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  • How do I design a Wizard-based system with SoC in mind?

    - by Erik Forbes
    I'm building a Windows Forms system (in C# if it matters to anyone) that provides an application automation service. As this application is targeted at users who are not computer savvy, I've decided to break up the functions of the application into various tasks, and provide these tasks via a wizard UI. I'd like to avoid coupling the views and view engine (from which the Wizard will be built) to the automation engine. The problem I'm having is that the automation engine, which runs on a separate thread while it does its thing, needs to report status information back to the user, as well as listen for cancel or pause events from the user. Since I don't want the view engine or the automation engine to rely on each other, I'm having a hard time figuring out how to provide for this information conduit. Any insights into this issue I'm having would be greatly appreciated. I've been wracking my brain for a couple weeks now on this point, and I really don't want to give up and just couple everything together. If anyone needs additional details to help come up with some sort of idea please let me know and I'll be happy to provide them.

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  • Python virtualenv questions

    - by orokusaki
    I'm using VirtualEnv on Windows XP. I'm wondering if I have my brain wrapped around it correctly. I ran virtualenv ENV and it created C:\WINDOWS\system32\ENV. I then changed my PATH variable to include C:\WINDOWS\system32\ENV\Scripts instead of C:\Python27\Scripts. Then, I checked out Django into C:\WINDOWS\system32\ENV\Lib\site-packages\django-trunk, updated my PYTHON_PATH variable to point the new Django directory, and continued to easy_install other things (which of course go into my new C:\WINDOWS\system32\ENV\Lib\site-packages directory). I understand why I should use VirtualEnv so I can run multiple versions of Django, and other libraries on the same machine, but does this mean that to switch between environments I have to basically change my PATH and PYTHON_PATH variable? So, I go from developing one Django project which uses Django 1.2 in an environment called ENV and then change my PATH and such so that I can use an environment called ENV2 which has the dev version of Django? Is that basically it, or is there some better way to automatically do all this (I could update my path in Python code, but that would require me to write machine-specific code in my application)? Also, how does this process compare to using VirtualEnv on Linux (I'm quite the beginner at Linux).

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  • My jQuery and PHP give different results on the same thing?

    - by Stefan
    Hey all, Annoying brain numbing problem. I have two functions to check the length of a string (primarily, the js one truncates as well) heres the one in Javascript: $('textarea#itemdescription').keyup(function() { var charLength = $(this).val().length; // Displays count $('span#charCount').css({'color':'#666'}); $('span#charCount').html(255 - charLength); if($(this).val().length >= 240){ $('span#charCount').css({'color':'#FF0000'}); } // Alerts when 250 characters is reached if($(this).val().length >= 255){ $('span#charCount').css({'color':'#FF0000'}); $('span#charCount').html('<strong>0</strong>'); var text = $('textarea#itemdescription').val().substring(0,255) $('textarea#itemdescription').val(text); } }); And here is my PHP to double check: if(strlen($_POST["description"])>255){ echo "Description must be less than ".strlen($_POST["description"])." characters"; exit(); } I'm using jQuery Ajax to post the values from the textarea. However my php validation says the strlen() is longer than my js is essentially saying. So for example if i type a solid string and it says 0 or 3 chars left till 255. I then click save and the php gives me the length as being 261. Any ideas? Is it to do with special characters, bit sizes that js reads differently or misses out? Or is it to do with something else? Maybe its ill today!... :P Thanks, Stefan

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  • How to display out the contents from mysql and path it to an image properly?

    - by Panda
    I was trying very hard to think of a solution for my problem but have drain all my brain cells into this...What happen is: I have a CK editor where it allows user to input both text and images. A good example would be http://ckeditor.com/demo. Something like the red riding good example in the demo. I would like to have text surrounding the image like the example. With CK editor, user can now do that. However, now they will submit the changes and i was wondering how should I save the data? What i have found: After reading my articles and solutions on the web, all the experts would advise not to put image into the mysql database together with the text. I would like to ask if this is the case what should I do to extract the text from the ck editor and store it into mysql database and separately store the images into my web server? I know how to retrieve text from mysql database. But how do you put the retrieved text abd images together such as it appears to be how the user have input in CK editor?? Guys I am sorry if my question is confusing you or is making you angry because i admit I am really a newbie in this and I will learn all that I can...Thanks for all your advice and teachings.

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  • Analyzing Web Application Speed

    - by Amy
    I'm a bit confused because the logical/programmer brain in me says that if all things are constant, the speed of a function must be constant. I am working on a PHP web application with jqGrid as a front end for showing the data. I am testing on my personal computer, so network traffic does not apply. I make an HTTP request to a PHP function, it returns the data, and then jqGrid renders it. What has me befuddled is that sometimes, Firebug reports that this is taking 300-600 milliseconds sometimes, and sometimes, it's taking 3.68 seconds. I can run the request over and over again, with very radically different response times. The query is the same. The number of users on the system is the same. No network latency. Same code. I'm not running other applications on the computer while testing. I could understand query caching improving performance on subsequent requests, but the speed is just fluctuating wildly with no rhyme or reason. So, my question is, what else can cause such variability in the response time? How can I determine what's doing it? More importantly, is there any way to get things more consistent?

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  • C++ & proper TDD

    - by Kotti
    Hi! I recently tried developing a small-sized project in C# and during the whole project our team used the Test-Driven-Development (TDD) technique (xunit, moq). I really think this was awesome, because (when paired with C#) this approach allowed to relax when coding, relax when projecting and relax when refactoring. I suspect that all this TDD-stuff actually simplifies the coding process and, well, it allowed (eventually, for me) to get the same result with fewer brain cells working. Right after that I tried using TDD paired with C++ (I used Google Test and Google Mock libraries), and, I don't know why but I actually think that TDD here was a step back in terms of rapid application development. I had some moments when I had to spend huge amounts of time thinking of my tests, building proper mocks, rebuilding them and swearing at my monitor. And, well, I obviously can't ask something like "what I did wrong?" or "what was wrong in my approach?", because I don't know what to describe. But if there are any people who are used to TDD in C++ (and, probably C#) too, could you please advise me how to do this properly. Framework recommendations, architecture approaches, plain coding advices - if you are experienced in TDD & C++, please respond.

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  • How do I interact with a Perl object that has a hash attribute?

    - by brydgesk
    I have a class with several variables, one of which is a hash (_runs): sub new { my ($class, $name) = @_; my $self = { _name => $name, ... _runs => (), _times => [], ... }; bless ($self, $class); return $self; } Now, all I'm trying to do is create an accessor/mutator, as well as another subroutine that pushes new data into the hash. But I'm having a hell of a time getting all the referencing/dereferencing/$self calls working together. I've about burned my eyes out with "Can't use string ("blah") as a HASH ref etc etc" errors. For the accessor, what is 'best practice' for returning hashes? Which one of these options should I be using (if any)?: return $self->{_runs}; return %{ $self->{_runs} }; return \$self->{_runs}; Further, when I'm using the hash within other subroutines in the class, what syntax do I use to copy it? my @runs = $self->{_runs}; my @runs = %{ $self->{_runs} }; my @runs = $%{ $self->{_runs} }; my @runs = $$self->{_runs}; Same goes for iterating over the keys: foreach my $dt (keys $self->{_runs}) foreach my $dt (keys %{ $self->{_runs} }) And how about actually adding the data? $self->{_runs}{$dt} = $duration; %{ $self->{_runs} }{$dt} = $duration; $$self->{_runs}{$dt} = $duration; You get the point. I've been reading articles about using classes, and articles about referencing and dereferencing, but I can't seem to get my brain to combine the knowledge and use both at the same time. I got my _times array working finally, but mimicking my array syntax over to hashes didn't work.

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  • Scope of "library" methods

    - by JS
    Hello, I'm apparently laboring under a poor understanding of Python scoping. Perhaps you can help. Background: I'm using the 'if name in "main"' construct to perform "self-tests" in my module(s). Each self test makes calls to the various public methods and prints their results for visual checking as I develop the modules. To keep things "purdy" and manageable, I've created a small method to simplify the testing of method calls: def pprint_vars(var_in): print("%s = '%s'" % (var_in, eval(var_in))) Calling pprint_vars with: pprint_vars('some_variable_name') prints: some_variable_name = 'foo' All fine and good. Problem statement: Not happy to just KISS, I had the brain-drizzle to move my handy-dandy 'pprint_vars' method into a separate file named 'debug_tools.py' and simply import 'debug_tools' whenever I wanted access to 'pprint_vars'. Here's where things fall apart. I would expect import debug_tools foo = bar debug_tools.pprint_vars('foo') to continue working its magic and print: foo = 'bar' Instead, it greets me with: NameError: name 'some_var' is not defined Irrational belief: I believed (apparently mistakenly) that import puts imported methods (more or less) "inline" with the code, and thus the variable scoping rules would remain similar to if the method were defined inline. Plea for help: Can someone please correct my (mis)understanding of scoping regards imports? Thanks, JS

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  • how to create a mootools 1.1 function with array

    - by liz
    i have a series of select lists, that i am using to populate text boxes with ids. so you click a select option and another text box is filled with its id. with just one select/id pair this works fine, but i have multiples, and the only thing that changes is the id of the select and input.. in fact just the ending changes, the inputs all start with featredproductid and the select ids all start with recipesproduct and then both end with the category. i know that listing this over and over for each category is not the way to do it. i think i need to make an array of the categories var cats = ['olive oil', "grains", "pasta"] and then use a forEach function? maybe? here is the clunky code window.addEvent('domready', function() { $('recipesproductoliveoil').addEvent('change', function(e){ pidselected = this.options[this.selectedIndex].getProperty('value') ; $("featuredproductidoliveoil").setProperties({ value: pidselected}); ; }); $('recipesproductgrains').addEvent('change', function(e){ pidselected = this.options[this.selectedIndex].getProperty('value') ; $("featuredproductidgrains").setProperties({ value: pidselected}); ; }); $('recipesproductpasta').addEvent('change', function(e){ pidselected = this.options[this.selectedIndex].getProperty('value') ; $("featuredproductidpasta").setProperties({ value: pidselected}); ; }); $('recipesproductpantry').addEvent('change', function(e){ pidselected = this.options[this.selectedIndex].getProperty('value') ; $("featuredproductidpantry").setProperties({ value: pidselected}); ; }); }); keep in mind this is mootools 1.1 (no i cant update it sorry). i am sure this is kind of basic, something i seem to have wrapping my brain around. but i am quite sure doing it as above is not really good...

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  • Perl - Using hashes in classes

    - by brydgesk
    I have a class with several variables, one of which is a hash (_runs): sub new { my ($class, $name) = @_; my $self = { _name => $name, ... _runs => (), _times => [], ... }; bless ($self, $class); return $self; } Now, all I'm trying to do is create an accessor/mutator, as well as another subroutine that pushes new data into the hash. But I'm having a hell of a time getting all the referencing/dereferencing/$self calls working together. I've about burned my eyes out with "Can't use string ("blah") as a HASH ref etc etc" errors. For the accessor, what is 'best practice' for returning hashes? Which one of these options should I be using (if any)?: return $self->{_runs}; return %{ $self->{_runs} }; return \$self->{_runs}; Further, when I'm using the hash within other subroutines in the class, what syntax do I use to copy it? my @runs = $self->{_runs}; my @runs = %{ $self->{_runs} }; my @runs = $%{ $self->{_runs} }; my @runs = $$self->{_runs}; Same goes for iterating over the keys: foreach my $dt (keys $self->{_runs}) foreach my $dt (keys %{ $self->{_runs} }) And how about actually adding the data? $self->{_runs}{$dt} = $duration; %{ $self->{_runs} }{$dt} = $duration; $$self->{_runs}{$dt} = $duration; You get the point. I've been reading articles about using classes, and articles about referencing and dereferencing, but I can't seem to get my brain to combine the knowledge and use both at the same time. I got my _times array working finally, but mimicking my array syntax over to hashes didn't work.

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  • Get the last checked checkboxes...

    - by Sara
    Hi everyone, I'm not sure how to accomplish this issue which has been confusing me for a few days. I have a form that updates a user record in MySQL when a checkbox is checked. Now, this is how my form does this: if (isset($_POST['Update'])) { $paymentr = $_POST['paymentr']; //put checkboxes array into variable $paymentr2 = implode(', ', $paymentr); //implode array for mysql $query = "UPDATE transactions SET paymentreceived=NULL"; $result = mysql_query($query); $query = "UPDATE transactions SET paymentdate='0000-00-00'"; $result = mysql_query($query); $query = "UPDATE transactions SET paymentreceived='Yes' WHERE id IN ($paymentr2)"; $result = mysql_query($query); $query = "UPDATE transactions SET paymentdate=NOW() WHERE id IN ($paymentr2)"; $result = mysql_query($query); foreach ($paymentr as $v) { //should collect last updated records and put them into variable for emailing. $query = "SELECT id, refid, affid FROM transactions WHERE id = '$v'"; $result = mysql_query($query) or die("Query Failed: ".mysql_errno()." - ".mysql_error()."<BR>\n$query<BR>\n"); $trans = mysql_fetch_array($result, MYSQL_ASSOC); $transactions .= '<br>User ID:'.$trans['id'].' -- '.$trans['refid'].' -- '.$trans['affid'].'<br>'; } } Unfortunately, it then updates ALL the user records with the latest date which is not what I want it to do. The alternative I thought of was, via Javascript, giving the checkbox a value that would be dynamically updated when the user selected it. Then, only THOSE checkboxes would be put into the array. Is this possible? Is there a better solution? I'm not even sure I could wrap my brain around how to do that WITH Javascript. Does the answer perhaps lie in how my mysql code is written? Thanks - I sincerely appreciate it!!!

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  • horizontal uiview's controls unresponsive.. or how to foul up a view hierarchy

    - by Oldmicah
    Hello all, I'm working on an app that has two sections, a config section and a results section. My config section needs to be 2 separate views (horizontal and vert, and yes, I can hear the intake of breath from here), with one rotatable view for the results. b/c of layout restraints and a lot of pain around rotation, I'm not using a navigation controller. I've been experiencing the joys of rotation experimentation and have settled upon keeping my views contained as subviews of my view controller. i.e. view controller.view.subviews = configH, configV, and results. I then use the controller.view bringSubviewToFront to bring the either the configH, configV, or the result view to the front. Rotation works-queue(humor intended) the angelic choirs... almost. What's happening is that my configV button's are responsive, but when the device (or simulator) is rotated, my configH controls are not. (configV is the second subview added, but the first one to be brought to the front because app comes up in portrait mode) The controls on the results view also work. Plan B was to assign the controller.view to configH, configV, or results. All of my controls now work, but rotation is now fouled up. Question 1: Is there a better way to do this? (a horizontal and vertical config view and a rotatable results view) Question 2: Does the above suggest a design issue, or is it more likely that my addled brain is just missing something in my own code. (nothing from the peanut gallery please) many thanks!

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  • How does one implement storage/retrieval of smart-search/mailbox features?

    - by humble_coder
    Hi All, I have a question regarding implementation of smart-search features. For example, consider something like "smart mailboxes" in various email applications. Let's assume you have your data (emails) stored in a database and, depending on the field for which the query will be created, you present different options to the end user. At the moment let's assume the Subject, Verb, Object approach… For instance, say you have the following: SUBJECTs: message, to_address, from_address, subject, date_received VERBs: contains, does_not_contain, is_equal_to, greater_than, less_than OBJECTs: ??????? Now, in case it isn't clear, I want a table structure (although I'm not opposed to an external XMLesque file of some sort) to store (and later retrieve/present) my criteria for smart searches/mailboxes for later use. As an example, using SVO I could easily store then reconstruct a query for "date between two dates" -- simply use "date greater than" AND "date less than". However, what if, in the same smart search, I wanted a "between" OR'ed with another criterion? You can see that it might get out of hand -- not necessarily in the query creation (as that is rather simplistic), but in the option presentation and storage mechanism. Perhaps I need to think more on a more granular level. Perhaps I need to simply allow the user to select AND or OR for each entry independently instead of making it an ALL OR NOTHING type smart search (i.e. instead of MATCH ALL or MATCH ANY, I need to simply allow them to select -- I just don't want it to turn into a Hydra). Any input would be most appreciated. My apologies if the question is a bit incoherent. It is late, and I my brain is toast. Best.

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  • strcmp() but with 0-9 AFTER A-Z? (C/C++)

    - by Aaron
    For reasons I completely disagree with but "The Powers (of Anti-Usability) That Be" continue to decree despite my objections, I have a sorting routine which does basic strcmp() compares to sort by its name. It works great; it's hard to get that one wrong. However, at the 11th hour, it's been decided that entries which begin with a number should come AFTER entries which begin with a letter, contrary to the ASCII ordering. They cite the EBCDIC standard has numbers following letters so the prior assumption isn't a universal truth, and I have no power to win this argument... but I digress. Therein lies my problem. I've replaced all appropriate references to strcmp with a new function call nonstd_strcmp, and now need to implement the modifications to accomplish the sort change. I've used a FreeBSD source as my base: http://freebsd.active-venture.com/FreeBSD-srctree/newsrc/libkern/strncmp.c.html if (n == 0) return (0); do { if (*s1 != *s2++) return (*(const unsigned char *)s1 - *(const unsigned char *)(s2 - 1)); if (*s1++ == 0) break; } while (--n != 0); return (0); I guess I might need to take some time away to really think about how it should be done, but I'm sure I'm not the only one who's experienced the brain-deadness of just-before-release spec changes.

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  • Finding the Column Index for a Specific Value

    - by Btibert3
    Hi All, I am having a brain cramp. Below is a toy dataset: df <- data.frame( id = 1:6, v1 = c("a", "a", "c", NA, "g", "h"), v2 = c("z", "y", "a", NA, "a", "g"), stringsAsFactors=F) I have a specific value that I want to find across a set of defined columns and I want to identify the position it is located in. The fields I am searching are characters and the trick is that the value I am looking for might not exist. In addition, null strings are also present in the dataset. Assuming I knew how to do this, the variable position indicates the values I would like returned. > df id v1 v2 position 1 1 a z 1 2 2 a y 1 3 3 c a 2 4 4 <NA> <NA> 99 5 5 g a 2 6 6 h g 99 The general rule is that I want to find the position of value "a", and if it is not located or if v1 is missing, then I want 99 returned. In this instance, I am searching across v1 and v2, but in reality, I have 10 different variables. It is also worth noting that the value I am searching for can only exist once across the 10 variables. What is the best way to generate this recode? Many thanks in advance.

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  • What is the best Design/Way to keep user connected ?

    - by Fasih Hansmukh
    Am working on a POC for self learning in which I want to keep my user connected in LIVE pattern. For example, A game in which 4 user can play at a time , here I need to keep this user connected to my game . M not good at Socket type of programming and love to do that in Services way.What i wana know is 'What is the best way of doing this'. According to my initial Brain Storming, I have decided that I will use SilverLight(In Browser Or Out of Browser) as Front end [I have no issue in that]. I m more concern in back end. Either I make an handler or make a WCF service or use full duplex service and use pooling mechanism for that. As a random thought I come up with a Timer type logic that will fire every after 10 seconds at clients end and get status like Is it now Its turn to roll a dice Home many user left (in case if some of them left) What are connected user status in game like there score/points ect and update game view according to this at his end Kindly place your best answers here that will help me to learn this. Regards and thanks in Advance EDIT: Starting Bounty as i need more feedback. FH

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  • (Rails) Creating multi-dimensional hashes/arrays from a data set...?

    - by humble_coder
    Hi All, I'm having a bit of an issue wrapping my head around something. I'm currently using a hacked version of Gruff in order to accommodate "Scatter Plots". That said, the data is entered in the form of: g.data("Person1",[12,32,34,55,23],[323,43,23,43,22]) ...where the first item is the ENTITY, the second item is X-COORDs, and the third item is Y-COORDs. I currently have a recordset of items from a table with the columns: POINT, VALUE, TIMESTAMP. Due to the "complex" calculations involved I must grab everything using a single query or risk way too much DB activity. That said, I have a list of items for which I need to dynamically collect all data from the recordset into a hash (or array of arrays) for the creation of the data items. I was thinking something like the following: @h={} e = Events.find_by_sql(my_query) e.each do |event| @h["#{event.Point}"][x] = event.timestamp @h["#{event.Point}"][y] = event.value end Obviously that's not the correct syntax, but that's where my brain is going. Could someone clean this up for me or suggest a more appropriate mechanism by which to accomplish this? Basically the main goal is to keep data for each pointname grouped (but remember the recordset has them all). Much appreciated. EDIT 1 g = Gruff::Scatter.new("600x350") g.title = self.name e = Event.find_by_sql(@sql) h ={} e.each do |event| h[event.Point.to_s] ||= {} h[event.Point.to_s].merge!({event.Timestamp.to_i,event.Value}) end h.each do |p| logger.info p[1].values.inspect g.data(p[0],p[1].keys,p[1].values) end g.write(@chart_file)

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  • PHP - Drilling down Data and Looping with Loops

    - by stogdilla
    I'm currently having difficulty finding a way of making my loops work. I have a table of data with 15 minute values. I need the data to pull up in a few different increments $filters=Array('Yrs','Qtr','Day','60','30','15'); I think I have a way of finding out what I need to be able to drill down to but the issue I'm having is after the first loop to cycle through all the Outter most values (ex: the user says they want to display by Hours, each hour should be able to have a "+" that will then add a new div to display the half hour data, then each half hour data have a "+" to display the 15 minute data upon request. Now I can just program the number of outputs for each value (6 different outputs) just in-case... but isn't there a way I can make it do the drill down for each one in a loop? so I only have to code one output once and have it just check if there are any more intervals after it and check for those? I'm sure I'm just overlooking some very simple way of doing this but my brain isn't being clever today. Sorry in advance if this is a simple solution. I guess the best way I could think of it as a reply on a form. How you would check to see if it's a reply of a reply, and then if that reply has any replys...etc for output. Can anyone help or at least point me in the right direction? Or am I stuck coding each possible check? Thanks in advance!

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  • SIlverlight Navigate: how does it work? How would you implement in f# w/o VS wizards and helpers?

    - by akaphenom
    After a nights sleep the problem can be stated more accurately as I have a 100% f# / silverlight implementation and am looking to use the built in Navigation components. C# creates page.xaml and page.xaml.cs um - ok; but what is the relationship at a fundamental level? How would I go about doing this in f#? The applcuation is loaded in the default module, and I pull the XAML in and reference it from the application object. Do I need to create instances / references to the pages from within the application object? Or set up some other page management object with the proper name value pairs? When all the Help of VS is stripped away - what are we left with? original post (for those who may be reading replies) I have a 100% silverlight 3.0 / f# 2.0 application I am wrapping my brain around. I have the base application loading correctly - and now I want to add the naigation controls to it. My page is stored as an embedded resource - but the Frame.Navigate takes a URI. I know what I have is wrong but here it is: let nav : Frame = mainGrid ? mainFrame let url = "/page1.xaml" let uri = new System.Uri(url, System.UriKind.Relative) ; nav.Navigate uri Any thoughts?

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  • SASS mixin for swapping images / floats on site language (change)

    - by DBUK
    Currently using SASS on a website build. It is my first project using it, tried a little LESS before and liked it. I made a few basic mixins and variables with LESS, super useful stuff! I am trying to get my head around SASS mixins, and syntax, specifically for swapping images when the page changes to a different language, be that with body ID changing or <html lang="en">. And, swapping floats around if, for example, a website changed to chinese. So a mixin where float left is float left unless language is AR and then it becomes float right. With LESS I think it would be something like: .headerBg() when (@lang = en) {background-image:url(../img/hello.png);} .headerBg() when (@lang = it) {background-image:url(../img/ciao.png);} .header {.headerBg(); width: 200px; height:100px} .floatleft() when (@lang = en) { float: left;} .floatleft() when (@lang = ar) { float: right;} .logo {.floatleft();} Its the syntax I am having problems with combined with a brain melting day.

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  • php - create columns from mysql list

    - by user271619
    I have a long list generated from a simple mysql select query. Currently (shown in the code below) I am simply creating list of table rows with each record. So, nothing complicated. However, I want to divide it into more than one column, depending on the number of returned results. I've been wrapping my brain around how to count this in the php, and I'm not getting the results I need. <table> <? $query = mysql_query("SELECT * FROM `sometable`"); while($rows = mysql_fetch_array($query)){ ?> <tr> <td><?php echo $rows['someRecord']; ?></td> </tr> <? } ?> </table> Obviously there's one column generated. So if the records returned reach 10, then I want to create a new column. In other words, if the returned results are 12, I have 2 columns. If I have 22 results, I'll have 3 columns, and so on.

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  • Where to start when doing a Domain Model?

    - by devoured elysium
    Let's say I've made a list of concepts I'll use to draw my Domain Model. Furthermore, I have a couple of Use Cases from which I did a couple of System Sequence Diagrams. When drawing the Domain Model, I never know where to start from: Designing the model as I believe the system to be. This is, if I am modelling a the human body, I start by adding the class concepts of Heart, Brain, Bowels, Stomach, Eyes, Head, etc. Start by designing what the Use Cases need to get done. This is, if I have a Use Case which is about making the human body swallow something, I'd first draw the class concepts for Mouth, Throat, Stomatch, Bowels, etc. The order in which I do things is irrelevant? I'd say probably it'd be best to try to design from the Use Case concepts, as they are generally what you want to work with, not other kind of concepts that although help describe the whole system well, much of the time might not even be needed for the current project. Is there any other approach that I am not taking in consideration here? How do you usually approach this? Thanks

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  • Pre Project Documentation

    - by DeanMc
    I have an issue that I feel many programmers can relate to... I have worked on many small scale projects. After my initial paper brain storm I tend to start coding. What I come up with is usually a rough working model of the actual application. I design in a disconnected fashion so I am talking about underlying code libraries, user interfaces are the last thing as the library usually dictates what is needed in the UI. As my projects get bigger I worry that so should my "spec" or design document. The above paragraph, from my investigations, is echoed all across the internet in one fashion or another. When a UI is concerned there is a bit more information but it is UI specific and does not relate to code libraries. What I am beginning to realise is that maybe code is code is code. It seems from my extensive research that there is no 1:1 mapping between a design document and the code. When I need to research a topic I dump information into OneNote and from there I prioritise features into versions and then into related chunks so that development runs in a fairly linear fashion, my tasks tend to look like so: Implement Binary File Reader Implement Binary File Writer Create Object to encapsulate Data for expression to the caller Now any programmer worth his salt is aware that between those three to do items could be a potential wall of code that could expand out to multiple files. I have tried to map the complete code process for each task but I simply don't think it can be done effectively. By the time one mangles pseudo code it is essentially code anyway so the time investment is negated. So my question is this: Am I right in assuming that the best documentation is the code itself. We are all in agreement that a high level overview is needed. How high should this be? Do you design to statement, class or concept level? What works for you?

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  • Structure map and generics (in XML config)

    - by James D
    Hi I'm using the latest StructureMap (2.5.4.264), and I need to define some instances in the xml configuration for StructureMap using generics. However I get the following 103 error: Unhandled Exception: StructureMap.Exceptions.StructureMapConfigurationException: StructureMap configuration failures: Error: 103 Source: Requested PluginType MyTest.ITest`1[[MyTest.Test,MyTest]] configured in Xml cannot be found Could not create a Type for 'MyTest.ITest`1[[MyTest.Test,MyTest]]' System.ApplicationException: Could not create a Type for 'MyTest.ITest`1[[MyTest.Test,MyTest]]' ---> System.TypeLoadException: Could not loa d type 'MyTest.ITest`1' from assembly 'StructureMap, Version=2.5.4.264, Culture=neutral, PublicKeyToken=e60ad81abae3c223'. at System.RuntimeTypeHandle._GetTypeByName(String name, Boolean throwOnError, Boolean ignoreCase, Boolean reflectionOnly, StackCrawlMark& stackMark, Boolean loadTypeFromPartialName) at System.RuntimeTypeHandle.GetTypeByName(String name, Boolean throwOnError, Boolean ignoreCase, Boolean reflectionOnly, StackCrawlMark& stackMark) at System.RuntimeType.PrivateGetType(String typeName, Boolean throwOnError, Boolean ignoreCase, Boolean reflectionOnly, StackCrawlMark& s tackMark) at System.Type.GetType(String typeName, Boolean throwOnError) at StructureMap.Graph.TypePath.FindType() --- End of inner exception stack trace --- at StructureMap.Graph.TypePath.FindType() at StructureMap.Configuration.GraphBuilder.ConfigureFamily(TypePath pluginTypePath, Action`1 action) A simply replication of the code is as follows: public interface ITest<T> { } public class Test { } public class Concrete : ITest<Test> { } Which I then wish to define in the XML configuration something as follows: <DefaultInstance PluginType="MyTest.ITest`1[[MyTest.Test,MyTest]],MyTest" PluggedType="MyTest.Concrete,MyTest" Scope="Singleton" /> I've been racking my brain, however I can't see what I'm doing wrong - I've used Type.GetType to verify the type actually is valid which it is. Anyone have any ideas? Thanks !

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  • efficient sort with custom comparison, but no callback function

    - by rob
    I have a need for an efficient sort that doesn't have a callback, but is as customizable as using qsort(). What I want is for it to work like an iterator, where it continuously calls into the sort API in a loop until it is done, doing the comparison in the loop rather than off in a callback function. This way the custom comparison is local to the calling function (and therefore has access to local variables, is potentially more efficient, etc). I have implemented this for an inefficient selection sort, but need it to be efficient, so prefer a quick sort derivative. Has anyone done anything like this? I tried to do it for quick sort, but trying to turn the algorithm inside out hurt my brain too much. Below is how it might look in use. // the array of data we are sorting MyData array[5000], *firstP, *secondP; // (assume data is filled in) Sorter sorter; // initialize sorter int result = sortInit (&sorter, array, 5000, (void **)&firstP, (void **)&secondP, sizeof(MyData)); // loop until complete while (sortIteration (&sorter, result) == 0) { // here's where we do the custom comparison...here we // just sort by member "value" but we could do anything result = firstP->value - secondP->value; }

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