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  • Are there solutions for streamlining the update of legacy code in multiple places?

    - by ccomet
    I'm working in some old code which was originally designed for handling two different kinds of files. I was recently tasked with adding a new kind of file to this code. Most of my problems were solved by filling out an extensive XML file with a new entry that handled everything from what lists were named to how the file is written in plural lower case. But this ended up being insufficient, as there were maybe 50 different places in 24 different code files where I had to update hardcoded switch-statements that only branched for the original two file types. Unfortunately there is no consistency in this; there are methods which operate half from the XML file, and half off of hardcode. Some of the files which look like they would operate off of the XML file don't, and some that I would expect that I'd need to update the hardcode don't need it. So the only way to find the majority of these is to run through testing the whole system when only part of it is operational, finding that one step to fix (when I'm lucky that error logging actually tells me what is going on), and then running the whole thing again. This wastes time testing the parts of the code which are already confirmed to work, time better spent testing the new parts I have to add on top of it all. It's a hassle and a half, and to my luck I can expect that I will have to add yet another new kind of file in the near future. Are there any solutions out there which can aid in this kind of endeavour? Something which I can input some parameters of current features, document what points in a whole code project actually need to be updated, and run something nice the next time I need to add a new feature to the code. It needn't even be fully automated, something that'll help me navigate straight to the specific points in everything and maybe even record what kind of parameters need to be loaded. Doubt it matters specifically, but the code is comprised of ASP.NET pages, some ASP.NET controls, hundreds of C# code files, and a handful of additional XML files. It's all currently in a couple big Visual Studio 2008 projects.

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  • Changing a url depending on what link chosen (HTML) no asp.

    - by Ozaki
    TLDR I need to change a javascript variable on the same page after clicking a link (can be from a different page) so that the getjson request pulls different data without having to duplicate on html pages. I am using some getJSON requests with Jquery, to make calls to populate my pages. I want to be able to (in plain HTML / javascript) when the user clicks say "link 1" or "link 2" to open the same page (say page.html) but change the get request url to "link 1" or "link 2". Page.html var url = ??; $.getJSON(url, function(data){} link 1 var url = host/link1 <a href="page.html">link1</a> link2 var url = host/link2 <a href="page.html">link2</a> So I call the same page but am able to populate it with different content. Purposely staying away from asp. Was thinking maybe of inserting the content into a div after page load so the url can be set or something along those lines. Any ideas how I might go about this?

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  • Can I version dotfiles within a project without merging their history into the main line?

    - by istrasci
    I'm sure this title is fairly obscure. I'm wondering if there is some way in git to tell it that you want a certain file to use different versions of a file when moving between branches, but to overall be .gitignored from the repository. Here's my scenario: I've got a Flash Builder project (for a Flex app) that I control with git. Flex apps in Flash Builder projects create three files: .actionScriptProperties, .flexProperties, and .project. These files contain lots of local file system references (source folders, output folders, etc.), so naturally we .gitignore them from our repo. Today, I wanted to use a new library in my project, so I made a separate git branch called lib, removed the old version of the library and put in the new one. Unfortunately, this Flex library information gets stored in one of those three dot files (not sure which offhand). So when I had to switch back to the first branch (master) earlier, I was getting compile errors because master was now linked to the new library (which basically negated why I made lib in the first place). So I'm wondering if there's any way for me to continue to .gitignore these files (so my other developers don't get them), but tell git that I want it to use some kind of local "branch version" so I can locally use different versions of the files for different branches.

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  • How to pass dynamic parameters to .pde file

    - by Kalpana
    class Shape contains two methods drawCircle() and drawTriangle(). Each function takes different set of arguments. At present, I invoke this by calling the pde file directly. How to pass these arguments from a HTML file directly if I have to control the arguments being passed to the draw function? 1) Example.html has (current version) <script src="processing-1.0.0.min.js"></script> <canvas data-processing-sources="example.pde"></canvas> 2) Example.pde has class Shape { void drawCircle(intx, int y, int radius) { ellipse(x, y, radius, radius); } void drawTriangle(int x1, int y1, int x2, int y2, int x3, int y3) { rect(x1, y1, x2, y2, x3, y3); } } Shape shape = new Shape(); shape.drawCircle(10, 40, 70); I am looking to do something like this in my HTML file, so that I can move all the functions into a separate file and call them with different arguments to draw different shapes (much similar to how you would do it in Java) A.html <script> Shape shape = new Shape(); shape.drawCircle(10, 10, 3); </script> B.html <script> Shape shape = new Shape(); shape.drawTriangle(30, 75, 58, 20, 86, 75); </script> 2) Iam using Example2.pde has void setup() { size(200,200); background(125); fill(255); } void rectangle(int x1, int y1, int x2, int y2) { rect(x1, y1, x2, y2); } My Example2.html has var processingInstance; processingInstance.rectangle(30, 20, 55, 55); but this is not working. How to pass these parameters dynamically from html.

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  • Using StructureMap to create classes by a name?

    - by Bevan
    How can I use StructureMap to resolve to an appropriate implementation of an interface based on a name stored in an attribute? In my project, I have many different kinds of widgets, each descending from IWidget, and each decorated with an attribute specifying the kind of associated element. To illustrate: [Configuration("header")] public class HeaderWidget : IWidget { } [Configuration("linegraph")] public class LineGraphWidget : IWidget { } When processing my (XML) configuration file, I want to obtain an instance of the appropriate concrete class based on the name of the element I'm processing. public IWidget CreateWidget(XElement definition) { var kind = definition.Name.LocalName; var widget = // What goes here? widget.Configure(definition); return widget; } Each definition should result in a different widget being created - I don't need or want the instances to be shared. In the past I've written plenty of code to do this kind of thing manually, including writing a custom "roll-your-own" IoC container for one project. However, one of my goals with this project is to become proficient with StructureMap instead of reinventing the wheel. I think I've already managed to set up automatic scanning of assemblies so that StructureMap knows about all my IWidget implementations: public class WidgetRegistration : Registry { public WidgetRegistration() { Scan( scanner => { scanner.AssembliesFromApplicationBaseDirectory(); scanner.AddAllTypesOf<IWidget>(); }); } } However, this isn't registering the names of my widgets with StructureMap. What do I need to add to make my scenario work? (While I am trying to use StructureMap in this project, an answer showing me how to solve this problem with a different DI/IoC tool would still be valuable.)

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  • UIImageView is resizing

    - by dawatson833
    I have an issue with uiimageviews resizing at run time. On one view I have more than a dozen uiimageviews contained within a uiscrollview. The images are assigned at design time. The uiimageview's are all the same size. The mode is set to Aspect Fill for all uiimageviews. At run time the images appear correctly in the view. On a second view I have only 9 uiimageviews. These uiimageviews will display up to nine of the images selected from the first view. There are three images across and three images down. The uiimageview at design time is the same size as on the first view. The uiimageview image is assigned an image that is loaded into an array. All the uiimageviews are sized the same and they also have the mode set to Aspect Fill. The images are assigned at run time using image1.image = xxx. Where xxx is an image stored in an array. However, on this second view, the images are not all the same size. The height of the image changes dynamically. The same image displayed in a different uiimageview on the view will be different sizes. It is the height of the uiimageview that changes. In some cases the image will fill the uiimageview differently. It is like the mode changes dynamically. I've tried using different modes and nothing changes. Any ideas on what is happening?

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  • (nested) user controls within a mvp pattern causing sporadic problems

    - by LLEA
    hi everyone, I have a serious problem with nested user controls (UCs) in WinForms while trying to implement the mvp pattern (passive view). The project consists of one model (designed as a singleton) and a set of different presenters with corresponding view interfaces. To avoid one huge view interface and therefore an overloaded main UI, I decided to make use of a set of different UCs. Each UC has one view interface and one presenter that can access the model. But there are nested UCs: meaning that one specialised UC implements sort of a basic UC. The main UI just represents a container for all those UCs. So far, so good (if not, please ask)?! There are two problems that I am facing now (but I guess both are of the same origin): From time to time it is not possible anymore to load the UCs and test them within the Visual Studio 2008 User Control Test Container. The error message just says that a project with an output type of class library cannot be started directly etc. I can "handle" that by unloading all UC projects and reloading them afterwards. (I guess the references to all mvp components and other UCs are then updated). Assuming that the implementation of my mvp pattern is okay and all those UCs are testable within the VS Test Container at a certain time - there is the biggest problem still left: I am not able to add any UC (even the basic and unnested ones) to a simple Form (UI). The error message: error message.jpg Could it be that my basic UC causes all these Problems?! It consists of two simple ComboBoxes and implements a basic presenter and basic view interface. Whenever I add this UC to a different UC the VS designer adds two references to the public getter methods of the UC as resources. I then manually remove those resources from the resx-file and commend the corresponding lines in the designer file. thx in advance

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  • Which database I can used and relationship in it ??

    - by mimo-hamad
    My projece make me confused which I didn't find clear things that make me understand the required database and the relationships in it So, would a super one help me to solve it ?!! ;D this is required: 1) Model the data stored in the database (Identify the entities, roles, relationships, constraints, etc.) 2) Write the Oracle commands to create the database, find appropriate data, and populate the database 3) Write five different queries on your database, using the SELECT/FROM/WHERE construct provided in SQL. Your five queries should illustrate several different aspects of database querying, such as: a. Queries over more than one relation (by listing more than one relation in the FROM clause) b. Queries involving aggregate functions, such as SUM, COUNT, and AVG c. Queries involving complicated selects and joins d. Queries involving GROUP BY, HAVING or other similar functions. e. Queries that require the use of the DISTINCT keyword. And this the condition that we need to determine it to solve the required Q's above : 5) It is desired to develop an Internet membership club to buy products at special prices online. To join, new members must be referred by another existing member of the club. The system will keep the following information for each member: The member ID, referring member, birth date, member name, address, phone, mobile, credit card type, number and expiration date. The items are always shipped to the member's address noted in the membership application. The shipping fees will differ for each order.For each item to be requested, the member will select an item from a long list of possible items. For each item in the database, we store an item ID, an item name, description, and list price. The list price will be different from the actual sale price. The available quantity and the back-ordered quantity (the back-ordered quantity is the quantity on-order by the club from its suppliers) is also noted

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  • GitHub solution for personal repo

    - by Luke Maurer
    So I've got my private SVN repo on my home server, and it has maybe 30 different modules thrown together in it, ranging from abortive throw-away larks to a few endeavors that might actually go somewhere someday. But a recent filesystem failure (BTW, never ever EVER use XFS without a battery-backed hardware RAID) has me spooked and thinking of using a DVCS for all that. I've also just had quite the swig of the Git koolaid, and I've been working with GitHub of late, so that's where I'm looking right now. Of course, it would be silly to shell out major cash for a separate private Git repo for every little project, and I don't want to have to be selective about what I throw up there (I love all my children :-D ), so I'll have to be somewhat creative about this. I can happily use SSH to my home box to use Git the way I've been using SVN, and I'm thinking from there I could amalgamate everything into, say, a big project with 30 submodules, which I then push to GitHub. What'd be a sane way to set this up? Does using submodules sound feasible? How do I sync it all to my private GitHub repo? Cron job? Git hook? I'd love to hear it if anyone's done something similar. I'm not really married to Git or GitHub, so a sufficiently compelling feature of another solution might sway me. But if your answer does involve a different system (especially a different VCS), be advised it'll be a tougher sell :-)

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  • Selenium RC: Selecting elements using the CSS :contains pseudo-class

    - by Andrew
    I would like to assert that a table row contains the data that I expect in two different tables. Using the following HTML as an example: <table> <tr> <th>Table 1</th> </tr> <tr> <td>Row 1 Col 1</td> <td>Row 1 Col 2</td> </tr> </table> <table> <tr> <th>Table 2</th> </tr> <tr> <td>Row 1 Col 1</td> <td>different data</td> </tr> </table> The following assertion passes: $this->assertElementPresent('css=table:contains(Table 1)'); However, this one doesn't: $this->assertElementPresent('css=table:contains(Table 1) tr:contains(Row 1 Col 1)'); And ultimately, I need to be able to test that both columns within the table row contain the data that I expect: $this->assertElementPresent('css=table:contains(Table 1) tr:contains(Row 1 Col 1):contains(Row 1 Col 2)'); $this->assertElementPresent('css=table:contains(Table 2) tr:contains(Row 1 Col 1):contains(different data)'); What am I doing wrong? How can I achieve this? Update: Sounds like the problem is a bug in Selenium when trying to select descendants. The only way I was able to get this to work was to add an extra identifier on the table so I could tell which one I was working with: /* HTML */ <table id="table-1"> /* PHP */ $this->assertElementPresent("css=#table-1 tr:contains(Row 1 Col 1):contains(Row 1 Col 2)");

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  • Problem: writing parameter values to data driven MSTEST output

    - by Shubh
    Hi, I am trying to extract some information about the parameter variants used in an MSTEST data driven test case from trx file. Currently, For data driven tests, I get the output of same testcase with different inputs as a sequence of tags , but there is no info about the value of the variants. Example: Suppose we have a [data driven]TestMethod1() and the data rows contain variations a and b. There are two variations a=1,b=2 for which the test passes and a=3,b=4 for which the test fails. If we can output the info that it was a=1,b=2 which passed and a=3 b=4 which failed in the trx file; the output will be meaningful. Better information about test case runs from the output file alone(without any dependencies). Investigating the test failure without rerunning the whole set If the data rows change in data source(now a=1,b=2 pass and a=5,b=6 fail) , easy to decipher that the errors are different; although the fail sequence is still the same(row 0 pass row 1 fail but now row1 is different) Has any of you gone through a similar problem? What did you follow? I tried to put the parameter value information in the Description attribute of TestMethod, it didnt work. Any other methods you think can work too? thanks, Shubhankar

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  • [Database] How to model this one-to-one relation?

    - by pbean
    I have several entities which respresent different types of users who need to be able to log in to a particular system. Additionally, they have different types of information associated with them. For example: a "general user", which has an e-mail address and "admin user", which has a workstation number (note that this a hypothetical case). Both entities also share common properties like first name, surname, address and telephone number. Finally, they naturally need to have a (unique) user name and a password to log in. In the application, the user just has to fill in his user name and password, and the functionality of the application changes slightly according to the type of the user. You can imagine that the username needs to be unique for this work. How should I model this effectively? I can't just create two tables, because then I can't force a unique constaint on the user name. I also can't put them all in just one table, because they have different types of specific information associated to them. I think I might need 3 seperate tables, one for "users" (with user name and password), one for the "general users" and another one for the "admin users", but how would the relations between these work? Or is there another solution? (By the way, the target DBMS is MySQL, so I don't think generalization is supported in the database system itself).

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  • Python - Things one MUST avoid

    - by Anurag Uniyal
    Today I was bitten again by "Mutable default arguments" after many years. I usually don't use mutable default arguments unless needed but I think with time I forgot about that, and today in the application I added tocElements=[] in a pdf generation function's argument list and now 'Table of Content' gets longer and longer after each invocation of "generate pdf" :) My question is what other things should I add to my list of things to MUST avoid? 1 Mutable default arguments 2 import modules always same way e.g. 'from y import x' and 'import x' are totally different things actually they are treated as different modules see http://stackoverflow.com/questions/1459236/module-reimported-if-imported-from-different-path 3 Do not use range in place of lists because range() will become an iterator anyway, so things like this will fail, so wrap it by list myIndexList = [0,1,3] isListSorted = myIndexList == range(3) # will fail in 3.0 isListSorted = myIndexList == list(range(3)) # will not same thing can be mistakenly done with xrange e.g myIndexList == xrange(3). 4 Catching multiple exceptions try: raise KeyError("hmm bug") except KeyError,TypeError: print TypeError It prints "hmm bug", though it is not a bug, it looks like we are catching exceptions of type KeyError,TypeError but instead we are catching KeyError only as variable TypeError, instead use try: raise KeyError("hmm bug") except (KeyError,TypeError): print TypeError

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  • Really cool way to create custom UITabBar for iPhone app?

    - by ludicco
    Hi, I am doing a lot of researching lately about how to get a different looking with nice effects UITabBar on my iPhone app, but unfortunately I am only finding things on how to replace background color etc. Well, I've checked out this app called Momento which is pretty cool and presents a very slick tabBar: So there are a couple of elements here I would like to ask you guys if you could help me by giving me the right directions on how to get a similar effect :) Arrow above items: as you can see this app has this animated arrow that runs above the selected item with a very smooth animation. Selected Stated of the item's image is not that blue-ish default one neither the default state which displays in a different shade of brown and gray version. nice Items separators with beveled vertical lines. diferrent background image for the tabBar different height for the tabBar At this point after some research I am able to set the height and background image by subclassing UITabBarController but I'm still not sure on how to accomplish the other items specially the first one related to the nice arrow effect. If someone knows about a very good tutorial on how to do this it would be great for clarifying what can or can't be done by subclassing the UITabBarController and specially if can be done in Interface Builder :) I am just starting on this world off app development for iOS so if you could help me on that it would be really appreciated Thanks a lot in advance

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  • pure/const functions in C++

    - by Albert
    Hi, I'm thinking of using pure/const functions more heavily in my C++ code. (pure/const attribute in GCC) However, I am curious how strict I should be about it and what could possibly break. The most obvious case are debug outputs (in whatever form, could be on cout, in some file or in some custom debug class). I probably will have a lot of functions, which don't have any side effects despite this sort of debug output. No matter if the debug output is made or not, this will absolutely have no effect on the rest of my application. Or another case I'm thinking of is the use of my own SmartPointer class. In debug mode, my SmartPointer class has some global register where it does some extra checks. If I use such an object in a pure/const function, it does have some slight side effects (in the sense that some memory probably will be different) which should not have any real side effects though (in the sense that the behaviour is in any way different). Similar also for mutexes and other stuff. I can think of many complex cases where it has some side effects (in the sense of that some memory will be different, maybe even some threads are created, some filesystem manipulation is made, etc) but has no computational difference (all those side effects could very well be left out and I would even prefer that). How does it work out in practice? If I mark such functions as pure/const, could it break anything (considering that the code is all correct)?

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  • PHP Commercial Project Function define

    - by Shiro
    Currently I am working with a commercial project with PHP. I think this question not really apply to PHP for all programming language, just want to discuss how your guys solve it. I work in MVC framework (CodeIgniter). all the database transaction code in model class. Previously, I seperate different search criteria with different function name. Just an example function get_student_detail_by_ID($id){} function get_student_detail_by_name($name){} as you can see the function actually can merge to one, just add a parameter for it. But something you are rushing with project, you won't look back previously got what similar function just make some changes can meet the goal. In this case, we found that there is a lot function there and hard to maintenance. Recently, we try to group the entity to one ultimate search something like this function get_ResList($is_row_count=FALSE, $record_start=0, $arr_search_criteria='', $paging_limit=20, $orderby='name', $sortdir='ASC') we try to make this function to fit all the searching criteria. However, our system getting bigger and bigger, the search criteria not more 1-2 tables. It require join with other table with different purpose. What we had done is using IF ELSE, if(bla bla bla) { $sql_join = JOIN_SOME_TABLE; $sql_where = CONDITION; } at the end, we found that very hard to maintance the function. it is very hard to debug as well. I would like to ask your opinion, what is the commercial solution they solve this kind of issue, how to define a function and how to revise it. I think this is link project management skill. Hope you willing to share with us. Thanks.

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  • Multiple inequality conditions (range queries) in NoSQL

    - by pableu
    Hi, I have an application where I'd like to use a NoSQL database, but I still want to do range queries over two different properties, for example select all entries between times T1 and T2 where the noiselevel is smaller than X. On the other hand, I would like to use a NoSQL/Key-Value store because my data is very sparse and diverse, and I do not want to create new tables for every new datatype that I might come across. I know that you cannot use multiple inequality filters for the Google Datastore (source). I also know that this feature is coming (according to this). I know that this is also not possible in CouchDB (source). I think I also more or less understand why this is the case. Now, this makes me wonder.. Is that the case with all NoSQL databases? Can other NoSQL systems make range queries over two different properties? How about, for example, Mongo DB? I've looked in the Documentation, but the only thing I've found was the following snippet in their docu: Note that any of the operators on this page can be combined in the same query document. For example, to find all document where j is not equal to 3 and k is greater than 10, you'd query like so: db.things.find({j: {$ne: 3}, k: {$gt: 10} }); So they use greater-than and not-equal on two different properties. They don't say anything about two inequalities ;-) Any input and enlightenment is welcome :-)

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  • Android depth buffer issue: Advice for anyone experiencing problem

    - by Andrew Smith
    I've wasted around 30 hours this week writing and re-writing code, believing that I had misunderstood how the OpenGL depth buffer works. Everything I tried, failed. I have now resolved my problem by finding what may be an error in the Android implementation of OpenGL. See this API entry: http://www.opengl.org/sdk/docs/man/xhtml/glClearDepth.xml void glClearDepth(GLclampd depth); Specifies the depth value used when the depth buffer is cleared. The initial value is 1. Android's implementation has two versions of this command: glClearDepthx which takes an integer value, clamped 0-1 glClearDepthf which takes a floating point value, clamped 0-1 If you use glClearDepthf(1) then you get the results you would expect. If you use glClearDepthx(1), as I was doing then you get different results. (Note that 1 is the default value, but calling the command with the argument 1 produces different results than not calling it at all.) Quite what is happening I do not know, but the depth buffer was being cleared to a value different from what I had specified.

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  • What's the recommended implementation for hashing OLE Variants?

    - by Barry Kelly
    OLE Variants, as used by older versions of Visual Basic and pervasively in COM Automation, can store lots of different types: basic types like integers and floats, more complicated types like strings and arrays, and all the way up to IDispatch implementations and pointers in the form of ByRef variants. Variants are also weakly typed: they convert the value to another type without warning depending on which operator you apply and what the current types are of the values passed to the operator. For example, comparing two variants, one containing the integer 1 and another containing the string "1", for equality will return True. So assuming that I'm working with variants at the underlying data level (e.g. VARIANT in C++ or TVarData in Delphi - i.e. the big union of different possible values), how should I hash variants consistently so that they obey the right rules? Rules: Variants that hash unequally should compare as unequal, both in sorting and direct equality Variants that compare as equal for both sorting and direct equality should hash as equal It's OK if I have to use different sorting and direct comparison rules in order to make the hashing fit. The way I'm currently working is I'm normalizing the variants to strings (if they fit), and treating them as strings, otherwise I'm working with the variant data as if it was an opaque blob, and hashing and comparing its raw bytes. That has some limitations, of course: numbers 1..10 sort as [1, 10, 2, ... 9] etc. This is mildly annoying, but it is consistent and it is very little work. However, I do wonder if there is an accepted practice for this problem.

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  • How to redirect registry access of a dll loaded by my program

    - by dummzeuch
    I have got a dll that I load in my program which reads and writes its settings to the registry (hkcu). My program changes these settings prior to loading the dll so it uses the settings my program wants it to use which works fine. Unfortunately I need to run several instances of my program with different settings for the dll. Now the approach I have used so far no longer works reliably because it is possible for one instance of the program to overwrite the settings that another instance just wrote before the dll has a chance to read them. I haven't got the source of the dll in question and I cannot ask the programmer who wrote it to change it. One idea I had, was to hook registry access functions and redirect them to a different branch of the registry which is specific to the instance of my program (e.g. use the process id as part of the path). I think this should work but maybe you have got a different / more elegant. In case it matters: I am using Delphi 2007 for my program, the dll is probably written in C or C++.

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  • Problem with adding and removing classes with jQuery when hovering over a list item.

    - by Andrew
    I want to add a class to a list item when I hover over it, and then remove it and add it to a different list item if a different list item is hovered over. Here's what I tried: jQuery - $(document).ready(function() { $("#results").text("Tournaments"); $("#Tournaments").addClass("box-active"); $("#box ul li").hover(function() { var show = $(this).attr('id'); $("#results").text(show); $("#box ul li").each(function() { $(this).removeClass("box-active"); }); $("#box ul li#" + show).addClass("box-active"); }); }); HTML - <div id="box"> <ul> <li id="Tournaments">Tournaments</li> <li id="Join">Join</li> <li id="Forums">Forums</li> <li id="GameBattles">GameBattles</li> <li id="Practice">Practice</li> </ul> <p>Hovering over: <span id="results"></span></p> </div> When I hover over an item, it changes the class, but if I hover over I different one it removes the class over the item I first hovered over, but doesn't add the class to the new item I'm hovering over. Not sure why, and any help would be appreciated.

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  • How to use google maps API with multiple markers on the same map

    - by Maen
    So, i have the following script to use the google maps API, its all fine, but i need to create a map that has more than one Marker (the balloon shaped icon pointing to something) and i need each of those markers to point on a different area of the map (i.e. different coordinates), how can i do it? <script type="text/javascript"> function load() { var map = new GMap2(document.getElementById("map")); var marker = new GMarker(new GLatLng(<%=coordinates%>)); var html="<img src='simplemap_logo.jpg' width='20' height='20'/> " + "<%=maptitle%><br/>" + "<%=text%>"; map.setCenter(new GLatLng(<%=coordinates%>), <%=zoom%>) map.setMapType(G_HYBRID_MAP); map.addOverlay(marker); map.addControl(new GLargeMapControl()); map.addControl(new GScaleControl()); map.addControl(new GMapTypeControl()); marker.openInfoWindowHtml(html); } //]]> </script> One more question, if i pass the Script text as a variable, lets say something like: <script type="text/javascript"> <%=ScriptText%> </script> and my <%=ScriptText% will be a string which i will build and assign its value to a Friend or Public variable called ScriptText, will it still run and work properly? (i am doing this to make my script dynamic and different based on how i build it as a STRING, due to my illiteracy in javascripting ;P)

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  • Micro Second resolution timestamps on windows.

    - by Nikhil
    How to get micro second resolution timestamps on windows? I am loking for something better than QueryPerformanceCounter, QueryPerformanceFrequency (these can only give you an elapsed time since boot, and are not necessarily accurate if they are called on different threads - ie QueryPerformanceCounter may return different results on different CPUs. There are also some processors that adjust their frequency for power saving, which apparently isn't always reflected in their QueryPerformanceFrequency result.) There is this, http://msdn.microsoft.com/en-us/magazine/cc163996.aspx but it does not seem to be solid. This looks great but its not available for download any more. http://www.ibm.com/developerworks/library/i-seconds/ This is another resource. http://www.lochan.org/2005/keith-cl/useful/win32time.html But requires a number of steps, running a helper program plus some init stuff also, I am not sure if it works on multiple CPUs Also looked at the Wikipedia link on the subject which is interesting but not that useful. http://en.wikipedia.org/wiki/Time_Stamp_Counter If the answer is just do this with BSD or Linux, its a lot easier thats fine, but I would like to confirm this and get some explanation as to why this is so hard in windows and so easy in linux and bsd. Its the same damm hardware...

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  • What OOP pattern to use when only adding new methods, not data?

    - by Jonathon Reinhart
    Hello eveyone... In my app, I have deal with several different "parameters", which derive from IParameter interface, and also ParamBase abstract base class. I currently have two different parameter types, call them FooParameter and BarParameter, which both derive from ParamBase. Obviously, I can treat them both as IParameters when I need to deal with them generically, or detect their specific type when I need to handle their specific functionality. My question lies in specific FooParameters. I currently have a few specific ones with their own classes which derive from FooParameter, we'll call them FP12, FP13, FP14, etc. These all have certain characteristics, which make me treat them differently in the UI. (Most have names associated with the individual bits, or ranges of bits). Note that these specific, derived FP's have no additional data associated with them, only properties (which refer to the same data in different ways) or methods. Now, I'd like to keep all of these parameters in a Dictionary<String, IParameter> for easy generic access. The problem is, if I want to refer to a specific one with the special GUI functions, I can't write: FP12 fp12 = (FP12)paramList["FP12"] because you can't downcast to a derived type (rightfully so). But in my case, I didn't add any data, so the cast would theoretically work. What type of programming model should I be using instead? Thanks!

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  • Refactoring code/consolidating functions (e.g. nested for-loop order)

    - by bmay2
    Just a little background: I'm making a program where a user inputs a skeleton text, two numbers (lower and upper limit), and a list of words. The outputs are a series of modifications on the skeleton text. Sample inputs: text = "Player # likes @." (replace # with inputted integers and @ with words in list) lower = 1 upper = 3 list = "apples, bananas, oranges" The user can choose to iterate over numbers first: Player 1 likes apples. Player 2 likes apples. Player 3 likes apples. Or words first: Player 1 likes apples. Player 1 likes bananas. Player 1 likes oranges. I chose to split these two methods of outputs by creating a different type of dictionary based on either number keys (integers inputted by the user) or word keys (from words in the inputted list) and then later iterating over the values in the dictionary. Here are the two types of dictionary creation: def numkey(dict): # {1: ['Player 1 likes apples', 'Player 1 likes...' ] } text, lower, upper, list = input_sort(dict) d = {} for num in range(lower,upper+1): l = [] for i in list: l.append(text.replace('#', str(num)).replace('@', i)) d[num] = l return d def wordkey(dict): # {'apples': ['Player 1 likes apples', 'Player 2 likes apples'..] } text, lower, upper, list = input_sort(dict) d = {} for i in list: l = [] for num in range(lower,upper+1): l.append(text.replace('#', str(num)).replace('@', i)) d[i] = l return d It's fine that I have two separate functions for creating different types of dictionaries but I see a lot of repetition between the two. Is there any way I could make one dictionary function and pass in different values to it that would change the order of the nested for loops to create the specific {key : value} pairs I'm looking for? I'm not sure how this would be done. Is there anything related to functional programming or other paradigms that might help with this? The question is a little abstract and more stylistic/design-oriented than anything.

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