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  • Dragging an UIView inside UIScrollView

    - by Sergey Mikhanov
    Hello community! I am trying to solve a basic problem with drag and drop on iPhone. Here's my setup: I have a UIScrollView which has one large content subview (I'm able to scroll and zoom it) Content subview has several small tiles as subviews that should be dragged around inside it. My UIScrollView subclass has this method: - (UIView *)hitTest:(CGPoint)point withEvent:(UIEvent *)event { UIView *tile = [contentView pointInsideTiles:[self convertPoint:point toView:contentView] withEvent:event]; if (tile) { return tile; } else { return [super hitTest:point withEvent:event]; } } Content subview has this method: - (UIView *)pointInsideTiles:(CGPoint)point withEvent:(UIEvent *)event { for (TileView *tile in tiles) { if ([tile pointInside:[self convertPoint:point toView:tile] withEvent:event]) return tile; } return nil; } And tile view has this method: - (void)touchesMoved:(NSSet*)touches withEvent:(UIEvent*)event { UITouch *touch = [touches anyObject]; CGPoint location = [touch locationInView:self.superview]; self.center = location; } This works, but not fully correct: the tile sometimes "falls down" during the drag process. More precisely, it stops receiving touchesMoved: invocations, and scroll view starts scrolling instead. I noticed that this depends on the drag speed: the faster I drag, the quicker the tile "falls". Any ideas on how to keep the tile glued to the dragging finger? Thanks in advance!

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  • Pong: How does the paddle know where the ball will hit?

    - by Roflcoptr
    After implementing Pacman and Snake I'm implementing the next very very classic game: Pong. The implementation is really simple, but I just have one little problem remaining. When one of the paddle (I'm not sure if it is called paddle) is controlled by the computer, I have trouble to position it at the correct position. The ball has a current position, a speed (which for now is constant) and a direction angle. So I could calculate the position where it will hit the side of the computer controlled paddle. And so Icould position the paddle right there. But however in the real game, there is a probability that the computer's paddle will miss the ball. How can I implement this probability? If I only use a probability of lets say 0.5 that the computer's paddle will hit the ball, the problem is solved, but I think it isn't that simple. From the original game I think the probability depends on the distance between the current paddle position and the position the ball will hit the border. Does anybody have any hints how exactly this is calculated?

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  • Best Practice - Removing item from generic collection in C#

    - by Matt Davis
    I'm using C# in Visual Studio 2008 with .NET 3.5. I have a generic dictionary that maps types of events to a generic list of subscribers. A subscriber can be subscribed to more than one event. private static Dictionary<EventType, List<ISubscriber>> _subscriptions; To remove a subscriber from the subscription list, I can use either of these two options. Option 1: ISubscriber subscriber; // defined elsewhere foreach (EventType event in _subscriptions.Keys) { if (_subscriptions[event].Contains(subscriber)) { _subscriptions[event].Remove(subscriber); } } Option 2: ISubscriber subscriber; // defined elsewhere foreach (EventType event in _subscriptions.Keys) { _subscriptions[event].Remove(subscriber); } I have two questions. First, notice that Option 1 checks for existence before removing the item, while Option 2 uses a brute force removal since Remove() does not throw an exception. Of these two, which is the preferred, "best-practice" way to do this? Second, is there another, "cleaner," more elegant way to do this, perhaps with a lambda expression or using a LINQ extension? I'm still getting acclimated to these two features. Thanks. EDIT Just to clarify, I realize that the choice between Options 1 and 2 is a choice of speed (Option 2) versus maintainability (Option 1). In this particular case, I'm not necessarily trying to optimize the code, although that is certainly a worthy consideration. What I'm trying to understand is if there is a generally well-established practice for doing this. If not, which option would you use in your own code?

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  • Which is the best jQuery-powered site?

    - by Reigel
    This "Top 10 JavaScript (jQuery) Powered Sites", posted about 2 years ago, was the one that invites me(after seeing the list) to use jQuery. All the sites in that list made me realize how cool it is to build sites powered by jQuery. And now more and more sites are being powered by jQuery. More and more developers are learning jQuery. Two years have past now but I still do a search to google for best sites and still got me to that link and which the link is not updated from the first time I have looked at it. Here at stackoverflow, there are lots of jQuery user. I was thinking if we can here show some of the sites that you know that is powered by jQuery which you think is best. If you can, please make it one site one answer, so that we can make a vote if it's really best jQuery powered site. We will take a look if it is really well implemented ( the way the codes are written, fast speed site, etc...) and deserves to be the best. Lot's of viewers will benefit from it. Like, we can view and have an idea of how we will make our next project cooler, faster, and powerful.

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  • DAL Layer : EF 4.0 or Normal Data access layer with Stored Procedure

    - by Harryboy
    Hello Experts, Application : I am working on one mid-large size application which will be used as a product, we need to decide on our DAL layer. Application UI is in Silverlight and DAL layer is going to be behind service layer. We are also moving ahead with domain model, so our DB tables and domain classes are not having same structure. So patterns like Data Mapper and Repository will definitely come into picture. I need to design DAL Layer considering below mentioned factors in priority manner Speed of Development with above average performance Maintenance Future support and stability of the technology Performance Limitation : 1) As we need to strictly go ahead with microsoft, we can not use NHibernate or any other ORM except EF 4.0 2) We can use any code generation tool (Should be Open source or very cheap) but it should only generate code in .Net, so there would not be any licensing issue on per copy basis. Questions I read so many articles about EF 4.0, on outset it looks like that it is still lacking in features from NHibernate but it is considerably better then EF 1.0 So, Do you people feel that we should go ahead with EF 4.0 or we should stick to ADO .Net and use any code geneartion tool like code smith or any other you feel best Also i need to answer questions like what time it will take to port application from EF 4.0 to ADO .Net if in future we stuck up with EF 4.0 for some features or we are having serious performance issue. In reverse case if we go ahead and choose ADO .Net then what time it will take to swith to EF 4.0 Lastly..as i was going through the article i found the code only approach (with POCO classes) seems to be best suited for our requirement as switching is really easy from one technology to other. Please share your thoughts on the same and please guide on the above questions

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  • A better python property decorator

    - by leChuck
    I've inherited some python code that contains a rather cryptic decorator. This decorator sets properties in classes all over the project. The problem is that this I have traced my debugging problems to this decorator. Seems it "fubars" all debuggers I've tried and trying to speed up the code with psyco breaks everthing. (Seems psyco and this decorator dont play nice). I think it would be best to change it. def Property(function): """Allow readable properties""" keys = 'fget', 'fset', 'fdel' func_locals = {'doc':function.__doc__} def probeFunc(frame, event, arg): if event == 'return': locals = frame.f_locals func_locals.update(dict((k,locals.get(k)) for k in keys)) sys.settrace(None) return probeFunc sys.settrace(probeFunc) function() return property(**func_locals) Used like so: class A(object): @Property def prop(): def fget(self): return self.__prop def fset(self, value): self.__prop = value ... ect The errors I get say the problems are because of sys.settrace. (Perhaps this is abuse of settrace ?) My question: Is the same decorator achievable without sys.settrace. If not I'm in for some heavy rewrites.

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  • Can Haskell's Parsec library be used to implement a recursive descent parser with backup?

    - by Thor Thurn
    I've been considering using Haskell's Parsec parsing library to parse a subset of Java as a recursive descent parser as an alternative to more traditional parser-generator solutions like Happy. Parsec seems very easy to use, and parse speed is definitely not a factor for me. I'm wondering, though, if it's possible to implement "backup" with Parsec, a technique which finds the correct production to use by trying each one in turn. For a simple example, consider the very start of the JLS Java grammar: Literal: IntegerLiteral FloatingPointLiteral I'd like a way to not have to figure out how I should order these two rules to get the parse to succeed. As it stands, a naive implementation like this: literal = do { x <- try (do { v <- integer; return (IntLiteral v)}) <|> (do { v <- float; return (FPLiteral v)}); return(Literal x) } Will not work... inputs like "15.2" will cause the integer parser to succeed first, and then the whole thing will choke on the "." symbol. In this case, of course, it's obvious that you can solve the problem by re-ordering the two productions. In the general case, though, finding things like this is going to be a nightmare, and it's very likely that I'll miss some cases. Ideally, I'd like a way to have Parsec figure out stuff like this for me. Is this possible, or am I simply trying to do too much with the library? The Parsec documentation claims that it can "parse context-sensitive, infinite look-ahead grammars", so it seems like something like I should be able to do something here.

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  • Which linear programming package should I use for high numbers of constraints and "warm starts"

    - by davidsd
    I have a "continuous" linear programming problem that involves maximizing a linear function over a curved convex space. In typical LP problems, the convex space is a polytope, but in this case the convex space is piecewise curved -- that is, it has faces, edges, and vertices, but the edges aren't straight and the faces aren't flat. Instead of being specified by a finite number of linear inequalities, I have a continuously infinite number. I'm currently dealing with this by approximating the surface by a polytope, which means discretizing the continuously infinite constraints into a very large finite number of constraints. I'm also in the situation where I'd like to know how the answer changes under small perturbations to the underlying problem. Thus, I'd like to be able to supply an initial condition to the solver based on a nearby solution. I believe this capability is called a "warm start." Can someone help me distinguish between the various LP packages out there? I'm not so concerned with user-friendliness as speed (for large numbers of constraints), high-precision arithmetic, and warm starts. Thanks!

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  • Images in database vs file system

    - by Jesse
    We have a project coming up where we will be building a whole backend CMS system that will power our entire extranet and intranet with one package. The question I have been trying to find an answer to is which is better: storing images in the database (SQL Server 2005) so we may have integrity, single replication plan, etc OR storing on the file system? One issue we have is that we have multiple servers load balanced that require to have the same data at all times. As of now we have SQL replication taking care of that but file replication seems to be a little tougher. Another concern we have is that we would like to have multiple resolutions of the same image, we are not sure if creating and storing each version on the file system would be best or maybe dynamically pulling and creating the resolution image we would like upon request. Our concerns are the with the following: Data integrity Data replication Multiple resolutions Speed of database vs file system Overhead load of database vs file system Data management and backup Does anyone have a similar situation or have any input on what would be recommended? Thanks in advance for the help!

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  • SQL Server insert performance

    - by Jose
    I have an insert query that gets generated like this INSERT INTO InvoiceDetail (LegacyId,InvoiceId,DetailTypeId,Fee,FeeTax,Investigatorid,SalespersonId,CreateDate,CreatedById,IsChargeBack,Expense,RepoAgentId,PayeeName,ExpensePaymentId,AdjustDetailId) VALUES(1,1,2,1500.0000,0.0000,163,1002,'11/30/2001 12:00:00 AM',1116,0,550.0000,850,NULL,@ExpensePay1,NULL); DECLARE @InvDetail1 INT; SET @InvDetail1 = (SELECT @@IDENTITY); This query is generated for only 110K rows. It takes 30 minutes for all of these query's to execute I checked the query plan and the largest % nodes are A Clustered Index Insert at 57% query cost which has a long xml that I don't want to post. A Table Spool which is 38% query cost <RelOp AvgRowSize="35" EstimateCPU="5.01038E-05" EstimateIO="0" EstimateRebinds="0" EstimateRewinds="0" EstimateRows="1" LogicalOp="Eager Spool" NodeId="80" Parallel="false" PhysicalOp="Table Spool" EstimatedTotalSubtreeCost="0.0466109"> <OutputList> <ColumnReference Database="[SkipPro]" Schema="[dbo]" Table="[InvoiceDetail]" Column="InvoiceId" /> <ColumnReference Database="[SkipPro]" Schema="[dbo]" Table="[InvoiceDetail]" Column="InvestigatorId" /> <ColumnReference Column="Expr1054" /> <ColumnReference Column="Expr1055" /> </OutputList> <Spool PrimaryNodeId="3" /> </RelOp> So my question is what is there that I can do to improve the speed of this thing? I already run ALTER TABLE TABLENAME NOCHECK CONSTRAINTS ALL Before the queries and then ALTER TABLE TABLENAME NOCHECK CONSTRAINTS ALL after the queries. And that didn't shave off hardly anything off of the time. Know I am running these queries in a .NET application that uses a SqlCommand object to send the query. I then tried to output the sql commands to a file and then execute it using sqlcmd, but I wasn't getting any updates on how it was doing, so I gave up on that. Any ideas or hints or help?

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  • Haskell math performance

    - by Travis Brown
    I'm in the middle of porting David Blei's original C implementation of Latent Dirichlet Allocation to Haskell, and I'm trying to decide whether to leave some of the low-level stuff in C. The following function is one example—it's an approximation of the second derivative of lgamma: double trigamma(double x) { double p; int i; x=x+6; p=1/(x*x); p=(((((0.075757575757576*p-0.033333333333333)*p+0.0238095238095238) *p-0.033333333333333)*p+0.166666666666667)*p+1)/x+0.5*p; for (i=0; i<6 ;i++) { x=x-1; p=1/(x*x)+p; } return(p); } I've translated this into more or less idiomatic Haskell as follows: trigamma :: Double -> Double trigamma x = snd $ last $ take 7 $ iterate next (x' - 1, p') where x' = x + 6 p = 1 / x' ^ 2 p' = p / 2 + c / x' c = foldr1 (\a b -> (a + b * p)) [1, 1/6, -1/30, 1/42, -1/30, 5/66] next (x, p) = (x - 1, 1 / x ^ 2 + p) The problem is that when I run both through Criterion, my Haskell version is six or seven times slower (I'm compiling with -O2 on GHC 6.12.1). Some similar functions are even worse. I know practically nothing about Haskell performance, and I'm not terribly interested in digging through Core or anything like that, since I can always just call the handful of math-intensive C functions through FFI. But I'm curious about whether there's low-hanging fruit that I'm missing—some kind of extension or library or annotation that I could use to speed up this numeric stuff without making it too ugly.

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  • Fastest way to generate delimited string from 1d numpy array

    - by Abiel
    I have a program which needs to turn many large one-dimensional numpy arrays of floats into delimited strings. I am finding this operation quite slow relative to the mathematical operations in my program and am wondering if there is a way to speed it up. For example, consider the following loop, which takes 100,000 random numbers in a numpy array and joins each array into a comma-delimited string. import numpy as np x = np.random.randn(100000) for i in range(100): ",".join(map(str, x)) This loop takes about 20 seconds to complete (total, not each cycle). In contrast, consider that 100 cycles of something like elementwise multiplication (x*x) would take than one 1/10 of a second to complete. Clearly the string join operation creates a large performance bottleneck; in my actual application it will dominate total runtime. This makes me wonder, is there a faster way than ",".join(map(str, x))? Since map() is where almost all the processing time occurs, this comes down to the question of whether there a faster to way convert a very large number of numbers to strings.

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  • Why is curl in Ruby slower than command-line curl?

    - by Stiivi
    I am trying to download more than 1m pages (URLs ending by a sequence ID). I have implemented kind of multi-purpose download manager with configurable number of download threads and one processing thread. The downloader downloads files in batches: curl = Curl::Easy.new batch_urls.each { |url_info| curl.url = url_info[:url] curl.perform file = File.new(url_info[:file], "wb") file << curl.body_str file.close # ... some other stuff } I have tried to download 8000 pages sample. When using the code above, I get 1000 in 2 minutes. When I write all URLs into a file and do in shell: cat list | xargs curl I gen all 8000 pages in two minutes. Thing is, I need it to have it in ruby code, because there is other monitoring and processing code. I have tried: Curl::Multi - it is somehow faster, but misses 50-90% of files (does not download them and gives no reason/code) multiple threads with Curl::Easy - around the same speed as single threaded Why is reused Curl::Easy slower than subsequent command line curl calls and how can I make it faster? Or what I am doing wrong? I would prefer to fix my download manager code than to make downloading for this case in a different way. Before this, I was calling command-line wget which I provided with a file with list of URLs. Howerver, not all errors were handled, also it was not possible to specify output file for each URL separately when using URL list. Now it seems to me that the best way would be to use multiple threads with system call to 'curl' command. But why when I can use directly Curl in Ruby? Code for the download manager is here, if it might help: Download Manager (I have played with timeouts, from not-setting it to various values, it did not seem help) Any hints appreciated.

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  • How to Manage CSS Explosion

    - by Jason
    I have been heavily relying on CSS for a website that I am working on (currently, everything is done as property values within each tag on the website and I'm trying to get away from that to make updates significantly easier). The problem I am running into, is I'm starting to get a bit of "CSS explosion" going on. It is becoming difficult for me to decide how to best organize and abstract data within the CSS file. For example: I am using a large number of div tags within the website (previously it was completely tables based). So I'm starting to get a lot of CSS that looks like this... div.title { background-color: Blue; color: White; text-align: center; } div.footer { /* Stuff Here */ } div.body { /* Stuff Here */ } etc. It's not too bad yet, but since I am learning here, I was wondering if recommendations could be made on how best to organize the various parts of a CSS file. What I don't want to get to is where I have a separate CSS attribute for every single thing on my website (which I have seen happen), and I always want the CSS file to be fairly intuitive. (P.S. I do realize this is a very generic, high-level question. My ultimate goal is to make it easy to use the CSS files and demonstrate their power to increase the speed of web development so other individuals that may work on this site in the future will also get into the practice of using them rather than hard-coding values everywhere.)

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  • Self-describing file format for gigapixel images?

    - by Adam Goode
    In medical imaging, there appears to be two ways of storing huge gigapixel images: Use lots of JPEG images (either packed into files or individually) and cook up some bizarre index format to describe what goes where. Tack on some metadata in some other format. Use TIFF's tile and multi-image support to cleanly store the images as a single file, and provide downsampled versions for zooming speed. Then abuse various TIFF tags to store metadata in non-standard ways. Also, store tiles with overlapping boundaries that must be individually translated later. In both cases, the reader must understand the format well enough to understand how to draw things and read the metadata. Is there a better way to store these images? Is TIFF (or BigTIFF) still the right format for this? Does XMP solve the problem of metadata? The main issues are: Storing images in a way that allows for rapid random access (tiling) Storing downsampled images for rapid zooming (pyramid) Handling cases where tiles are overlapping or sparse (scanners often work by moving a camera over a slide in 2D and capturing only where there is something to image) Storing important metadata, including associated images like a slide's label and thumbnail Support for lossy storage What kind of (hopefully non-proprietary) formats do people use to store large aerial photographs or maps? These images have similar properties.

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  • Link checker ; how to avoid false positives

    - by Burnzy
    I'm working a on a link checker/broken link finder and I am getting many false positives, after double checking I noticed that many error codes were returning webexceptions but they were actually downloadable, but in some other cases the statuscode is 404 and i can access the page from the browse. So here is the code, its pretty ugly, and id like to have something more, id say practical. All the status codes are in that big if are used to filter the ones i dont want to add to brokenlink because they are valid links ( i tested them all ). What i need to fix is the structure (if possible) and how to not get false 404. Thank you! try { HttpWebRequest request = ( HttpWebRequest ) WebRequest.Create ( uri ); request.Method = "Head"; request.MaximumResponseHeadersLength = 32; // FOR IE SLOW SPEED request.AllowAutoRedirect = true; using ( HttpWebResponse response = ( HttpWebResponse ) request.GetResponse() ) { request.Abort(); } /* WebClient wc = new WebClient(); wc.DownloadString( uri ); */ _validlinks.Add ( strUri ); } catch ( WebException wex ) { if ( !wex.Message.Contains ( "The remote name could not be resolved:" ) && wex.Status != WebExceptionStatus.ServerProtocolViolation ) { if ( wex.Status != WebExceptionStatus.Timeout ) { HttpStatusCode code = ( ( HttpWebResponse ) wex.Response ).StatusCode; if ( code != HttpStatusCode.OK && code != HttpStatusCode.BadRequest && code != HttpStatusCode.Accepted && code != HttpStatusCode.InternalServerError && code != HttpStatusCode.Forbidden && code != HttpStatusCode.Redirect && code != HttpStatusCode.Found ) { _brokenlinks.Add ( new Href ( new Uri ( strUri , UriKind.RelativeOrAbsolute ) , UrlType.External ) ); } else _validlinks.Add ( strUri ); } else _brokenlinks.Add ( new Href ( new Uri ( strUri , UriKind.RelativeOrAbsolute ) , UrlType.External ) ); } else _validlinks.Add ( strUri ); }

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  • need a near 100% uptime third-party web-accesible hosting for static web resources

    - by Jared Henderson
    I hope this makes sense: my business sells a website template, we currently have about 10,000 users. For various reasons that are unimportant to this question, I try to keep the file size of the zipped template we give them as small as possible. Because of this, I have taken a bunch of images and a couple of static files used by the template and moved them to external hosting. They are referenced by absolute URL in the css and markup, instead of shipping all of those images and files with every template. So, basically 10,000+ and growing users are requesting images and files from a third-party host. I don't use my own webhosting for this because I still kind of use a medium-cheap shared hosting for my website, and if it goes down, 10,000+ users are potentially effected. Currently I'm having the template directly access files inside of an open-source google-code project that I created for just this purpose. But, that seems like a bastardization of what a google-code repository is for, and plus, google code (i've found out) often spews 502 bad gateway errors for hours at a time. So, anyway, my question is: where is the right kind of place to host these? Obviously I'm willing to pay. My main needs are speed and uptime, since the images and files are being requested from thousands of different websites every day. Is this something that I should use Amazon S3 for? I'm guessing there's some kind of service exactly for this kind of need, but I'm at a loss to figure out what it is.

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  • How to access C arrays from assembler for Windows x64?

    - by 0xdword32
    I've written an assembler function to speed up a few things for image processing (images are created with CreateDIBSection). For Win32 the assembler code works without problems, but for Win64 I get a crash as soon as I try to access my array data. I put the relevant info in a struct and my assembler function gets a pointer to this struct. The struct pointer is put into ebx/rbx and with indexing I read the data from the struct. Any idea what I am doing wrong? I use nasm together with Visual Studio 2008 and for Win64 I set "default rel". C++ code: struct myData { tUInt32 ulParam1; void* pData; }; CallMyAssemblerFunction(&myData); Assembler Code: Win32: ... push ebp; mov ebp,esp mov ebx, [ebp + 8]; pointer to our struct mov eax, [ebx]; ulParam1 mov esi, [ebx + 4]; pData, 4 byte pointer movd xmm0, [esi]; ... Win64: ... mov rbx, rcx; pointer to our struct mov eax, [rbx]; ulParam1 mov rsi, [rbx + 4]; pData, 8 byte pointer movd xmm0, [rsi]; CRASH! ...

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  • How can I make this method more Scalalicious

    - by Neil Chambers
    I have a function that calculates the left and right node values for some collection of treeNodes given a simple node.id, node.parentId association. It's very simple and works well enough...but, well, I am wondering if there is a more idiomatic approach. Specifically is there a way to track the left/right values without using some externally tracked value but still keep the tasty recursion. /* * A tree node */ case class TreeNode(val id:String, val parentId: String){ var left: Int = 0 var right: Int = 0 } /* * a method to compute the left/right node values */ def walktree(node: TreeNode) = { /* * increment state for the inner function */ var c = 0 /* * A method to set the increment state */ def increment = { c+=1; c } // poo /* * the tasty inner method * treeNodes is a List[TreeNode] */ def walk(node: TreeNode): Unit = { node.left = increment /* * recurse on all direct descendants */ treeNodes filter( _.parentId == node.id) foreach (walk(_)) node.right = increment } walk(node) } walktree(someRootNode) Edit - The list of nodes is taken from a database. Pulling the nodes into a proper tree would take too much time. I am pulling a flat list into memory and all I have is an association via node id's as pertains to parents and children. Adding left/right node values allows me to get a snapshop of all children (and childrens children) with a single SQL query. The calculation needs to run very quickly in order to maintain data integrity should parent-child associations change (which they do very frequently). In addition to using the awesome Scala collections I've also boosted speed by using parallel processing for some pre/post filtering on the tree nodes. I wanted to find a more idiomatic way of tracking the left/right node values. After looking at the answers listed I have settled on this synthesised version: def walktree(node: TreeNode) = { def walk(node: TreeNode, counter: Int): Int = { node.left = counter node.right = treeNodes .filter( _.parentId == node.id) .foldLeft(counter+1) { (counter, curnode) => walk(curnode, counter) + 1 } node.right } walk(node,1) }

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  • Dependency between operations in scala actors

    - by paradigmatic
    I am trying to parallelise a code using scala actors. That is my first real code with actors, but I have some experience with Java Mulithreading and MPI in C. However I am completely lost. The workflow I want to realise is a circular pipeline and can be described as the following: Each worker actor has a reference to another one, thus forming a circle There is a coordinator actor which can trigger a computation by sending a StartWork() message When a worker receives a StartWork() message, it process some stuff locally and sends DoWork(...) message to its neighbour in the circle. The neighbours do some other stuff and sends in turn a DoWork(...) message to its own neighbour. This continues until the initial worker receives a DoWork() message. The coordinator can send a GetResult() message to the initial worker and wait for a reply. The point is that the coordinator should only receive a result when data is ready. How can a worker wait that the job returned to it before answering the GetResult() message ? To speed up computation, any worker can receive a StartWork() at any time. Here is my first try pseudo-implementation of the worker: class Worker( neighbor: Worker, numWorkers: Int ) { var ready = Foo() def act() { case StartWork() => { val someData = doStuff() neighbor ! DoWork( someData, numWorkers-1 ) } case DoWork( resultData, remaining ) => if( remaining == 0 ) { ready = resultData } else { val someOtherData = doOtherStuff( resultData ) neighbor ! DoWork( someOtherData, remaining-1 ) } case GetResult() => reply( ready ) } } On the coordinator side: worker ! StartWork() val result = worker !? GetResult() // should wait

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  • is mysql index useful on column 'state' when only doing bit-operations on the column?

    - by Geert-Jan
    I have a lot of domain entities (stored in mysql) which undergo lots of different operations. Each operation is executed from a different program. I need to keep (flow)-state for these entities which I implemented in as a long field 'flowstate' used as a bitset. to query mysql for entities which have undergone a certain operation I do something like: select * from entities where state >> 7 & 1 = 1 Indicating bit 7 (cooresponding to operation 7) has run. (<-- simplified) Anyway, I really didn't pay attention to the performance implications of this setup in the beginning, and I think I'm in a bit of trouble since queries as the above run pretty slow. What I'd like to know: Does an mysql index on 'flowstate' help at all? After all it's not a single value Mysql can quickly find using a binary sort or whatever. If it doesn't, are there any other things I could do to speed things up? . Are there special 'mask-indices' for fields with use-cases as the above? TIA, Geert-jan

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  • Performance degrades for more than 2 threads on Xeon X5355

    - by zoolii
    Hi All, I am writing an application using boost threads and using boost barriers to synchronize the threads. I have two machines to test the application. Machine 1 is a core2 duo (T8300) cpu machine (windows XP professional - 4GB RAM) where I am getting following performance figures : Number of threads :1 , TPS :21 Number of threads :2 , TPS :35 (66 % improvement) further increase in number of threads decreases the TPS but that is understandable as the machine has only two cores. Machine 2 is a 2 quad core ( Xeon X5355) cpu machine (windows 2003 server with 4GB RAM) and has 8 effective cores. Number of threads :1 , TPS :21 Number of threads :2 , TPS :27 (28 % improvement) Number of threads :4 , TPS :25 Number of threads :8 , TPS :24 As you can see, performance is degrading after 2 threads (though it has 8 cores). If the program has some bottle neck , then for 2 thread also it should have degraded. Any idea? , Explanations ? , Does the OS has some role in performance ? - It seems like the Core2duo (2.4GHz) scales better than Xeon X5355 (2.66GHz) though it has better clock speed. Thank you -Zoolii

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  • ConcurrentLinkedQueue$Node remains in heap after remove()

    - by action8
    I have a multithreaded app writing and reading a ConcurrentLinkedQueue, which is conceptually used to back entries in a list/table. I originally used a ConcurrentHashMap for this, which worked well. A new requirement required tracking the order entries came in, so they could be removed in oldest first order, depending on some conditions. ConcurrentLinkedQueue appeared to be a good choice, and functionally it works well. A configurable amount of entries are held in memory, and when a new entry is offered when the limit is reached, the queue is searched in oldest-first order for one that can be removed. Certain entries are not to be removed by the system and wait for client interaction. What appears to be happening is I have an entry at the front of the queue that occurred, say 100K entries ago. The queue appears to have the limited number of configured entries (size() == 100), but when profiling, I found that there were ~100K ConcurrentLinkedQueue$Node objects in memory. This appears to be by design, just glancing at the source for ConcurrentLinkedQueue, a remove merely removes the reference to the object being stored but leaves the linked list in place for iteration. Finally my question: Is there a "better" lazy way to handle a collection of this nature? I love the speed of the ConcurrentLinkedQueue, I just cant afford the unbounded leak that appears to be possible in this case. If not, it seems like I'd have to create a second structure to track order and may have the same issues, plus a synchronization concern.

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  • linux new/delete, malloc/free large memory blocks

    - by brian_mk
    Hi folks, We have a linux system (kubuntu 7.10) that runs a number of CORBA Server processes. The server software uses glibc libraries for memory allocation. The linux PC has 4G physical memory. Swap is disabled for speed reasons. Upon receiving a request to process data, one of the server processes allocates a large data buffer (using the standard C++ operator 'new'). The buffer size varies depening upon a number of parameters but is typically around 1.2G Bytes. It can be up to about 1.9G Bytes. When the request has completed, the buffer is released using 'delete'. This works fine for several consecutive requests that allocate buffers of the same size or if the request allocates a smaller size than the previous. The memory appears to be free'd ok - otherwise buffer allocation attempts would eventually fail after just a couple of requests. In any case, we can see the buffer memory being allocated and freed for each request using tools such as KSysGuard etc. The problem arises when a request requires a buffer larger than the previous. In this case, operator 'new' throws an exception. It's as if the memory that has been free'd from the first allocation cannot be re-allocated even though there is sufficient free physical memory available. If I kill and restart the server process after the first operation, then the second request for a larger buffer size succeeds. i.e. killing the process appears to fully release the freed memory back to the system. Can anyone offer an explanation as to what might be going on here? Could it be some kind of fragmentation or mapping table size issue? I am thinking of replacing new/delete with malloc/free and use mallopt to tune the way the memory is being released to the system. BTW - I'm not sure if it's relevant to our problem, but the server uses Pthreads that get created and destroyed on each processing request. Cheers, Brian.

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  • Use a vector to index a matrix without linear index

    - by David_G
    G'day, I'm trying to find a way to use a vector of [x,y] points to index from a large matrix in MATLAB. Usually, I would convert the subscript points to the linear index of the matrix.(for eg. Use a vector as an index to a matrix in MATLab) However, the matrix is 4-dimensional, and I want to take all of the elements of the 3rd and 4th dimensions that have the same 1st and 2nd dimension. Let me hopefully demonstrate with an example: Matrix = nan(4,4,2,2); % where the dimensions are (x,y,depth,time) Matrix(1,2,:,:) = 999; % note that this value could change in depth (3rd dim) and time (4th time) Matrix(3,4,:,:) = 888; % note that this value could change in depth (3rd dim) and time (4th time) Matrix(4,4,:,:) = 124; Now, I want to be able to index with the subscripts (1,2) and (3,4), etc and return not only the 999 and 888 which exist in Matrix(:,:,1,1) but the contents which exist at Matrix(:,:,1,2),Matrix(:,:,2,1) and Matrix(:,:,2,2), and so on (IRL, the dimensions of Matrix might be more like size(Matrix) = (300 250 30 200) I don't want to use linear indices because I would like the results to be in a similar vector fashion. For example, I would like a result which is something like: ans(time=1) 999 888 124 999 888 124 ans(time=2) etc etc etc etc etc etc I'd also like to add that due to the size of the matrix I'm dealing with, speed is an issue here - thus why I'd like to use subscript indices to index to the data. I should also mention that (unlike this question: Accessing values using subscripts without using sub2ind) since I want all the information stored in the extra dimensions, 3 and 4, of the i and jth indices, I don't think that a slightly faster version of sub2ind still would not cut it..

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