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  • multithreading issue

    - by vbNewbie
    I have written a multithreaded crawler and the process is simply creating threads and having them access a list of urls to crawl. They then access the urls and parse the html content. All this seems to work fine. Now when I need to write to tables in a database is when I experience issues. I have 2 declared arraylists that will contain the content each thread parse. The first arraylist is simply the rss feed links and the other arraylist contains the different posts. I then use a for each loop to iterate one while sequentially incrementing the other and writing to the database. My problem is that each time a new thread accesses one of the lists the content is changed and this affects the iteration. I tried using nested loops but it did not work before and this works fine using a single thread.I hope this makes sense. Here is my code: SyncLock dlock For Each l As String In links finallinks.Add(l) Next End SyncLock SyncLock dlock For Each p As String In posts finalposts.Add(p) Next End SyncLock ... Dim i As Integer = 0 SyncLock dlock For Each rsslink As String In finallinks postlink = finalposts.Item(i) i = i + 1 finallinks and finalposts are the two arraylists. I did not include the rest of the code which shows the threads working but this is the essential part where my error occurs which is basically here postlink = finalposts.Item(i) i = i + 1 ERROR: index was out of range. Must be non-negative and less than the size of the collection Is there an alternative?

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  • Defining < for STL sort algorithm - operator overload, functor or standalone function?

    - by Andy
    I have a stl::list containing Widget class objects. They need to be sorted according to two members in the Widget class. For the sorting to work, I need to define a less-than comparator comparing two Widget objects. There seems to be a myriad of ways to do it. From what I can gather, one can either: a. Define a comparison operator overload in the class: bool Widget::operator< (const Widget &rhs) const b. Define a standalone function taking two Widgets: bool operator<(const Widget& lhs, const Widget& rhs); And then make the Widget class a friend of it: class Widget { // Various class definitions ... friend bool operator<(const Widget& lhs, const Widget& rhs); }; c. Define a functor and then include it as a parameter when calling the sort function: class Widget_Less : public binary_function<Widget, Widget, bool> { bool operator()(const Widget &lhs, const Widget& rhs) const; }; Does anybody know which method is better? In particular I am interested to know if I should do 1 or 2. I searched the book Effective STL by Scott Meyer but unfortunately it does not have anything to say about this. Thank you for your reply.

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  • Why does the Java Collections Framework offer two different ways to sort?

    - by dvanaria
    If I have a list of elements I would like to sort, Java offers two ways to go about this. For example, lets say I have a list of Movie objects and I’d like to sort them by title. One way I could do this is by calling the one-argument version of the static java.util.Collections.sort( ) method with my movie list as the single argument. So I would call Collections.sort(myMovieList). In order for this to work, the Movie class would have to be declared to implement the java.lang.Comparable interface, and the required method compareTo( ) would have to be implemented inside this class. Another way to sort is by calling the two-argument version of the static java.util.Collections.sort( ) method with the movie list and a java.util.Comparator object as it’s arguments. I would call Collections.sort(myMovieList, titleComparator). In this case, the Movie class wouldn’t implement the Comparable interface. Instead, inside the main class that builds and maintains the movie list itself, I would create an inner class that implements the java.util.Comparator interface, and implement the one required method compare( ). Then I'd create an instance of this class and call the two-argument version of sort( ). The benefit of this second method is you can create an unlimited number of these inner class Comparators, so you can sort a list of objects in different ways. In the example above, you could have another Comparator to sort by the year a movie was made, for example. My question is, why bother to learn both ways to sort in Java, when the two-argument version of Collections.sort( ) does everything the first one-argument version does, but with the added benefit of being able to sort the list’s elements based on several different criteria? It would be one less thing to have to keep in your mind while coding. You’d have one basic mechanism of sorting lists in Java to know.

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  • Fast, very lightweight algorithm for camera motion detection?

    - by Ertebolle
    I'm working on an augmented reality app for iPhone that involves a very processor-intensive object recognition algorithm (pushing the CPU at 100% it can get through maybe 5 frames per second), and in an effort to both save battery power and make the whole thing less "jittery" I'm trying to come up with a way to only run that object recognizer when the user is actually moving the camera around. My first thought was to simply use the iPhone's accelerometers / gyroscope, but in testing I found that very often people would move the iPhone at a consistent enough attitude and velocity that there wouldn't be any way to tell that it was still in motion. So that left the option of analyzing the actual video feed and detecting movement in that. I got OpenCV working and tried running their pyramidal Lucas-Kanade optical flow algorithm, which works well but seems to be almost as processor-intensive as my object recognizer - I can get it to an acceptable framerate if I lower the depth levels / downsample the image / track fewer points, but then accuracy suffers and it starts to miss some large movements and trigger on small hand-shaking-y ones. So my question is, is there another optical flow algorithm that's faster than Lucas-Kanade if I just want to detect the overall magnitude of camera movement? I don't need to track individual objects, I don't even need to know which direction the camera is moving, all I really need is a way to feed something two frames of video and have it tell me how far apart they are.

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  • Shape object in Processing, translate individual shapes.

    - by Zain
    I am relatively new to Processing but have been working in Java for about 2 years now. I am facing difficulty though with the translate() function for objects as well as objects in general in processing. I went through the examples and tried to replicate the manners by which they instantiated the objects but cannot seem to even get the shapes to appear on the screen no less move them. I instantiate the objects into an array using a nested for loop and expect a grid of the objects to be rendered. However, nothing at all is rendered. My nested for loop structure to instantiate the tiles: for(int i=0; i<102; i++){ for(int j=0; j<102; j++){ tiles[i][j]=new tile(i,0,j); tiles[i][j].display(); } } And the constructors for the tile class: tile(int x, int y, int z){ this.x=x; this.y=y; this.z=z; beginShape(); vertex(x,y,z); vertex(x+1,y,z); vertex(x+1,y,z-1); vertex(x,y,z-1); endShape(); } Nothing is rendered at all when this runs. Furthermore, if this is of any concern, my translations(movements) are done in a method I wrote for the tile class called move which simply calls translate. Is this the correct way? How should one approach this? I can't seem to understand at all how to render/create/translate individual objects/shapes. Thanks for any help any of you are able to provide!

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  • debugging scaffolding contingent upon degbugging boolean (java)

    - by David
    Recently i've found myself writing a lot of methods with what i can only think to call debugging scaffolding. Here's an example: public static void printArray (String[] array, boolean bug) { for (int i = 0; i<array.lenght; i++) { if (bug) System.out.print (i) ; //this line is what i'm calling the debugging scaffolding i guess. System.out.println(array[i]) ; } } in this method if i set bug to true, wherever its being called from maybe by some kind of user imput, then i get the special debugging text to let me know what index the string being printed as at just in case i needed to know for the sake of my debugging (pretend a state of affairs exists where its helpful). All of my questions more or less boil down to the question: is this a good idea? but with a tad bit more objectivity: Is this an effective way to test my methods and debug them? i mean effective in terms of efficiency and not messing up my code. Is it acceptable to leave the if (bug) stuff ; code in place after i've got my method up and working? (if a definition of "acceptability" is needed to make this question objective then use "is not a matter of programing controversy such as ommiting brackets in an if(boolean) with only one line after it, though if you've got something better go ahead and use your definition i won't mind) Is there a more effective way to accomplish the gole of making debugging easier than what i'm doing? Anything you know i mean to ask but that i have forgotten too (as much information as makes sense is appreciated).

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  • How to choose light version of databse system

    - by adopilot
    I am starting one POS (Point of sale) project. Targeting system is going to be written in C# .NET 2 WinForms and as main database server We are going to use MS-SQL Server. As we have a lot of POS devices in chain for one store I will love to have backend local data base system on each POS device. Scenario are following: When main server goes down!! POS application should continue working "off-line" with local database, until connection to main server come up again. Now I am in dilemma which local database is going to be most adoptable for me. Here is some notes for helping me point me in right direction: To be Light "My POS devices art usually old and suffering with performances" To be Free "I have a lot of devices and I do not wont additional cost beside main SQL serer" One day Ill love to try all that port on Mono and Linux OS. Here is what I've researched so far: Simple XML "Light but I am afraid of performance, My main table of items is average of 10K records" SQL-Expres "I am afraid that my POS devices is poor with hardware for SQLExpres, and also hard to install on each device and configure" Less known Advantage Database Server have free distribution of offline ADT system. DBF with extended Library,"Respect for good old DBFs but that era is behind Me with clipper and DBFs" MS Access Sqlite "Mostly like for now, but I am afraid how it is going to pair with MS SQL do they have same Data taypes". I know that in this SO is a lot of subjective data, but at least can someone recommended some others lite database system, or things that I shod most take attention before I choice database.

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  • CSS filters - sometimes working, sometimes not?

    - by a2h
    I'm on the verge of pulling my hair out over this. Here I have a block of perfectly functioning CSS: #admin .block.mode.off { opacity: 0.25; -ms-filter: "progid:DXImageTransform.Microsoft.Alpha(opacity=25)"; filter: progid:DXImageTransform.Microsoft.Alpha(opacity=25); } Meanwhile... Internet Explorer 8 couldn't care less about my filter declarations here: #admin .drop .tabs { margin-bottom: 12px; } #admin .drop .tab { margin-right: 4px; } #admin .drop .tab.off { cursor: pointer; opacity: 0.5; -ms-filter: "progid:DXImageTransform.Microsoft.Alpha(opacity=50)"; filter: progid:DXImageTransform.Microsoft.Alpha(opacity=50); } #admin .drop .tab.off:hover { text-shadow: 0px 0px 4px #fff; } #admin .drop .tab.on { cursor: default; text-shadow: 0px 0px 4px #fff; -ms-filter: "progid:DXImageTransform.Microsoft.Glow(color=#fff, strength=4)"; filter: progid:DXImageTransform.Microsoft.Glow(color=#fff, strength=4); } My document shows in IE8 Standards, and I am assuming the developer tools are a load of tuna, because the functioning block shows up in its CSS tab as: filter: progid:DXImageTransform.Microsoft.Alpha(opacity=25); opacity: 0.25 Does anyone have any ideas?

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  • Using diff and patch to force one local code base to look like another

    - by Dave Aaron Smith
    I've noticed this strange behavior of diff and patch when I've used them to force one code base to be identical to another. Let's say I want to update update_me to look identical to leave_unchanged. I go to update_me. I run a diff from leave_unchanged to update_me. Then I patch the diff into update_me. If there are new files in leave_unchanged, patch asks me if my patch was reversed! If I answer yes, it deletes the new files in leave_unchanged. Then, if I simply re-run the patch, it correctly patches update_me. Why does patch try to modify both leave_unchanged and update_me? What's the proper way to do this? I found a hacky way which is to replace all +++ lines with nonsense paths so patch can't find leave_unchanged. Then it works fine. It's such an ugly solution though. $ mkdir copyfrom $ mkdir copyto $ echo "Hello world" > copyfrom/myFile.txt $ cd copyto $ diff -Naur . ../copyfrom > my.diff $ less my.diff diff -Naur ./myFile.txt ../copyfrom/myFile.txt --- ./myFile.txt 1969-12-31 19:00:00.000000000 -0500 +++ ../copyfrom/myFile.txt 2010-03-15 17:21:22.000000000 -0400 @@ -0,0 +1 @@ +Hello world $ patch -p0 < my.diff The next patch would create the file ../copyfrom/myFile.txt, which already exists! Assume -R? [n] yes patching file ../copyfrom/myFile.txt $ patch -p0 < my.diff patching file ./myFile.txt

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  • With Go, how to append unknown number of byte into a vector and get a slice of bytes?

    - by Stephen Hsu
    I'm trying to encode a large number to a list of bytes(uint8 in Go). The number of bytes is unknown, so I'd like to use vector. But Go doesn't provide vector of byte, what can I do? And is it possible to get a slice of such a byte vector? I intends to implement data compression. Instead of store small and large number with the same number of bytes, I'm implements a variable bytes that uses less bytes with small number and more bytes with large number. My code can not compile, invalid type assertion: 1 package main 2 3 import ( 4 //"fmt" 5 "container/vector" 6 ) 7 8 func vbEncodeNumber(n uint) []byte{ 9 bytes := new(vector.Vector) 10 for { 11 bytes.Push(n % 128) 12 if n < 128 { 13 break 14 } 15 n /= 128 16 } 17 bytes.Set(bytes.Len()-1, bytes.Last().(byte)+byte(128)) 18 return bytes.Data().([]byte) // <- 19 } 20 21 func main() { vbEncodeNumber(10000) } I wish to writes a lot of such code into binary file, so I wish the func can return byte array. I haven't find a code example on vector.

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  • Java SSH2 libraries in depth: Trilead/Ganymed/Orion [/other?]

    - by Bernd Haug
    I have been searching for a pure Java SSH library to use for a project. The single most important needed feature is that it has to be able to work with command-line git, but remote-controlling command-line tools is also important. A pretty common choice, e.g. used in the IntelliJ IDEA git integration (which works very well), seems to be Trilead SSH2. Looking at their website, it's not being maintained any more. Trilead seems to have been a fork of Ganymed SSH2, which was a ETH Zurich project that didn't see releases for a while, but had a recent release by its new owner, Christian Plattner. There is another actively maintained fork from that code base, Orion SSH, that saw an even more recent release, but which seems to get mentioned online much less than the other 2 forks. Has anybody here worked with any of (or, if possible, both) of Ganymed and Orion and could kindly describe the development experience with either/both? Accuracy of documentation [existence of documentation?], stability, buggyness... - all of these would be highly interesting to me. Performance is not so important for my current project. If there is another pure-Java SSH implementation that should be used instead, please feel free to mention it, but please don't just mention a name...describe your judgment from actual experience. Sorry if this question may seem a bit "do my homework"-y, but I've really searched for reviews. Everything out there seems to be either a listing of implementations or short "use this! it's great!" snippets.

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  • RFC: Whitespace's Assembly Mnemonics

    - by Noctis Skytower
    Request For Comment regarding Whitespace's Assembly Mnemonics What follows in a first generation attempt at creating mnemonics for a whitespace assembly language. STACK ===== push number copy copy number swap away away number MATH ==== add sub mul div mod HEAP ==== set get FLOW ==== part label call label goto label zero label less label back exit I/O === ochr oint ichr iint In the interest of making improvements to this small and simple instruction set, this is a second attempt. hold N Push the number onto the stack copy Duplicate the top item on the stack copy N Copy the nth item on the stack (given by the argument) onto the top of the stack swap Swap the top two items on the stack drop Discard the top item on the stack drop N Slide n items off the stack, keeping the top item add Addition sub Subtraction mul Multiplication div Integer Division mod Modulo save Store load Retrieve L: Mark a location in the program call L Call a subroutine goto L Jump unconditionally to a label if=0 L Jump to a label if the top of the stack is zero if<0 L Jump to a label if the top of the stack is negative return End a subroutine and transfer control back to the caller exit End the program print chr Output the character at the top of the stack print int Output the number at the top of the stack input chr Read a character and place it in the location given by the top of the stack input int Read a number and place it in the location given by the top of the stack What is the general consensus on the following revised list for Whitespace's assembly instructions? They definitely come from thinking outside of the box and trying to come up with a better mnemonic set than last time. When the previous python interpreter was written, it was completed over two contiguous, rushed evenings. This rewrite deserves significantly more time now that it is the summer. Of course, the next version of Whitespace (0.4) may have its instructions revised even more, but this is just a redesign of what originally was done in a few hours. Hopefully, the instructions make more sense to those new to programming jargon.

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  • DVCS with a Windows central repository

    - by Mikko Rantanen
    We are currently using VSS for version control. Quite few of our developers are interested in a distributed model (And want to get rid of VSS). Our network is full of Windows machines and while our IT department has experience maintaining Linux machines they would prefer not to. What DVCS systems can host their central repository on Windows while providing.. Push access to the repository. Basic authentication. Mostly just a way to allow or deny access to the whole repository. No need for fine grained access. Server process so users don't need write right to the repository reducing the risk of accidentally messing with it. On the client side a GUI such as Tortoise would be more or less a requirement (Sorry, Windows shell sucks. :|). Ease of installation would be a huge plus as our IT department is already quite low on resources. And using windows credentials for authentication would be an advantage but not a requirement as long as the client is able to store the credentials. I have had a (really) quick look at Git, Mercurial and Bazaar. Git seemed to use ssh or simple WebDAV for repository access, requiring write permission for the users. Mercurial had a built in http server, but this seemed to be only for pull purposes. Update: Mercurial supports push as well. Bazaar Seemed to use sftp for repository access, again requiring a write permission for the users. Are there windows server processes for any DVCS systems and has anyone managed to set one up in a Windows land? And apologies if this is a duplicate question. I couldn't find one. Update Got Mercurial working for push purposes! Detailed list what was required can be found as an answer below.

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  • How to Elegantly convert switch+enum with polymorphism

    - by Kyle
    I'm trying to replace simple enums with type classes.. that is, one class derived from a base for each type. So for example instead of: enum E_BASE { EB_ALPHA, EB_BRAVO }; E_BASE message = someMessage(); switch (message) { case EB_ALPHA: applyAlpha(); case EB_BRAVO: applyBravo(); } I want to do this: Base* message = someMessage(); message->apply(this); // use polymorphism to determine what function to call. I have seen many ways to do this which all seem less elegant even then the basic switch statement. Using dyanimc_pointer_cast, inheriting from a messageHandler class that needs to be updated every time a new message is added, using a container of function pointers, all seem to defeat the purpose of making code easier to maintain by replacing switches with polymorphism. This is as close as I can get: (I use templates to avoid inheriting from an all-knowing handler interface) class Base { public: template<typename T> virtual void apply(T* sandbox) = 0; }; class Alpha : public Base { public: template<typename T> virtual void apply(T* sandbox) { sandbox->applyAlpha(); } }; class Bravo : public Base { public: template<typename T> virtual void apply(T* sandbox) { sandbox->applyBravo(); } }; class Sandbox { public: void run() { Base* alpha = new Alpha; Base* bravo = new Bravo; alpha->apply(this); bravo->apply(this); delete alpha; delete bravo; } void applyAlpha() { // cout << "Applying alpha\n"; } void applyBravo() { // cout << "Applying bravo\n"; } }; Obviously, this doesn't compile but I'm hoping it gets my problem accross.

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  • Automatically add links to class source files under a specified directory of an another project in V

    - by Binary255
    I want to share some class source files between two projects in Visual Studio 2008. I can't create a project for the common parts and reference it (see my comment if you are curious to why). I've managed to share some source files, but it could be a lot more neat. I've created a test solution called Commonality. The Solution Explorer of the Commonality solution which contains project One and Two: What I like: All class files under the Common folder of project One are automatically added to project Two by linking. It's mostly the same as if I would have chosen Add / Existing Item... : Add As Link on each new class source file. It's clear that these files have been linked in. The shortcut arrow symbol is marking each file icon. What I do not like: The file and folder tree structure under Common of project One isn't included. It's all flat. The linked source files are shown under the project root of project Two. It would look much less cluttered if they were located under Common like in project One. The file tree structure of the Commonality solution which contains project One and Two: $ tree /F /A Folder PATH listing for volume Cystem Volume serial number is 0713370 1337:F6A4 C:. | Commonality.sln | +---One | | One.cs | | One.csproj | | | +---bin | | \---Debug | | One.vshost.exe | | One.vshost.exe.manifest | | | +---Common | | | Common.cs | | | CommonTwo.cs | | | | | \---SubCommon | | CommonThree.cs | | | +---obj | | \---Debug | | +---Refactor | | \---TempPE | \---Properties | AssemblyInfo.cs | \---Two | Two.cs | Two.csproj | Two.csproj.user | Two.csproj~ | +---bin | \---Debug +---obj | \---Debug | +---Refactor | \---TempPE \---Properties AssemblyInfo.cs And the relevant part of project Two's project file Two.csproj: <ItemGroup> <Compile Include="..\One\Common\**\*.cs"> </Compile> <Compile Include="Two.cs" /> <Compile Include="Properties\AssemblyInfo.cs" /> </ItemGroup> How do I address what I do not like, while keeping what I like?

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  • Jqgrid search option hides the grid table

    - by Felix Guerrero
    The issue is when I click on search option (on pager) it shows the search window but the grid gets hide. I'm including the jqmodal.js file. But what I'm ignoring on the code below? css files: jqModal.css jquery-ui-1.8.custom.css ui.jqgrid.css ui.multiselect.css jquery.searchFilter.css js files: jquery.min.js grid.base.js grid.common.js grid.formedit.js grid.setcolumns.js ui.multiselect.js jquery.searchFilter.js jqModal.js The Javascript: $("#list").jqGrid({ url: 'foo_report.php?g=' + $('#fooselect').val() + '&report=1&searchString=null&searchField=null&searchOper=null', datatype: 'json', mtype: 'GET', colNames: ['foo1','foo2', 'foo3'], colModel: [ { name:'rows.foobar1', index: 'foobar1', search:true, jsonmap: 'foobar1', width: 150, align: 'left', sortable:true}, { name:'rows.foobar2', index: 'foobar2', jsonmap: 'foobar2', width: 150, align: 'left'}, { name:'rows.foobar3', index: 'foobar3', jsonmap: 'foobar3', width: 240, align: 'left', sortable: true}], pager: '#pager', rowNum: 8, autowidth: true, rowList: [8, 16], sortname: 'foobar1', sortorder: 'asc', viewrecords: true, search : { caption: "Search...", Find: "Find", Reset: "Reset", odata : ['equal', 'not equal', 'less'], groupOps: [ { op: "AND", text: "all" }, { op: "OR", text: "any" }], matchText: " match", rulesText: " rules" }, caption: 'Foobar Data', jsonReader : { root: "rows", repeatitems: false }, height: 350, width: 800 }); html: <table id="list"></table> <div id="pager"></div>

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  • Perceptron Classification and Model Training

    - by jake pinedo
    I'm having an issue with understanding how the Perceptron algorithm works and implementing it. cLabel = 0 #class label: corresponds directly with featureVectors and tweets for m in range(miters): for point in featureVectors: margin = answers[cLabel] * self.dot_product(point, w) if margin <= 0: modifier = float(lrate) * float(answers[cLabel]) modifiedPoint = point for x in modifiedPoint: if x != 0: x *= modifier newWeight = [modifiedPoint[i] + w[i] for i in range(len(w))] w = newWeight self._learnedWeight = w This is what I've implemented so far, where I have a list of class labels in answers and a learning rate (lrate) and a list of feature vectors. I run it for the numbers of iterations in miter and then get the final weight at the end. However, I'm not sure what to do with this weight. I've trained the perceptron and now I have to classify a set of tweets, but I don't know how to do that. EDIT: Specifically, what I do in my classify method is I go through and create a feature vector for the data I'm given, which isn't a problem at all, and then I take the self._learnedWeight that I get from the earlier training code and compute the dot-product of the vector and the weight. My weight and feature vectors include a bias in the 0th term of the list so I'm including that. I then check to see if the dotproduct is less than or equal to 0: if so, then I classify it as -1. Otherwise, it's 1. However, this doesn't seem to be working correctly.

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  • Question about using adaptive layout + print style sheet

    - by Michael
    Hey everyone, In my web design class, we looked at creating different style sheets for different window sizes and using a javascript that detects the window size and loads the right style sheet. In the head, I'm linking to three external style sheets, as well as a link to the javascript file. So the adaptive layout works fine. However... I also need to be able to use a print style sheet with this particular webpage (it's the requirement for this project). The problem is this that the way the javascript was written makes it so that it ignores the print style sheet. When I go to print preview, it ignores the print style sheet and the preview shows me all of my webpage unstyled. It looks like just the html when opened in a browser. I am using the javascript by Kevin Hale at ParticleTree, and I'm sure there are those familiar with this :] http://particletree.com/examples/dynamiclayouts/ I would like to know what needs to be changed so that the print style sheet isn't ignored. I've shown this to my professor. However, her email wasn't clear enough, but I understand that somehow the script is ignoring the print.css and that's why the print preview shows a css-less preview. Since it's the weekend, I won't be able to get an answer until Monday, and I was hoping someone can help me out. Thank you very much! Michael

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  • Adaptive user interface/environment algorithm

    - by WowtaH
    Hi all, I'm working on an information system (in C#) that (while my users use it) gathers statistical data on what pieces of information (tables & records) each user is requesting the most, and what parts of the interface he/she uses most. I'm using this statistical data to make the application adaptive to the user's needs, both in the way the interface presents itself (eg: tab/pane-ordering) as in the way of using the frequently viewed information to (eg:) show higher in search results/suggestion-lists. What i'm looking for is an algorithm/formula to determine the current 'hotness'/relevance of these objects for a specific user. A simple 'hitcounter' for each object won't be sufficient because the user might view some information quite frequently for a period of time, and then moving on to the next, making the old information less relevant. So i think my algorithm also needs some sort of sliding/historical principle to account for the changing popularity of the objects in the application over time. So, the question is: Does anybody have some sort of algorithm that accounts for that 'popularity over time' ? Preferably with some explanation on the parameters :) Thanks! PS I've looked at other posts like http://stackoverflow.com/questions/32397/popularity-algorithm but i could't quite port it to my specific case. Any help is appreciated.

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  • Asynchronous event loop design and issues.

    - by Artyom
    Hello, I'm designing event loop for asynchronous socket IO using epoll/devpoll/kqueue/poll/select (including windows-select). I have two options of performing, IO operation: Non-blocking mode, poll on EAGAIN Set socket to non-blocking mode. Read/Write to socket. If operation succeeds, post completion notification to event loop. If I get EAGAIN, add socket to "select list" and poll socket. Polling mode: poll and then execute Add socket to select list and poll it. Wait for notification that it is readable writable read/write Post completion notification to event loop of sucseeds To me it looks like first would require less system calls when using in normal mode, especially for writing to socket (buffers are quite big). Also it looks like that it would be possible to reduce the overhead over number of "select" executions, especially it is nice when you do not have something that scales well as epoll/devpoll/kqueue. Questions: Are there any advantages of the second approach? Are there any portability issues with non-blocking operations on sockets/file descriptors over numerous operating systems: Linux, FreeBSD, Solaris, MacOSX, Windows. Notes: Please do not suggest using existing event-loop/socket-api implementations

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  • Oracle why does creating trigger fail when there is a field called timestamp?

    - by Omar Kooheji
    I've just wasted the past two hours of my life trying to create a table with an auto incrementing primary key bases on this tutorial, The tutorial is great the issue I've been encountering is that the Create Target fails if I have a column which is a timestamp and a table that is called timestamp in the same table... Why doesn't oracle flag this as being an issue when I create the table? Here is the Sequence of commands I enter: Creating the Table: CREATE TABLE myTable (id NUMBER PRIMARY KEY, field1 TIMESTAMP(6), timeStamp NUMBER, ); Creating the Sequence: CREATE SEQUENCE test_sequence START WITH 1 INCREMENT BY 1; Creating the trigger: CREATE OR REPLACE TRIGGER test_trigger BEFORE INSERT ON myTable REFERENCING NEW AS NEW FOR EACH ROW BEGIN SELECT test_sequence.nextval INTO :NEW.ID FROM dual; END; / Here is the error message I get: ORA-06552: PL/SQL: Compilation unit analysis terminated ORA-06553: PLS-320: the declaration of the type of this expression is incomplete or malformed Any combination that does not have the two lines with a the word "timestamp" in them works fine. I would have thought the syntax would be enough to differentiate between the keyword and a column name. As I've said I don't understand why the table is created fine but oracle falls over when I try to create the trigger... CLARIFICATION I know that the issue is that there is a column called timestamp which may or may not be a keyword. MY issue is why it barfed when I tried to create a trigger and not when I created the table, I would have at least expected a warning. That said having used Oracle for a few hours, it seems a lot less verbose in it's error reporting, Maybe just because I'm using the express version though. If this is a bug in Oracle how would one who doesn't have a support contract go about reporting it? I'm just playing around with the express version because I have to migrate some code from MySQL to Oracle.

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  • R: Why does read.table stop reading a file?

    - by Mike Dewar
    I have a file, called genes.txt, which I'd like to become a data.frame. It's got a lot of lines, each line has three, tab delimited fields: mike$ wc -l genes.txt 42476 genes.txt I'd like to read this file into a data.frame in R. I use the command read.table, like this: genes = read.table( genes_file, sep="\t", na.strings="-", fill=TRUE, col.names=c("GeneSymbol","synonyms","description") ) Which seems to work fine, where genes_file points at genes.txt. However, the number of lines in my data.frame is significantly less than the number of lines in my text file: > nrow(genes) [1] 27896 and things I can find in the text file: mike$ grep "SELL" genes.txt SELL CD62L|LAM1|LECAM1|LEU8|LNHR|LSEL|LYAM1|PLNHR|TQ1 selectin L don't seem to be in the data.frame > grep("SELL",genes$GeneSymbol) integer(0) it turns out that genes = read.delim( genes_file, header=FALSE, na.strings="-", fill=TRUE, col.names=c("GeneSymbol","synonyms","description"), ) works just fine. Why does read.delim work when read.table not? If it's of use, you can recreate genes.txt using the following commands which you should run from a command line curl -O ftp://ftp.ncbi.nlm.nih.gov/gene/DATA/gene_info.gz gzip -cd gene_info.gz | awk -Ft '$1==9606{print $3 "\t" $5 "\t" $9}' > genes.txt be warned, though, that gene_info.gz is 101MBish.

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  • 1k of Program Space, 64 bytes of RAM. Is assembly an absolute must?

    - by Earlz
    (If your lazy see bottom for TL;DR) Hello, I am planning to build a new (prototype) project dealing with physical computing. Basically, I have wires. These wires all need to have their voltage read at the same time. More than a few hundred microseconds difference between the readings of each wire will completely screw it up. The Arduino takes about 114 microseconds. So the most I could read is 2 or 3 wires before the latency would skew the accuracy of the readings. So my plan is to have an Arduino as the "master" of an array of ATTinys. The arduino is pretty cramped for space, but it's a massive playground compared to the tinys. An ATTiny13A has 1k of flash ROM(program space), 64 bytes of RAM, and 64 bytes of (not-durable and slow) EEPROM. (I'm choosing this for price as well as size) The ATTinys in my system will not do much. Basically, all they will do is wait for a signal from the Master, and then read the voltage of 1 or 2 wires and store it in RAM(or possibly EEPROM if it's that cramped). And then send it to the Master using only 1 wire for data.(no room for more than that!). So far then, all I should have to do is implement trivial voltage reading code (using built in ADC). But this communication bit I'm worried about. Do you think a communication protocol(using just 1 wire!) could even be implemented in such constraints? TL;DR: In less than 1k of program space and 64 bytes of RAM(and 64 bytes of EEPROM) do you think it is possible to implement a 1 wire communication protocol? Would I need to drop to assembly to make it fit? I know that currently my Arduino programs linking to the Wiring library are over 8k, so I'm a bit concerned.

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  • Trouble with __VA_ARGS__

    - by Noah Roberts
    C++ preprocessor __VA_ARGS__ number of arguments The accepted answer there doesn't work for me. I've tried with MSVC++ 10 and g++ 3.4.5. I also crunched the example down into something smaller and started trying to get some information printed out to me in the error: template < typename T > struct print; #include <boost/mpl/vector_c.hpp> #define RSEQ_N 10,9,8,7,6,5,4,3,2,1,0 #define ARG_N(_1,_2,_3,_4,_5,_6,_7,_8,_9,_10,N,...) N #define ARG_N_(...) ARG_N(__VA_ARGS__) #define XXX 5,RSEQ_N #include <iostream> int main() { print< boost::mpl::vector_c<int, ARG_N_( XXX ) > > g; // ARG_N doesn't work either. } It appears to me that the argument for ARG_N ends up being 'XXX' instead of 5,RSEQ_N and much less 5,10,...,0. The error output of g++ more specifically says that only one argument is supplied. Having trouble believing that the answer would be proposed and then accepted when it totally fails to work, so what am I doing wrong? Why is XXX being interpreted as the argument and not being expanded? In my own messing around everything works fine until I try to pass off VA_ARGS to a macro containing some names followed by ... like so: #define WTF(X,Y,...) X , Y , __VA_ARGS__ #define WOT(...) WTF(__VA_ARGS__) WOT(52,2,5,2,2) I've tried both with and without () in the various macros that take no input.

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  • Testing performance of queries in mysl

    - by Unreason
    I am trying to setup a script that would test performance of queries on a development mysql server. Here are more details: I have root access I am the only user accessing the server Mostly interested in InnoDB performance The queries I am optimizing are mostly search queries (SELECT ... LIKE '%xy%') What I want to do is to create reliable testing environment for measuring the speed of a single query, free from dependencies on other variables. Till now I have been using SQL_NO_CACHE, but sometimes the results of such tests also show caching behaviour - taking much longer to execute on the first run and taking less time on subsequent runs. If someone can explain this behaviour in full detail I might stick to using SQL_NO_CACHE; I do believe that it might be due to file system cache and/or caching of indexes used to execute the query, as this post explains. It is not clear to me when Buffer Pool and Key Buffer get invalidated or how they might interfere with testing. So, short of restarting mysql server, how would you recommend to setup an environment that would be reliable in determining if one query performs better then the other?

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