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  • Sorting arrays in java

    - by user360706
    Write a static method in Java : public static void sortByFour (int[] arr) That receives as a paramater an array full of non-negative numbers (zero or positive) and sorts the array in the following way : In the beginning of the array all the numbers that devide by four without a remainder will appear. After them all the numbers in the array that devide by 4 with a remainder of 1 will appear. After them all the numbers in the array that devide by 4 with a remainder of 2 will appear. In the end of the array all the rest numbers (those who divide by 4 with the remainder 3) will appear. (The order of the numbers in each group doesn't matter) The method must be the most efficient it can. This is what I wrote but unfortunately it doesn't work well... :( public static void swap( int[] arr, int left, int right ) { int temp = arr[left]; arr[left] = arr[right]; arr[right] = temp; } public static void sortByFour( int[] arr ) { int left = 0; int right = ( arr.length - 1 ); int mid = ( arr.length / 2 ); while ( left < right ) { if ( ( arr[left] % 4 ) > ( arr[right] % 4 ) ) { swap( arr, left, right ); right--; } if ( ( arr[left] % 4 ) == ( arr[right] % 4 ) ) left++; else left++; } } Can someone please help me by fixing my code so that it will work well or rewriting it?

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  • do the Python libraries have a natural dependence on the global namespace?

    - by msw
    I first ran into this when trying to determine the relative performance of two generators: t = timeit.repeat('g.get()', setup='g = my_generator()') So I dug into the timeit module and found that the setup and statement are evaluated with their own private, initially empty namespaces so naturally the binding of g never becomes accessible to the g.get() statement. The obvious solution is to wrap them into a class, thus adding to the global namespace. I bumped into this again when attempting, in another project, to use the multiprocessing module to divide a task among workers. I even bundled everything nicely into a class but unfortunately the call pool.apply_async(runmc, arg) fails with a PicklingError because buried inside the work object that runmc instantiates is (effectively) an assignment: self.predicate = lambda x, y: x > y so the whole object can't be (understandably) pickled and whereas: def foo(x, y): return x > y pickle.dumps(foo) is fine, the sequence bar = lambda x, y: x > y yields True from callable(bar) and from type(bar), but it Can't pickle <function <lambda> at 0xb759b764>: it's not found as __main__.<lambda>. I've given only code fragments because I can easily fix these cases by merely pulling them out into module or object level defs. The bug here appears to be in my understanding of the semantics of namespace use in general. If the nature of the language requires that I create more def statements I'll happily do so; I fear that I'm missing an essential concept though. Why is there such a strong reliance on the global namespace? Or, what am I failing to understand? Namespaces are one honking great idea -- let's do more of those!

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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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  • Simple wxPython Frame Contents Resizing - Ratio?

    - by Wes
    I have a wxPython app with one frame and one panel. On that panel are a number of static boxes, each of which has buttons and textboxes. I have just begun reading about sizers, but they seem like they might be more than what I need, or it could that they are exactly what I need but I don't know how to use them correctly! The frame currently opens at 1920 x 1080. If the user drags the bottom right corner to resize the app, I just want everything to get smaller or larger as needed to keep the same size ratio. Is this possible? Thank you! edit: additional info: I used wxPython 2.8 and Boa to construct the GUI. I am contemplating trying another gui ide. So after reading some more about sizers, I am thinking about doing the following: add a gridsizer and basically divide my window's elements into rows and columns, then set each row and column's size as necessary until I achieve the original layout. Then I guess set the rows and columns to resize correctly? Is this a decent idea?

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  • Glassfish complaining about JSF component IDs

    - by Brian
    Hello All I am very new to JSF (v2.0) and I am attempting to learn it at places like netbeans.org and coreservlets.com. I am working on a very simple "add/subtract/multiply/divide" Java webapp and I have run into a problem. When I first started out, the application was enter two numbers and hit a '+' key and they would be automatically added together. Now that I have added more complexity I am having trouble getting the operation to the managed bean. This is what I had when it was just "add": <h:inputText styleClass="display" id="number01" size="4" maxlength="3" value="#{Calculator.number01}" /> <h:inputText styleClass="display" id="number02" size="4" maxlength="3" value="#{Calculator.number02}" /> <h:commandButton id="add" action="answer" value="+" /> For the "answer" page, I display the answer like this: <h:outputText value="#{Calculator.answer}" /> I had the proper getters and setters in the Calculator.java managed bean and the operation worked perfectly. Now I have added the other three operations and I am having trouble visualizing how to get the operation parameter to the bean so that I can switch around it. I tried this: <h:commandButton id="operation" action="answer" value="+" /> <h:commandButton id="operation" action="answer" value="-" /> <h:commandButton id="operation" action="answer" value="*" /> <h:commandButton id="operation" action="answer" value="/" /> However, Glassfish complained that I have already used "operation" once and I am trying to use it four times here. Any adivce/tips on how to get multiple operations to the managed bean so that it can preform the desired operation? Thank you for taking the time to read.

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  • Recommendations for IPC between parent and child processes in .NET?

    - by Jeremy
    My .NET program needs to run an algorithm that makes heavy use of 3rd party libraries (32-bit), most of which are unmanaged code. I want to drive the CPU as hard as I can, so the code runs several threads in parallel to divide up the work. I find that running all these threads simultaneously results in temporary memory spikes, causing the process' virtual memory size to approach the 2 GB limit. This memory is released back pretty quickly, but occasionally if enough threads enter the wrong sections of code at once, the process crosses the "red line" and either the unmanaged code or the .NET code encounters an out of memory error. I can throttle back the number of threads but then my CPU usage is not as high as I would like. I am thinking of creating worker processes rather than worker threads to help avoid the out of memory errors, since doing so would give each thread of execution its own 2 GB of virtual address space (my box has lots of RAM). I am wondering what are the best/easiest methods to communicate the input and output between the processes in .NET? The file system is an obvious choice. I am used to shared memory, named pipes, and such from my UNIX background. Is there a Windows or .NET specific mechanism I should use?

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  • 2D Histogram in R: Converting from Count to Frequency within a Column

    - by Jac
    Would appreciate help with generating a 2D histogram of frequencies, where frequencies are calculated within a column. My main issue: converting from counts to column based frequency. Here's my starting code: # expected packages library(ggplot2) library(plyr) # generate example data corresponding to expected data input x_data = sample(101:200,10000, replace = TRUE) y_data = sample(1:100,10000, replace = TRUE) my_set = data.frame(x_data,y_data) # define x and y interval cut points x_seq = seq(100,200,10) y_seq = seq(0,100,10) # label samples as belonging within x and y intervals my_set$x_interval = cut(my_set$x_data,x_seq) my_set$y_interval = cut(my_set$y_data,y_seq) # determine count for each x,y block xy_df = ddply(my_set, c("x_interval","y_interval"),"nrow") # still need to convert for use with dplyr # convert from count to frequency based on formula: freq = count/sum(count in given x interval) ################ TRYING TO FIGURE OUT ################# # plot results fig_count <- ggplot(xy_df, aes(x = x_interval, y = y_interval)) + geom_tile(aes(fill = nrow)) # count fig_freq <- ggplot(xy_df, aes(x = x_interval, y = y_interval)) + geom_tile(aes(fill = freq)) # frequency I would appreciate any help in how to calculate the frequency within a column. Thanks! jac EDIT: I think the solution will require the following steps 1) Calculate and store overall counts for each x-interval factor 2) Divide the individual bin count by its corresponding x-interval factor count to obtain frequency. Not sure how to carry this out though. .

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  • Looping through NSArray while subtracting values from each object? [on hold]

    - by Julian
    I have NSNumber objects stored in an NSMutableArray. I am attempting to perform a calculation on each object in the array. What I want to do is: 1) Take a random higher number variable and keep subtracting a smaller number variable in increments until the value of the variable is equal to the value in the array. For example: NSMutableArray object is equal to 2.50. I have an outside variable of 25 that is not in the array. I want to subtract 0.25 multiple times from the variable until I reach less than or equal to 2.50. I also need a parameter so if the number does not divide evenly and goes below the array value, it resorts to the original array value of 2.50. Lastly, for each iteration, I want to print the values as they are counting down as a string. I was going to provide code, but I don't want to make this more confusing than it has to be. So my output would be: VALUE IS: 24.75 VALUE IS: 24.50 VALUE IS: 24.25 … VALUE IS: 2.50 END

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  • power and modulo on the fly for big numbers

    - by user unknown
    I raise some basis b to the power p and take the modulo m of that. Let's assume b=55170 or 55172 and m=3043839241 (which happens to be the square of 55171). The linux-calculator bc gives the results (we need this for control): echo "p=5606;b=55171;m=b*b;((b-1)^p)%m;((b+1)^p)%m" | bc 2734550616 309288627 Now calculating 55170^5606 gives a somewhat large number, but since I have to do a modulooperation, I can circumvent the usage of BigInt, I thought, because of: (a*b) % c == ((a%c) * (b%c))%c i.e. (9*7) % 5 == ((9%5) * (7%5))%5 => 63 % 5 == (4 * 2) %5 => 3 == 8 % 5 ... and a^d = a^(b+c) = a^b * a^c, therefore I can divide b+c by 2, which gives, for even or odd ds d/2 and d-(d/2), so for 8^5 I can calculate 8^2 * 8^3. So my (defective) method, which always cut's off the divisor on the fly looks like that: def powMod (b: Long, pot: Int, mod: Long) : Long = { if (pot == 1) b % mod else { val pot2 = pot/2 val pm1 = powMod (b, pot, mod) val pm2 = powMod (b, pot-pot2, mod) (pm1 * pm2) % mod } } and feeded with some values, powMod (55170, 5606, 3043839241L) res2: Long = 1885539617 powMod (55172, 5606, 3043839241L) res4: Long = 309288627 As we can see, the second result is exactly the same as the one above, but the first one looks quiet different. I'm doing a lot of such calculations, and they seem to be accurate as long as they stay in the range of Int, but I can't see any error. Using a BigInt works as well, but is way too slow: def calc2 (n: Int, pri: Long) = { val p: BigInt = pri val p3 = p * p val p1 = (p-1).pow (n) % (p3) val p2 = (p+1).pow (n) % (p3) print ("p1: " + p1 + " p2: " + p2) } calc2 (5606, 55171) p1: 2734550616 p2: 309288627 (same result as with bc) Can somebody see the error in powMod?

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  • is there a signal emiter/consumer engine (like in Django) for .NET (C#)

    - by user118657
    Has .NET (C#) anything like Django's Signals engine? Our business logic become really complicated over few years of adding new features. I'm going to re-architecture it. Currently all features are very coupled that makes regression errors while changing something one one place - some other place may be broken. I really like Django's apps idea where separate applications introduce new functionality and are absolutely separate. Communication between apps is implemented though signals. I wounder if there is something in .NET that allows to divide project business to many separated "apps" (plug-ins, zones, modules, you name it) and make communication using some kind of "signals". For example we have simple order flow. We can add "coupon app" that if exists in the project adds abilities to use discount coupon. We can add "cross sale" module that if exists adds abilities to offer cross-sale products Email notification module that if exists adds abilities to send order email notifications. But in the same time all this modules are "self-contained" means that communication between them is done using emitting signals (ORDER_PROCCESS_START, ORDER_SUCCESS, etcs) and other modules can subscribe to this signals and process them in required way. This architecture is not related to web, all business logic is processed on the server side like without working with HTTP directly. I wonder if it's good architecture from code maintaining and testing point of few, is it possible to do this in .NET? Any drawbacks that I don't realize now?

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  • Quality questionnaire php mysql graphipcs

    - by Marcelo
    Hi, i'm making a questionnaire about a service quality, its contains the options (poor, regular, good, very good). It's contains 6 questions (radio button) and a suggestion box (textbox). In the table of the database i created 6 rows for questions, 1 for suggestion and 1 for date (a friend of mine tole me to use this but i didn't get why). q1) I'm going to atribute a value form 1 to 4 to the radio buttons options, and i'd like to sum every answer for each question, and then divide by the numbers of user that answered that question and give the mean. how am i supposed to to that? I'd also like generate reports of the month, of the year. q2) not only about the questionnaire but for registration too. I need all the fields to be completed, no blank options, if he don't complete all of fields it'll not be submitted and there will be a warning message to the user. q3) about the field type, i'd like it to be the same class that is in the database, i'm having a "problem". Ex: Name(varchar) : 1234(int), in the field 'name' of the table of the database 1234 will be shown as name, and i don't want this, i want only the type that i declared in the construction of the table. q4) i'd also like to know if it's possible to create pizza graphics, about the percentage of each question, is this possible? q5) I'm using phpmyadmin and some of my id's are auto_increment, but 'cause of my tests they at a high number, i'd like to restart to 0 the ids number, is this possible? Thanks for the attention.

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  • select i th smallest element from array

    - by davit-datuashvili
    i have divide and conqurer method to find i th smalles element from array here is code public class rand_select{ public static int Rand_partition( int a[],int p,int q,int i){ //smallest in a[p..q] if ( p==q) return a[p]; int r=partition (a,p,q); int k=r-p+1; if (i==k) return a[r]; if (i<k){ return Rand_partition(a,p,r-1,i); } return Rand_partition(a,r-1,q,i-k); } public static void main(String[]args){ int a[]=new int []{6,10,13,15,8,3,2,12}; System.out.println(Rand_partition(a,0,a.length-1,7)); } public static int partition(int a[],int p,int q){ int m=a[0]; while ( p<q){ while (p<q && a[p++] <m){ p++; } while (q>p && a[q--]>m){ q--; } int t=a[p]; a[p]=a[q]; a[q]=t; } int k=0; for (int i=0;i<a.length;i++){ if ( a[i]==m){ k=i; } } return k; } } but here is problem java.lang.ArrayIndexOutOfBoundsException please help me

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  • Too many columns to index - use mySQL Partitions?

    - by Christopher Padfield
    We have an application with a table with 20+ columns that are all searchable. Building indexes for all these columns would make write queries very slow; and any really useful index would often have to be across multiple columns increasing the number of indexes needed. However, for 95% of these searches, only a small subset of those rows need to be searched upon, and quite a small number - say 50,000 rows. So, we have considered using mySQL Partition tables - having a column that is basically isActive which is what we divide the two partitions by. Most search queries would be run with isActive=1. Most queries would then be run against the small 50,000 row partition and be quick without other indexes. Only issue is the rows where isActive=1 is not fixed; i.e. it's not based on the date of the row or anything fixed like that; we will need to update isActive based on use of the data in that row. As I understand it that is no problem though; the data would just be moved from one partition to another during the UPDATE query. We do have a PK on id for the row though; and I am not sure if this is a problem; the manual seemed to suggest the partition had to be based on any primary keys. This would be a huge problem for us because the primary key ID has no basis on whether the row isActive.

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  • How can I compare the performance of log() and fp division in C++?

    - by Ventzi Zhechev
    Hi, I’m using a log-based class in C++ to store very small floating-point values (as the values otherwise go beyond the scope of double). As I’m performing a large number of multiplications, this has the added benefit of converting the multiplications to sums. However, at a certain point in my algorithm, I need to divide a standard double value by an integer value and than do a *= to a log-based value. I have overloaded the *= operator for my log-based class and the right-hand side value is first converted to a log-based value by running log() and than added to the left-hand side value. Thus the operations actually performed are floating-point division, log() and floating-point summation. My question whether it would be faster to first convert the denominator to a log-based value, which would replace the floating-point division with floating-point subtraction, yielding the following chain of operations: twice log(), floating-point subtraction, floating-point summation. In the end, this boils down to whether floating-point division is faster or slower than log(). I suspect that a common answer would be that this is compiler and architecture dependent, so I’ll say that I use gcc 4.2 from Apple on darwin 10.3.0. Still, I hope to get an answer with a general remark on the speed of these two operators and/or an idea on how to measure the difference myself, as there might be more going on here, e.g. executing the constructors that do the type conversion etc. Cheers!

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  • Handling text menu in Python

    - by PulpFiction
    Hi all. I am trying to create a text based menu in Python. Here is the code: #!/usr/bin/env python def testcaseOutput(): print '1. Add. 2. Subtract. 3. Divide. 4. Multiply' try: answer = int(raw_input('Enter a value (1 - 4) >. ')) except ValueError: print 'Invalid input. Enter a value between 1 -4 .' testcaseOutput() if answer in range(1, 5): return answer else: print 'Invalid input. Enter a value between 1 - 4.' testcaseOutput() My question: When the user enters an invalid input, i.e. not a number, I want this function to get called again. So I used the recursive approach which I think is bad design. I use that approach again in the if answer in range(1, 5). Is there any other way to handle this? I need the prompt called again when there is an invalid input. Also, is there any way I can club the two constraints: check whether input is a number and check whether the number is in the range(1,5) together? As you can see, I am checking that individually.

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  • Copy existing XML, duplicate element and modify

    - by Robert
    Hi, I have a tricky XSL problem at the moment. I need to copy the existing XML, copy a certain element (plus its child elements) and modify the value of two child-elements. The modifications are: divide value of the 'value' element by 110 and edit the value of the 'type' element from 'normal' to 'discount'. This is currently what I have: Current XML: <dataset> <data> <prices> <price> <value>50.00</value> <type>normal</type> </price> </prices> </data> </dataset> Expected result <dataset> <data> <prices> <price> <value>50.00</value> <type>normal</type> </price> <price> <value>45.00</value> <type>discount</type> </price> </prices> </data> </dataset> Any takers? I've gotten as far as copying the desired 'price' element using copy-of, but I'm stuck as to how to modify it next.

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  • What is the proper way to wait a script loaded completely before another

    - by FatDogMark
    I am making a website that is divided by several sections <div id='section-1' class='section'>web content</div> <div id='section-2' class='section'>web content</div> I have like ten sections on my webpage ,each sections height is set to the user window height when document is ready by javascript $('.section').height($(window).height()); Some effects like slideshows on my webpage require the calculated height of the section in order to work properly. Therefore I always use something like this at document ready as a solution. setTimeout(startslideshow,1000); setTimeout(startanimations,1000); ...etc To make sure the section height is the user window height before the slideshow's code start because the sections cannot change to user window height instantly once the webpage loaded will generate serious problems in my slideshow code,like wrong calculated positions. Therefore there will be a situation that's after the page loaded, there will be about a second everything is messed up,before everything can works properly, how could I avoid that being seen by the user? I tried to $(document).hide(),or $('html,body').hide(), then fade in after a second,but I get other weird problems, especially on ipad,my fixed position top navigation bar will always become 'not fixed' while user is scrolling. As I am a self-learner, I afraid my method is not typical. I want to know what is the common ways of real web programmers usually do when they have to divide his webpage into different sections and set its height to window height , then make sure the other effects that's depends on the section height works properly and avoid to wait the height change for a second?

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  • Pointers to a typed variable in C#: Interfase, Generic, object or Class? (Boxing/Unboxing)

    - by PaulG
    First of all, I apologize if this has been asked a thousand times. I read my C# book, I googled it, but I can't seem to find the answer I am looking for, or I am missing the point big time. I am very confused with the whole boxing/unboxing issue. Say I have fields of different classes, all returning typed variables (e.g. 'double') and I would like to have a variable point to any of these fields. In plain old C I would do something like: double * newVar; newVar = &oldVar; newVar = &anotherVar; ... In C#, it seems I could do an interfase, but would require that all fields be properties and named the same. Breaks apart when one of the properties doesn't have the same name or is not a property. I could also create a generic class returning double, but seems a bit absurd to create a class to represent a 'double', when a 'double' class already exists. If I am not mistaken, it doesn't even need to be generic, could be a simple class returning double. I could create an object and box the typed variable to the newly created object, but then I would have to cast every time I use it. Of course, I always have the unsafe option... but afraid of getting to unknown memory space, divide by zero and bring an end to this world. None of these seem to be the same as the old simple 'double * variable'. Am I missing something here?

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  • Maximum length of a std::basic_string<_CharT> string

    - by themoondothshine
    Hey all, I was wondering how one can fix an upper limit for the length of a string (in C++) for a given platform. I scrutinized a lot of libraries, and most of them define it arbitrarily. The GNU C++ STL (the one with experimental C++0x features) has quite a definition: size_t npos = size_t(-1); /*!< The maximum value that can be stored in a variable of type size_t */ size_t _S_max_len = ((npos - sizeof(_Rep_base))/sizeof(_CharT) - 1) / 4; /*!< Where _CharT is a template parameter; _Rep_base is a structure which encapsulates the allocated memory */ Here's how I understand the formula: The size_t type must hold the count of units allocated to the string (where each unit is of type _CharT) Theoretically, the maximum value that a variable of type size_t can take on is the total number of units of 1 byte (ie, of type char) that may be allocated The previous value minus the overhead required to keep track of the allocated memory (_Rep_base) is therefore the maximum number of units in a string. Divide this value by sizeof(_CharT) as _CharT may require more than a byte Subtract 1 from the previous value to account for a terminating character Finally, that leave the division by 4. I have absolutely no idea why! I looked at a lot of places for an explanation, but couldn't find a satisfactory one anywhere (that's why I've been trying to make up something for it! Please correct me if I'm wrong!!).

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  • EventHandlers saved to databases.

    - by Stacey
    In a database application (using Sql Server right now, in C#, with Entity Framework 4.0) I have a situation where I need to trigger events when some values change. For instance assume a class "Trackable". class Trackable { string Name { get; set; } int Positive { get; set; } int Negative { get; set; } int Total { get; set; } // event OnChanged } Trackable is represented in the database as follows; table Trackables Id | guid name | varchar(32) positive | int negative | int Total is of course, calculated at runtime. When a trackable event changes, I want to inspect its previous value, and then see what it is changing to, and be capable of reacting accordingly. However different trackables need to trigger different events (to avoid a huge, massive cascading switch/if block). If this were just only C# code it would be easy - but they have to be saved to the database. I can't divide up each different trackable into a different table/class, that would be silly - they are all identical, but the event raised is different based on how they are made. So I guess my question is, is there any way to store an event handler in a database such that.. Trackable t1 = new Trackable() { Name = "Trackable1" OnChange += TrackableChangedEventHandler(OnTrackable1Change) } Trackable t2 = new Trackable() { Name = "Trackable2", OnChange += TrackableChangedEventHandler(OnTrackable2Change) }

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  • How can I measure my (SAMP) server's bandwidth usage?

    - by enkrates
    I'm running a Solaris server to serve PHP through Apache. What tools can I use to measure the bandwidth my server is currently using? I use Google analytics to measure traffic, but as far as I know, it ignores file size. I have a rough idea of the average size of the pages I serve, and can do a back-of-the-envelope calculation of my bandwidth usage by multiplying page views (from Google) by average page size, but I'm looking for a solution that is more rigorous and exact. Also, I'm not trying to throttle anything, or implement usage caps or anything like that. I'd just like to measure the bandwidth usage, so I know what it is. An example of what I'm after is the usage meter that Slicehost provides in their admin website for their users. They tell me (for another site I run) how much bandwidth I've used each month and also divide the usage for uploading and downloading. So, it seems like this data can be measured, and I'd like to be able to do it myself. To put it simply, what is the conventional method for measuring the bandwidth usage of my server?

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  • Height:100% is not considered

    - by Ivan90
    Hi guys, I would want to simulate the behavior of a table with div. I have a struct of my layout divide into three columns: div#wrapper { width:800px; float:left; height:100%; margin-top:7px; text-align:center; } div#left { width:167px; float:left; padding-bottom:50px; margin-right:3px; } div#main { width:454px; float:left; } div#right { width:167px; float:left; margin-left:3px; } wrapper is the container of three columns left,main,right div "main" have a variable content so in some case is more long and in other case is very short. When the content vary,div wrapper is adapted and it's ok but left and right columns don't adapt to wrapper. P.S Without doctype there is no problem, infact I set the height of left, main and right to 100% but when I insert transional.dtd , the height of div is not considered. How can resolve this problem? Sorry for my english!!

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  • How to prepare for a telephone interview: ‘Develop an Interview Cheat Sheet’

    - by Maria Sandu
    At Oracle we often do telephone interviews in different stages of the process with candidates, due to the fact that we hire native speakers into other countries. On this blog we already have an article with tips and tricks for phone interviews that can help you during the telephone interviews. To help you prepare even better for a telephone interview we would like to introduce you the basics of developing a cheat sheet. The benefit of a telephone interview is that you will be sitting at home, at your table or desk, during the interview, and not in front of someone. So use this to your advantage. The Monster website has some useful and interesting tips and tricks for developing a cheat sheet. Carole Martin, who wrote this article, says that a cheat sheet will help you feel more prepared and confident when speaking to managers over the phone. Important to keep in mind is that you shouldn't memorise what's on the sheet or check it off during the interview. Only use your cheat sheet to remind you of key facts. Here are some suggestions to include on it: • Divide a piece of paper in 2 by drawing a line. Write on one side of the paper a list of requirements as mentioned in the job description. On the other side list your qualities to fulfill the requirements of the employer. This will help you in answering questions about why you are the best candidate for the job and how you fit the role. • Do research on the company, the industry sector and the competitors, so you will get a feeling for the company’s business and can ask more in-depth questions. • Be prepared for the most used introduction question: “Tell me a bit about yourself”. Prepare a 60-second personal statement or pitch in which you summarise who you are and what you can offer, so you will be able to sell yourself from on the very beginning. • Write down a minimum of 5 good examples to answer behavioral interview questions ("Tell me about a time when..." or "Give me an example of a time..." ). These questions are used by interviewers to see how you deal with similar situations as you might encounter in the job. Interviewers use this question as past behaviour is scientifically proven to be the best predictor for future behaviour. • List five questions to ask the interviewer about the job, the company and the industry to help you get a good understanding if the role and company really fit your needs and wants. To get some inspiration check this article on inc.com • Find out how much you are worth on the job market and determine your needs based on your living expenses, especially when moving abroad. • Ask for permission from the people you plan to use as a reference. Also make sure you have your CV at hand and an overview of your grades. Feel free to comment on this article and let us know what your experience is with developing a cheat sheet for a telephone interview. Good luck with the preparation of your sheet.

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  • Algorithm to Find the Aggregate Mass of "Granola Bar"-Like Structures?

    - by Stuart Robbins
    I'm a planetary science researcher and one project I'm working on is N-body simulations of Saturn's rings. The goal of this particular study is to watch as particles clump together under their own self-gravity and measure the aggregate mass of the clumps versus the mean velocity of all particles in the cell. We're trying to figure out if this can explain some observations made by the Cassini spacecraft during the Saturnian summer solstice when large structures were seen casting shadows on the nearly edge-on rings. Below is a screenshot of what any given timestep looks like. (Each particle is 2 m in diameter and the simulation cell itself is around 700 m across.) The code I'm using already spits out the mean velocity at every timestep. What I need to do is figure out a way to determine the mass of particles in the clumps and NOT the stray particles between them. I know every particle's position, mass, size, etc., but I don't know easily that, say, particles 30,000-40,000 along with 102,000-105,000 make up one strand that to the human eye is obvious. So, the algorithm I need to write would need to be a code with as few user-entered parameters as possible (for replicability and objectivity) that would go through all the particle positions, figure out what particles belong to clumps, and then calculate the mass. It would be great if it could do it for "each" clump/strand as opposed to everything over the cell, but I don't think I actually need it to separate them out. The only thing I was thinking of was doing some sort of N2 distance calculation where I'd calculate the distance between every particle and if, say, the closest 100 particles were within a certain distance, then that particle would be considered part of a cluster. But that seems pretty sloppy and I was hoping that you CS folks and programmers might know of a more elegant solution? Edited with My Solution: What I did was to take a sort of nearest-neighbor / cluster approach and do the quick-n-dirty N2 implementation first. So, take every particle, calculate distance to all other particles, and the threshold for in a cluster or not was whether there were N particles within d distance (two parameters that have to be set a priori, unfortunately, but as was said by some responses/comments, I wasn't going to get away with not having some of those). I then sped it up by not sorting distances but simply doing an order N search and increment a counter for the particles within d, and that sped stuff up by a factor of 6. Then I added a "stupid programmer's tree" (because I know next to nothing about tree codes). I divide up the simulation cell into a set number of grids (best results when grid size ˜7 d) where the main grid lines up with the cell, one grid is offset by half in x and y, and the other two are offset by 1/4 in ±x and ±y. The code then divides particles into the grids, then each particle N only has to have distances calculated to the other particles in that cell. Theoretically, if this were a real tree, I should get order N*log(N) as opposed to N2 speeds. I got somewhere between the two, where for a 50,000-particle sub-set I got a 17x increase in speed, and for a 150,000-particle cell, I got a 38x increase in speed. 12 seconds for the first, 53 seconds for the second, 460 seconds for a 500,000-particle cell. Those are comparable speeds to how long the code takes to run the simulation 1 timestep forward, so that's reasonable at this point. Oh -- and it's fully threaded, so it'll take as many processors as I can throw at it.

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  • 256 Worker Role 3D Rendering Demo is now a Lab on my Azure Course

    - by Alan Smith
    Ever since I came up with the crazy idea of creating an Azure application that would spin up 256 worker roles (please vote if you like it ) to render a 3D animation created using the Kinect depth camera I have been trying to think of something useful to do with it. I have also been busy working on developing training materials for a Windows Azure course that I will be delivering through a training partner in Stockholm, and for customers wanting to learn Windows Azure. I hit on the idea of combining the render demo and a course lab and creating a lab where the students would create and deploy their own mini render farms, which would participate in a single render job, consisting of 2,000 frames. The architecture of the solution is shown below. As students would be creating and deploying their own applications, I thought it would be fun to introduce some competitiveness into the lab. In the 256 worker role demo I capture the rendering statistics for each role, so it was fairly simple to include the students name in these statistics. This allowed the process monitor application to capture the number of frames each student had rendered and display a high-score table. When I demoed the application I deployed one instance that started rendering a frame every few minutes, and the challenge for the students was to deploy and scale their applications, and then overtake my single role instance by the end of the lab time. I had the process monitor running on the projector during the lab so the class could see the progress of their deployments, and how they were performing against my implementation and their classmates. When I tested the lab for the first time in Oslo last week it was a great success, the students were keen to be the first to build and deploy their solution and then watch the frames appear. As the students mostly had MSDN suspicions they were able to scale to the full 20 worker role instances and before long we had over 100 worker roles working on the animation. There were, however, a few issues who the couple of issues caused by the competitive nature of the lab. The first student to scale the application to 20 instances would render the most frames and win; there was no way for others to catch up. Also, as they were competing against each other, there was no incentive to help others on the course get their application up and running. I have now re-written the lab to divide the student into teams that will compete to render the most frames. This means that if one developer on the team can deploy and scale quickly, the other team still has a chance to catch up. It also means that if a student finishes quickly and puts their team in the lead they will have an incentive to help the other developers on their team get up and running. As I was using “Sharks with Lasers” for a lot of my demos, and reserved the sharkswithfreakinlasers namespaces for some of the Azure services (well somebody had to do it), the students came up with some creative alternatives, like “Camels with Cannons” and “Honey Badgers with Homing Missiles”. That gave me the idea for the teams having to choose a creative name involving animals and weapons. The team rendering architecture diagram is shown below.   Render Challenge Rules In order to ensure fair play a number of rules are imposed on the lab. ·         The class will be divided into teams, each team choses a name. ·         The team name must consist of a ferocious animal combined with a hazardous weapon. ·         Teams can allocate as many worker roles as they can muster to the render job. ·         Frame processing statistics and rendered frames will be vigilantly monitored; any cheating, tampering, and other foul play will result in penalties. The screenshot below shows an example of the team render farm in action, Badgers with Bombs have taken a lead over Camels with Cannons, and both are  leaving the Sharks with Lasers standing. If you are interested in attending a scheduled delivery of my Windows Azure or Windows Azure Service bus courses, or would like on-site training, more details are here.

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