was CREATED. ID = int Name = Char DateCreated = (dateTime, DateTime2..?) I have a feeling that this type of DateTime capture can be done automatically - but that's all I have, a feeling. Can it be done? And if so how? While we're on the subject: if I wanted to include another field that captured the DateTime of when the record was LAST UPDATED how would I do that. I'm hoping to not do this manually. Many thanks Mike

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  • CQRS - The query side

    - by mattcodes
    A lot of the blogsphere articles related to CQRS (command query repsonsibility) seperation seem to imply that all screens/viewmodels are flat. e.g. Name, Age, Location Of Birth etc.. and thus the suggestion that implementation wise we stick them into fast read source etc.. single table per view mySQL etc.. and pull them out with something like primitive SqlDataReader, kick that nasty nhibernate ORM etc.. However, whilst I agree that domain models dont mapped well to most screens, many of the screens that I work with are more dimensional, and Im sure this is pretty common in LOB apps. So my question is how are people handling screen where by for example it displays a summary of customer details and then a list of their orders with a [more detail] link etc.... I thought about keeping with the straight forward SQL query to the Query Database breaking off the outer join so can build a suitable ViewModel to View but it seems like overkill? Alternatively (this is starting to feel yuck) in CustomerSummaryView table have a text/big (whatever the type is in your DB) column called Orders, and the columns for the Order summary screen grid are seperated by , and rows by |. Even with XML datatype it still feeel dirty. Any thoughts on an optimal practice?

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  • Converting old WCF service to RIA one

    - by Artur
    Hi there, Currently I have a service that looks like: Some app <-- WCF Service <-- Business Logic <-- Entity Framework Model <-- SQL Database One of "some app" would be Silverlight, but there as well will be lots of other clients (mainly mobile devices). To me the greatest benefit of having RIA services is possibility of making ordinary (not asynchronous) calls from Silverlight. I wondered if there is an easy way of converting what I have so far to be a RIA service? I as well wonder if there is a point of doing so if I plan to use the same service for multiple platforms/clients? Any help/links would be greatly appreciated.

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