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  • How to structure a database with questions and answers?

    - by Andreas Johannessen
    Hi I am going to make a simple application that uses a database. I could need some guidance on how to structure it. I shall make question program. What I have in mind is. One table with questions One table with the difficulity of the question One table with the category of the question However, what do I do with the answers? Have them as seperate columns in the question-table? It sounds like a bad practice.(Also, where do I have the correct answer) Each question will have 5 answers where only one of them is correct.

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  • ASP.Net Architecture Specific to Shared/Static functions

    - by Maxim Gershkovich
    Hello All, Could someone please advise in the context of a ASP.Net application is a shared/static function common to all users? If for example you have a function Public shared function GetStockByID(StockID as Guid) as Stock Is that function common to all current users of your application? Or is the shared function only specific to the current user and shared in the context of ONLY that current user? So more specifically my question is this, besides database concurrency issues such as table locking do I need to concern myself with threading issues in shared functions in an ASP.Net application? In my head; let’s say my application namespace is MyTestApplicationNamespace. Everytime a new user connects to my site a new instance of the MyTestApplicationNamespace is created and therefore all shared functions are common to that instance and user but NOT common across multiple users. Is this correct?

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  • What should go in each MVVM triad?

    - by Harry
    OK, let's say I am creating a program that will list users contacts in a ListBox on the left side of the screen. When a user clicks on the contact, a bunch of messages or whatever appears in the main part of the window. Now my question is: how should the MVVM triads look? I have two models: Contact, and Message. The Contact model contains a list of Message models. Each ViewModel object will contain a single corresponding Model, right? And what about the Views? I have a "MainView" that is the main window, that will have things like the menu, toolbar etc. Do I put the ListBox in the MainView? My confusion is with what to put where; for example, what should the ContactView contain? Just a single instance of a contact? So the DataTemplate, ControlTemplate, context menus, styles etc for that single contact, and then just have a ListBox of them in the MainView...? Thanks.

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  • domain modeling naming problem

    - by cherouvim
    Hello There are some simple entities in an application (e.g containing only id and title) which rarely change and are being referenced by the more complex entities of the application. These are usually entities such as Country, City, Language etc. How are these called? I've used the following names for those in the past but I'm not sure which is the best way to call them: reference data lookup values dictionaries thanks

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  • Delivering activity feed items in a moderately scalable way

    - by sotangochips
    The application I'm working on has an activity feed where each user can see their friends' activity (much like Facebook). I'm looking for a moderately scalable way to show a given users' activity stream on the fly. I say 'moderately' because I'm looking to do this with just a database (Postgresql) and maybe memcached. For instance, I want this solution to scale to 200k users each with 100 friends. Currently, there is a master activity table that stores the rendered html for the given activity (Jim added a friend, George installed an application, etc.). This master activity table keeps the source user, the html, and a timestamp. Then, there's a separate ('join') table that simply keeps a pointer to the person who should see this activity in their friend feed, and a pointer to the object in the main activity table. So, if I have 100 friends, and I do 3 activities, then the join table will then grow to 300 items. Clearly this table will grow very quickly. It has the nice property, though, that fetching activity to show to a user takes a single (relatively) inexpensive query. The other option is to just keep the main activity table and query it by saying something like: select * from activity where source_user in (1, 2, 44, 2423, ... my friend list) This has the disadvantage that you're querying for users who may never be active, and as your friend list grows, this query can get slower and slower. I see the pros and the cons of both sides, but I'm wondering if some SO folks might help me weigh the options and suggest one way or they other. I'm also open to other solutions, though I'd like to keep it simple and not install something like CouchDB, etc. Many thanks!

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  • When using a HiLo ID generation strategy, what types should be used to hold Ids?

    - by UpTheCreek
    I'm asking this from a c#/NHibnernate perspective, but it's generally applicable. The concern is that the HiLo strategy goes though id's pretty quickly, and for example a low record-count table (Such as Users) is sharing from the same set of id's as a high record-count table (Such as comments). So you can potentially get to high numbers quicker that with other strategies. So what do people recommend? Code side: int/uint/long/ulong? DBSide: int/bigint? My feeling is to go with longs and bigingts, but would like a sanity check :)

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  • Which fieldtype is best for storing PRICE values?

    - by BerggreenDK
    Hi there I am wondering whats the best "price field" in MSSQL for a shoplike structure? Looking at this overview: http://www.teratrax.com/sql_guide/data_types/sql_server_data_types.html We have datatypes called money, smallmoney, then we have decimal/numeric and lastly float and real Name, memory/disk-usage and value ranges: Money: 8 bytes (values: -922,337,203,685,477.5808 to +922,337,203,685,477.5807) Smallmoney: 4 bytes (values: -214,748.3648 to +214,748.3647) Decimal: 9 [default, min. 5] bytes (values: -10^38 +1 to 10^38 -1 ) Float: 8 bytes (values: -1.79E+308 to 1.79E+308 ) Real: 4 bytes (values: -3.40E+38 to 3.40E+38 ) My question is: is it really wise to store pricevalues in those types? what about eg. INT? Int: 4 bytes (values: -2,147,483,648 to 2,147,483,647) Lets say a shop uses dollars, they have cents, but I dont see prices being $49.2142342 so the use of a lot of decimals showing cents seems waste of SQL bandwidth. Secondly, most shops wouldn't show any prices near 200.000.000 (not in normal webshops at least... unless someone is trying to sell me a famous tower in Paris) So why not go for an int? An int is fast, its only 4 bytes and you can easily make decimals, by saving values in cents instead of dollars and then divide when you present the values. The other approach would be to use smallmoney which is 4 bytes too, but this will require the math part of the CPU to do the calc, where as Int is integer power... on the downside you will need to divide every single outcome. Are there any "currency" related problems with regionalsettings when using smallmoney/money fields? what will these transfer too in C#/.NET ? Any pros/cons? Go for integer prices or smallmoney or some other? Whats does your experience tell?

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  • Saving an IP adddress to DB

    - by Mark
    I want to save a user's IP address to my database just in case any legal issues come up and we need to track down who performed what action. Since I highly doubt I will ever actually need to use this data (well, maybe for counting unique hits or something) do you think I can just dump the REMOTE_ADDR into a field? If so, what should the length of that field be? 39 chars should fit an IPv6 address, no? I don't know if I'll ever get any of those, but just in case...

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  • How to structure (normalize?) a database of physical parameters?

    - by Arrieta
    Hello: I have a collection of physical parameters associated with different items. For example: Item, p1, p2, p3 a, 1, 2, 3 b, 4, 5, 6 [...] where px stands for parameter x. I could go ahead and store the database exactly as presented; the schema would be CREATE TABLE t1 (item TEXT PRIMARY KEY, p1 FLOAT, p2 FLOAT, p3 FLOAT); I could retrieve the parameter p1 for all the items with the statement: SELECT p1 FROM t1; A second alternative is to have an schema like: CREATE TABLE t1 (id INT PRIMARY KEY, item TEXT, par TEXT, val FLOAT) This seems much simpler if you have many parameters (as I do). However, the parameter retrieval seems very awkward: SELECT val FROM t1 WHERE par == 'p1' What do you advice? Should go for the "pivoted" (first) version or the id, par, val (second) version? Many thanks.

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  • What are the lengths/limits C preprocessor as a language creation tool? Where can I learn more about

    - by Weston C
    In his FAQ @ http://www2.research.att.com/~bs/bs_faq.html#bootstrapping, Bjarne Stroustrup says: To build [Cfront, the first C++ compiler], I first used C to write a "C with Classes"-to-C preprocessor. "C with Classes" was a C dialect that became the immediate ancestor to C++... I then wrote the first version of Cfront in "C with Classes". When I read this, it piqued my interest in the C preprocessor. I'd seen its macro capabilities as suitable for simplifying common expressions but hadn't thought about its ability to significantly add to syntax and semantics on the level that I imagine bringing classes to C took. So now I have a couple of questions on my mind: 1) Are there other examples of this approach to bootstrapping a language off of C? 2) Is the source to Stroustrup's original work available anywhere? 3) Where could I learn more about the specifics of utilizing this technique? 4) What are the lengths/limits of that approach? Could one, say, create a set of preprocessor macros that let someone write in something significantly Lisp/Scheme like?

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  • Database structure for storing Bank-like accounts and transactions

    - by user1241320
    We're in the process of adding a bank-like sub-system to our own shop. We already have customers, so each will be given a sort of account and transactions of some kind will be possible (adding to the account or subtracting from it). So we at least need the account entity, the transaction one and operations will then have to recalculate overall balances. How would you structure your database to handle this? Is there any standard bank system have to use that I could mock? By the way, we're on mysql but will also look at some nosql solution for performance boost.

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  • Is there such a thing as a converter from php to html?

    - by 0plus1
    Don't think that I'm mad, I understand how php works! That being said. I develop personal website and I usually take advantage of php to avoid repetion during the development phase nothing truly dynamic, only includes for the menus, a couple of foreach and the likes. When the development phase ends I need to give the website in html files to the client. Is there a tool (crawler?) that can do this for me instead of visiting each page and saving the interpreted html?

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  • How to export data which are mapped to enumerations

    - by Joshua
    I have a set of data which needs to be imported from a excel sheet, lets take the simplest example. Note: the data might eventually support uploading any locale. e.g. assuming one of the fields denoting a user is gender mapped to an enumeration and stored in the database as 0 for male and 1 for female. 0 and 1 being short values. If I have to import the values I cannot expect the user to punch in numbers (since they are not intuitive and is cumbersome when the enumerations are bigger), what would be the correct way to map to enumerations. Should we ask them to provide a string value in these cases (e.g. male or female) and provide the transformation to a enum in our code by wring a method public static Gender Gender.fromString(String value)

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  • HTML-like GUI Framework in Java

    - by wintermute
    I was recently brought onto a project where we are developing a lot GUI elements for BlackBerry devices. The standard RIM APIs are pretty basic, almost never do what is required and are difficult or impossible to extend, so we end up re-implementing chunks of it. Currently the code we have isn't super organized and factored so there are lots of little tricks that get implemented over and over again. I had a thought about how to aid development efforts on this platform and wanted to see if the community could tell me if I'm still sane or if I've gone totally nuts. By far, the biggest organizational problem I've run into is making sure that each screen is laid out properly with proper padding and such. The current approach is to manually keep track of padding like so: protected void sublayout(int width, int height) { final int padding = 5; int y = padding; int x = padding; layoutChild(_someChild, width - padding * 2, height / 3 - padding * 2); setPositionChild(_someChild, x, y); y += _someChild.getHeight() + padding; // Calculate where to start drawing next. /* ... snipped ... */ } As you can see, positioning elements on a screen is a nightmare due to the tedium. I have investigated other GUI frameworks but, for a variety of reasons, it is difficult to find one that suites our purposes. One potential solution that came to me is to create a GUI framework who's API resembles HTML/CSS. This would allow for things like padding, margins, borders and colours to be handled through a sort of CSS API while the content would be organized using the HTML part of the API. It might look something like this: public class OptionsScreen extends Document { public OptionsScreen() { // You would set the style (like CSS style) through the constructor. Div content = new Div(new Style(new Padding(5), Color.BLACK)); // Then build up a tree of elements which can each have their own style's. // Each element knows how to draw itself, but it doesn't have to worry about // manually handling things like padding. // content.addChild(new P("This is a paragraph", new Style(new Padding(), Color.RED))); Ul list = new Ul(); list.addChild(new Li("item 1")); list.addChild(new Li("item 2")); content.addChild(list); addChild(content); } } I can imagine this making it easier to customize the UI of our app (which is very important) with different fonts, colours and layouts. Does this idea belong on The Daily WTF or do you think there is some promise?

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  • designing an ASP.NET MVC partial view - showing user choices within a large set of choices

    - by p.campbell
    Consider a partial view whose job is to render markup for a pizza order. The desire is to reuse this partial view in the Create, Details, and Update views. It will always be passed an IEnumerable<Topping>, and output a multitude of checkboxes. There are lots... maybe 40 in all (yes, that might smell). A-OK so far. Problem The question is around how to include the user's choices on the Details and Update views. From the datastore, we've got a List<ChosenTopping>. The goal is to have each checkbox set to true for each chosen topping. What's the easiest to read, or most maintainable way to achieve this? Potential Solutions Create a ViewModel with the List and List. Write out the checkboxes as per normal. While writing each, check whether the ToppingID exists in the list of ChosenTopping. Create a new ViewModel that's a hybrid of both. Perhaps call it DisplayTopping or similar. It would have property ID, Name and IsUserChosen. The respective controller methods for Create, Update, and Details would have to create this new collection with respect to the user's choices as they see fit. The Create controller method would basically set all to false so that it appears to be a blank slate. The real application isn't pizza, and the organization is a bit different from the fakeshot, but the concept is the same. Is it wise to reuse the control for the 3 different scenarios? How better can you display the list of options + the user's current choices? Would you use jQuery instead to show the user selections? Any other thoughts on the potential smell of splashing up a whole bunch of checkboxes?

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  • Implementing the procducer-consumer pattern with .NET 4.0

    - by bitbonk
    With alle the new paralell programming features in .NET 4.0, what would be a a simple and fast way to implement the producer-consumer pattern (where at least one thread is producing/enqueuing task items and another thread executes/dequeues these tasks). Can we benfit from all these new APIs? What is your preferred implementation of this pattern?

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  • Getting the final value to this MySQL query...

    - by Jack W-H
    I've got my database set up with three tables - code, tags, and code_tags for tagging posts. This will be the SQL query processed when a post is submitted. Each tag is sliced up by PHP and individually inserted using these queries. INSERT IGNORE INTO tags (tag) VALUES ('$tags[1]'); SELECT tags.id FROM tags WHERE tag = '$tags[1]' ORDER BY id DESC LIMIT 1; INSERT INTO code_tags (code_id, tag_id) VALUES ($codeid, WHAT_GOES_HERE?) The WHAT_GOES_HERE? value at the end is what I need to know. It needs to be the ID of the tag that the second query fetched. How can I put that ID into the third query? I hope I explained that correctly. I'll rephrase if necessary.

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  • Is extending a singleton class wrong?

    - by Anwar Shaikh
    I am creating a logger for an application. I am using a third party logger library. In which logger is implemented as singleton. I extended that logger class because I want to add some more static functions. In these static functions I internally use the instance (which is single) of Logger(which i inherited). I neither creates instance of MyLogger nor re-implemented the getInstance() method of super class. But I am still getting warnings like destructor of MyLogger can not be created as parent class (Loggger) destructor is not accessible. I want to know, I am I doing something wrong? Inheriting the singleton is wrong or should be avoided??

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  • Problems Enforcing Referential Integrity on SQL Server Tables

    - by SidC
    Hello All, I have a SQL Server 2005 database comprised of Customer, Quote, QuoteDetail tables. I want/need to enforce referential integrity such that when an insert is made on quotedetail, the quote and customer tables are also affected. I have tried my best to set up primary/foreign keys on my tables but need some help. Here's the scripts for my tables as they stand now (please don't laugh): Customers: USE [Diel_inventory] GO /****** Object: Table [dbo].[Customers] Script Date: 05/08/2010 03:39:04 ******/ SET ANSI_NULLS ON GO SET QUOTED_IDENTIFIER ON GO CREATE TABLE [dbo].[Customers]( [pkCustID] [int] IDENTITY(1,1) NOT NULL, [CompanyName] [nvarchar](50) NULL, [Address] [nvarchar](50) NULL, [City] [nvarchar](50) NULL, [State] [nvarchar](2) NULL, [ZipCode] [nvarchar](5) NULL, [OfficePhone] [nvarchar](12) NULL, [OfficeFAX] [nvarchar](12) NULL, [Email] [nvarchar](50) NULL, [PrimaryContactName] [nvarchar](50) NULL, CONSTRAINT [PK_Customers] PRIMARY KEY CLUSTERED ([pkCustID] ASC)WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] Quotes: USE [Diel_inventory] GO /****** Object: Table [dbo].[Quotes] Script Date: 05/08/2010 03:30:46 ******/ SET ANSI_NULLS ON GO SET QUOTED_IDENTIFIER ON GO CREATE TABLE [dbo].[Quotes]( [pkQuoteID] [int] IDENTITY(1,1) NOT NULL, [fkCustomerID] [int] NOT NULL, [QuoteDate] [timestamp] NOT NULL, [NeedbyDate] [datetime] NULL, [QuoteAmt] [decimal](6, 2) NOT NULL, [QuoteApproved] [bit] NOT NULL, [fkOrderID] [int] NOT NULL, CONSTRAINT [PK_Bids] PRIMARY KEY CLUSTERED ( [pkQuoteID] ASC)WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] GO ALTER TABLE [dbo].[Quotes] WITH CHECK ADD CONSTRAINT [fkCustomerID] FOREIGN KEY([fkCustomerID]) REFERENCES [dbo].[Customers] ([pkCustID]) GO ALTER TABLE [dbo].[Quotes] CHECK CONSTRAINT [fkCustomerID] QuoteDetail: USE [Diel_inventory] GO /****** Object: Table [dbo].[QuoteDetail] Script Date: 05/08/2010 03:31:58 ******/ SET ANSI_NULLS ON GO SET QUOTED_IDENTIFIER ON GO CREATE TABLE [dbo].[QuoteDetail]( [ID] [int] IDENTITY(1,1) NOT NULL, [fkQuoteID] [int] NOT NULL, [fkCustomerID] [int] NOT NULL, [fkPartID] [int] NULL, [PartNumber1] [float] NOT NULL, [Qty1] [int] NOT NULL, [PartNumber2] [float] NULL, [Qty2] [int] NULL, [PartNumber3] [float] NULL, [Qty3] [int] NULL, [PartNumber4] [float] NULL, [Qty4] [int] NULL, [PartNumber5] [float] NULL, [Qty5] [int] NULL, [PartNumber6] [float] NULL, [Qty6] [int] NULL, [PartNumber7] [float] NULL, [Qty7] [int] NULL, [PartNumber8] [float] NULL, [Qty8] [int] NULL, [PartNumber9] [float] NULL, [Qty9] [int] NULL, [PartNumber10] [float] NULL, [Qty10] [int] NULL, [PartNumber11] [float] NULL, [Qty11] [int] NULL, [PartNumber12] [float] NULL, [Qty12] [int] NULL, [PartNumber13] [float] NULL, [Qty13] [int] NULL, [PartNumber14] [float] NULL, [Qty14] [int] NULL, [PartNumber15] [float] NULL, [Qty15] [int] NULL, [PartNumber16] [float] NULL, [Qty16] [int] NULL, [PartNumber17] [float] NULL, [Qty17] [int] NULL, [PartNumber18] [float] NULL, [Qty18] [int] NULL, [PartNumber19] [float] NULL, [Qty19] [int] NULL, [PartNumber20] [float] NULL, [Qty20] [int] NULL, CONSTRAINT [PK_QuoteDetail] PRIMARY KEY CLUSTERED ( [ID] ASC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] GO ALTER TABLE [dbo].[QuoteDetail] WITH CHECK ADD CONSTRAINT [FK_QuoteDetail_Customers] FOREIGN KEY ([fkCustomerID]) REFERENCES [dbo].[Customers] ([pkCustID]) GO ALTER TABLE [dbo].[QuoteDetail] CHECK CONSTRAINT [FK_QuoteDetail_Customers] GO ALTER TABLE [dbo].[QuoteDetail] WITH CHECK ADD CONSTRAINT [FK_QuoteDetail_PartList] FOREIGN KEY ([fkPartID]) REFERENCES [dbo].[PartList] ([RecID]) GO ALTER TABLE [dbo].[QuoteDetail] CHECK CONSTRAINT [FK_QuoteDetail_PartList] GO ALTER TABLE [dbo].[QuoteDetail] WITH CHECK ADD CONSTRAINT [FK_QuoteDetail_Quotes] FOREIGN KEY([fkQuoteID]) REFERENCES [dbo].[Quotes] ([pkQuoteID]) GO ALTER TABLE [dbo].[QuoteDetail] CHECK CONSTRAINT [FK_QuoteDetail_Quotes] Your advice/guidance on how to set these up so that customer ID in Customers is the same as in Quotes (referential integrity) and that CustomerID is inserted on Quotes and Customers when an insert is made to QuoteDetial would be much appreciated. Thanks, Sid

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  • stop the CSS filter property cascading

    - by Ayoub
    I tried to make box-shadow affect work cross browsers, in order to make ie work I used "filter" property but the effect cascades to the child element (in my case a span) I tried to stop it by using filter : none but it didn't work searched the web but I couldn't find a solution. please help me solve this problem. HTML code : <div id="shadow"> <span>text text</span> </div> CSS code : #shadow{ -moz-box-shadow: 3px 3px 4px #000; -webkit-box-shadow: 3px 3px 4px #000; box-shadow: 3px 3px 4px #000; /* For IE 8 */ -ms-filter: "progid:DXImageTransform.Microsoft.Shadow(Strength=4, Direction=135, Color='#000000')"; /* For IE 5.5 - 7 */ filter: progid:DXImageTransform.Microsoft.Shadow(Strength=4, Direction=135, Color='#000000'); }

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  • Is this physical collection class that contains only static methods an Anti-Pattern?

    - by Tj Kellie
    I'm trying to figure out if I should continue on with a current pattern in an application I'm working in, or refactor this into something else. I have a set of collection classes off a generic base of List. These classes have public constructors but contain only static methods that return collections. They look like this: public class UserObjCollection : BaseCollection<UserObj> { public static UserObjCollection GetAllUserObj() { UserObjCollection obj = new UserObjCollection(); obj.MapObjects(new UserObjDataService().GetAllUserObj()); return obj; } } Is this a Pattern or Anti-Pattern and what are the merits of this over a straight factory pattern?

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  • How to handle customers with multiple addresses in CakePHP

    - by Ryan
    I'm putting together a system to track customer orders. Each order will have three addresses; a Main contact address, a billing address and a shipping address. I do not want to have columns in my orders table for the three addresses, I'd like to reference them from a separate table and have some way to enumerate the entry so I can determine if the addressing is main, shipping or billing. Does it make sense to create a column in the address table for AddressType and enumerate that or create another table - AddressTypes - that defines the address enumeration and link to that table? I have found other questions that touch on this topic and that is where I've taken my model. The problem I'm having is taking that into the cakePHP convention. I've been struggling to internalize the direction OneToMany relationships are formed - the way the documentation states feels backwards to me. Any help would be appreciated, Thanks!

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