Search Results

Search found 6599 results on 264 pages for 'me myself and i'.

Page 247/264 | < Previous Page | 243 244 245 246 247 248 249 250 251 252 253 254  | Next Page >

  • How to best integrate generated code

    - by Arne
    I am evaluating the use of code generation for my flight simulation project. More specifically there is a requirement to allow "the average engineer" (no offense I am one myself) to define the differential equations that describe the dynamic system in a more natural syntax than C++ provides. The idea is to devise a abstract descriptor language that can be easily understood and edited to generate C++ code from. This descriptor is supplied by the modeling engineer and used by the ones implementing and maintaining the simulation evironment to generate code. I've got something like this in mind: model Aircraft has state x1, x2; state x3; input double : u; input bool : flag1, flag2; algebraic double : x1x2; model Engine : tw1, tw2; model Gear : gear; model ISA : isa; trim routine HorizontalFight; trim routine OnGround, General; constant double : c1, c2; constant int : ci1; begin differential equations x1' = x1 + 2.*x2; x2' = x2 + x1x2; begin algebraic equations x1x2 = x1*x2 + x1'; end model It is important to retain the flexibility of the C language thus the descriptor language is meant to only define certain parts of the definition and implementation of the model class. This way one enigneer provides the model in from of the descriptor language as examplified above and the maintenance enigneer will add all the code to read parameters from files, start/stop/pause the execution of the simulation and how a concrete object gets instatiated. My first though is to either generate two files from the descriptor file: one .h file containing declarations and one .cpp file containing the implementation of certain functions. These then need to be #included at appropriate places [File Aircarft.h] class Aircraft { public: void Aircraft(..); // hand-written constructor void ReadParameters(string &file_name); // hand-written private: /* more hand wirtten boiler-plate code */ /* generate declarations follow */ #include "Aircraft.generated.decl" }; [File Aircraft.cpp] Aircarft::Aircraft(..) { /* hand-written constructer implementation */ } /* more hand-written implementation code */ /* generated implementation code follows */ #include "Aircraft.generated.impl" Any thoughts or suggestions?

    Read the article

  • Fixing up an entity framework query

    - by vdh_ant
    My table structure is as follows: Person 1-M PesonAddress Person 1-M PesonPhone Person 1-M PesonEmail Person 1-M Contract Contract M-M Program Contract M-1 Organization At the end of this query I need a populated object graph where each person has their: PesonAddress's PesonPhone's PesonEmail's PesonPhone's Contract's - and this has its respective Program's Now I had the following query and I thought that it was working great, but it has a couple of problems: from people in ctx.People.Include("PersonAddress") .Include("PersonLandline") .Include("PersonMobile") .Include("PersonEmail") .Include("Contract") .Include("Contract.Program") where people.Contract.Any( contract => (param.OrganizationId == contract.OrganizationId) && contract.Program.Any( contractProgram => (param.ProgramId == contractProgram.ProgramId))) select people; The problem is that it filters the person to the criteria but not the Contracts or the Contract's Programs. It brings back all Contracts that each person has not just the ones that have an OrganizationId of x and the same goes for each of those Contract's Programs respectively. What I want is only the people that have at least one contract with an OrgId of x with and where that contract has a Program with the Id of y... and for the object graph that is returned to have only the contracts that match and programs within that contract that match. I kinda understand why its not working, but I don't know how to change it so it is working... This is my attempt thus far: from people in ctx.People.Include("PersonAddress") .Include("PersonLandline") .Include("PersonMobile") .Include("PersonEmail") .Include("Contract") .Include("Contract.Program") let currentContracts = from contract in people.Contract where (param.OrganizationId == contract.OrganizationId) select contract let currentContractPrograms = from contractProgram in currentContracts let temp = from x in contractProgram.Program where (param.ProgramId == contractProgram.ProgramId) select x where temp.Any() select temp where currentContracts.Any() && currentContractPrograms.Any() select new Person { PersonId = people.PersonId, FirstName = people.FirstName, ..., ...., MiddleName = people.MiddleName, Surname = people.Surname, ..., ...., Gender = people.Gender, DateOfBirth = people.DateOfBirth, ..., ...., Contract = currentContracts, ... }; //This doesn't work But this has several problems (where the Person type is an EF object): I am left to do the mapping by myself, which in this case there is quite a lot to map When ever I try to map a list to a property (i.e. Scholarship = currentScholarships) it says I can't because IEnumerable is trying to be cast to EntityCollection Include doesn't work Hence how do I get this to work. Keeping in mind that I am trying to do this as a compiled query so I think that means anonymous types are out.

    Read the article

  • Dependency property does not work within a geometry in a controltemplate

    - by Erik Bongers
    I have a DepencencyProperty (a boolean) that works fine on an Ellipse, but not on an ArcSegment. Am I doing something that is not possible? Here's part of the xaml. Both the TemplateBindings of Origin and LargeArc do not work in the geometry. But the LargeArc DependencyProperty does work in the Ellipse, so my DependencyProperty seems to be set up correctly. <ControlTemplate TargetType="{x:Type nodes:TestCircle}"> <Canvas Background="AliceBlue"> <Ellipse Height="10" Width="10" Fill="Yellow" Visibility="{TemplateBinding LargeArc, Converter={StaticResource BoolToVisConverter}}"/> <Path Canvas.Left="0" Canvas.Top="0" Stroke="Black" StrokeThickness="3"> <Path.Data> <GeometryGroup> <PathGeometry> <PathFigure IsClosed="True" StartPoint="{TemplateBinding Origin}"> <LineSegment Point="150,100" /> <ArcSegment Point="140,150" IsLargeArc="{TemplateBinding LargeArc}" Size="50,50" SweepDirection="Clockwise"/> </PathFigure> </PathGeometry> </GeometryGroup> </Path.Data> </Path> </Canvas> </ControlTemplate> What I'm trying to build is a (sort of) pie-shaped usercontrol where the shape of the Pie is defined by DependencyProperties and the actual graphics used are in a template, so they can be replaced or customized. In other words: I would like the code-behind to be visual-free (which, I assume, is good separation). SOLUTION--------------------------(I'm not allowed to answer my own questions yet) I found the answer myself, and this can be useful for others encountering the same issue. This is why the TemplateBinding on the Geometry failed: A TemplateBinding will only work when binding a DependencyProperty to another DependencyProperty. Following article set me on the right track: http://blogs.msdn.com/b/liviuc/archive/2009/12/14/wpf-templatebinding-vs-relativesource-templatedparent.aspx The ArcSegment properties are no DependencyProperties. Thus, the solution to the above problem is to replace <ArcSegment Point="140,150" IsLargeArc="{TemplateBinding LargeArc}" with <ArcSegment Point="140,150" IsLargeArc="{Binding RelativeSource={RelativeSource TemplatedParent}, Path=LargeArc}" Colin, your working example where an 'ordinary' binding was used in the geometry set me on the right track. BTW, love the infographics and the construction of your UserControl in your blogpost. And, hey, that quick tip on code snippets, and especially on that DP attribute and the separation of those DPs into a partial class file is pure gold!

    Read the article

  • How are you using IronPython?

    - by Will Dean
    I'm keen to drink some modern dynamic language koolaid, so I've believed all the stuff on Michael Foord's blog and podcasts, I've bought his book (and read some of it), and I added an embedded IPy runtime to a large existing app a year or so ago (though that was for someone else and I didn't really use it myself). Now I need to do some fairly simple code generation stuff, where I'm going to call a few methods on a few .net objects (custom, C#-authored objects), create a few strings, write some files, etc. The experience of trying this leaves me feeling like the little boy who thinks he's the only one who can see that The Emperor has no clothes on. If you're using IronPython, I'd really appreciate knowing how you deal with the following aspects of it: Code editing - do you use the .NET framework without Intellisense? Refactoring - I know a load of 'refactoring' is about working around language-related busywork, so if Python is sufficiently lightweight then we won't need that, But things like renames seem to me to be essential to iteratively developing quality code regardless of language. Crippling startup time - One of the things which is supposed to be good about interpreted languages is the lack of compile time leading to fast interactive development. Unfortunately I can compile a C# application and launch it quicker than IPy can start up. Interactive hacking - the IPy console/repl is supposed to be good for this, but I haven't found a good way to take the code you've interactively arrived at and persist it into a file - cut and paste from the console is fairly miserable. And the console seems to hold references to .NET assemblies you've imported, so you have to quit it and restart it if you're working on the C# stuff as well. Hacking on C# in something like LinqPad seems a much faster and easier way to try things out (and has proper Intellisense). Do you use the console? Debugging - what's the story here? I know someone on the IPy team is working on a command-line hobby-project, but let's just say I'm not immediately attracted to a command line debugger. I don't really need a debugger from little Python scripts, but I would if I were to use IPy for scripting unit tests, for example. Unit testing - I can see that dynamic languages could be great for this, but is there any IDE test-runner integration (like for Resharper, etc). The Foord book has a chapter about this, which I'll admit I have not yet read properly, but it does seem to involve driving a console-mode test-runner from the command prompt, which feels to be an enormous step back from using an integrated test runner like TestDriven.net or Resharper. I really want to believe in this stuff, so I am still working on the assumption that I've missed something. I would really like to know how other people are dealing with IPy, particularly if they're doing it in a way which doesn't feel like we've just lost 15 years'-worth of tool development.

    Read the article

  • Write Scheme data structures so they can be eval-d back in, or alternative

    - by Jesse Millikan
    I'm writing an application (A juggling pattern animator) in PLT Scheme that accepts Scheme expressions as values for some fields. I'm attempting to write a small text editor that will let me "explode" expressions into expressions that can still be eval'd but contain the data as literals for manual tweaking. For example, (4hss->sexp "747") is a function call that generates a legitimate pattern. If I eval and print that, it becomes (((7 3) - - -) (- - (4 2) -) (- (7 2) - -) (- - - (7 1)) ((4 0) - - -) (- - (7 0) -) (- (7 2) - -) (- - - (4 3)) ((7 3) - - -) (- - (7 0) -) (- (4 1) - -) (- - - (7 1))) which can be "read" as a string, but will not "eval" the same as the function. For this statement, of course, what I need would be as simple as (quote (((7 3... but other examples are non-trivial. This one, for example, contains structs which print as vectors: pair-of-jugglers ; --> (#(struct:hand #(struct:position -0.35 2.0 1.0) #(struct:position -0.6 2.05 1.1) 1.832595714594046) #(struct:hand #(struct:position 0.35 2.0 1.0) #(struct:position 0.6 2.0500000000000003 1.1) 1.308996938995747) #(struct:hand #(struct:position 0.35 -2.0 1.0) #(struct:position 0.6 -2.05 1.1) -1.3089969389957472) #(struct:hand #(struct:position -0.35 -2.0 1.0) #(struct:position -0.6 -2.05 1.1) -1.8325957145940461)) I've thought of at least three possible solutions, none of which I like very much. Solution A is to write a recursive eval-able output function myself for a reasonably large subset of the values that I might be using. There (probably...) won't be any circular references by the nature of the data structures used, so that wouldn't be such a long job. The output would end up looking like `(((3 0) (... ; ex 1 `(,(make-hand (make-position ... ; ex 2 Or even worse if I could't figure out how to do it properly with quasiquoting. Solution B would be to write out everything as (read (open-input-string "(big-long-s-expression)")) which, technically, solves the problem I'm bringing up but is... ugly. Solution C might be a different approach of giving up eval and using only read for parsing input, or an uglier approach where the s-expression is used as directly data if eval fails, but those both seem unpleasant compared to using scheme values directly. Undiscovered Solution D would be a PLT Scheme option, function or library I haven't located that would match Solution A. Help me out before I start having bad recursion dreams again.

    Read the article

  • What's the standard algorithm for syncing two lists of objects?

    - by Oliver Giesen
    I'm pretty sure this must be in some kind of text book (or more likely in all of them) but I seem to be using the wrong keywords to search for it... :( A common task I'm facing while programming is that I am dealing with lists of objects from different sources which I need to keep in sync somehow. Typically there's some sort of "master list" e.g. returned by some external API and then a list of objects I create myself each of which corresponds to an object in the master list. Sometimes the nature of the external API will not allow me to do a live sync: For instance the external list might not implement notifications about items being added or removed or it might notify me but not give me a reference to the actual item that was added or removed. Furthermore, refreshing the external list might return a completely new set of instances even though they still represent the same information so simply storing references to the external objects might also not always be feasible. Another characteristic of the problem is that both lists cannot be sorted in any meaningful way. You should also assume that initializing new objects in the "slave list" is expensive, i.e. simply clearing and rebuilding it from scratch is not an option. So how would I typically tackle this? What's the name of the algorithm I should google for? In the past I have implemented this in various ways (see below for an example) but it always felt like there should be a cleaner and more efficient way. Here's an example approach: Iterate over the master list Look up each item in the "slave list" Add items that do not yet exist Somehow keep track of items that already exist in both lists (e.g. by tagging them or keeping yet another list) When done iterate once more over the slave list Remove all objects that have not been tagged (see 4.) Update Thanks for all your responses so far! I will need some time to look at the links. Maybe one more thing worthy of note: In many of the situations where I needed this the implementation of the "master list" is completely hidden from me. In the most extreme cases the only access I might have to the master list might be a COM-interface that exposes nothing but GetFirst-, GetNext-style methods. I'm mentioning this because of the suggestions to either sort the list or to subclass it both of which is unfortunately not practical in these cases unless I copy the elements into a list of my own and I don't think that would be very efficient. I also might not have made it clear enough that the elements in the two lists are of different types, i.e. not assignment-compatible: Especially, the elements in the master list might be available as interface references only.

    Read the article

  • Help to understand and recode javascript function to deal with special characters.

    - by Cesar Lopez
    Hi all, I am trying to rewrite a javascript function since I was told this function its a bit nasty peace of code and it could be nicely written by a very kind user from here. I have been trying to understand what the function does, therefore I could rewrite it properly, but since I dont fully understand how it works its a very difficult task. Therefore I am looking for help and directions (NOT THE SOLUTION AS I WANT TO LEARN MYSELF) to understand and rewrite this function in a nicer way. The function its been made for dealing with special characters, and I know that it loops through the string sent to it, search for special characters, and add what it needs to the string to make it a valid string. I have been trying to use value.replace(/"/gi,"/""), but surely I am doing it wrong as it crashes. Could anybody tell me where to start to recode function? Any help would be appreciated. My comments on the function are in capital letters. Code <script type="text/javascript"> function convertString(value){ for(var z=0; z <= value.length -1; z++) { //if current character is a backslash||WHY IS IT CHECKING FOR \\,\\r\\n,and \\n? if(value.substring(z, z + 1)=="\\" && (value.substring(z, z + 4)!="\\r\\n" && value.substring(z, z + 2)!="\\n")) {//WHY IS IT ADDING \\\\ TO THE STRING? value = value.substring(0, z) + "\\\\" + value.substring(z + 1, value.length); z++; } if(value.substring(z, z + 1)=="\\" && value.substring(z, z + 4)=="\\r\\n") {//WHY IS IT ADDING 4 TO Z IN THIS CASE? z = z+4; } if(value.substring(z, z + 1)=="\\" && value.substring(z, z + 2)=="\\n") {//WHY IS IT ADDING 2 TO Z IN THIS CASE? z = z+2; } } //replace " with \" //loop through each character for(var x = 0; x <= value.length -1; x++){ //if current character is a quote if(value.substring(x, x + 1)=="\""){//THIS IS TO FIND \, BUT HAVENT THIS BEEN DONE BEFFORE? //concatenate: value up to the quote + \" + value AFTER the quote||WHY IS IT ADDING \\ BEFORE \"? value = value.substring(0, x) + "\\\"" + value.substring(x + 1, value.length); //account for extra character x++; } } //return the modified string return(value); } <script> Comments within the code on capital letters are my questions about the function as I mention above. I would appreciate any help, orientation, advise, BUT NOT THE SOLUTION PLEASE AS I DO WANT TO LEARN.

    Read the article

  • Need help with joins in sqlalchemy

    - by Steve
    I'm new to Python, as well as SQL Alchemy, but not the underlying development and database concepts. I know what I want to do and how I'd do it manually, but I'm trying to learn how an ORM works. I have two tables, Images and Keywords. The Images table contains an id column that is its primary key, as well as some other metadata. The Keywords table contains only an id column (foreign key to Images) and a keyword column. I'm trying to properly declare this relationship using the declarative syntax, which I think I've done correctly. Base = declarative_base() class Keyword(Base): __tablename__ = 'Keywords' __table_args__ = {'mysql_engine' : 'InnoDB'} id = Column(Integer, ForeignKey('Images.id', ondelete='CASCADE'), primary_key=True) keyword = Column(String(32), primary_key=True) class Image(Base): __tablename__ = 'Images' __table_args__ = {'mysql_engine' : 'InnoDB'} id = Column(Integer, primary_key=True, autoincrement=True) name = Column(String(256), nullable=False) keywords = relationship(Keyword, backref='image') This represents a many-to-many relationship. One image can have many keywords, and one keyword can relate back to many images. I want to do a keyword search of my images. I've tried the following with no luck. Conceptually this would've been nice, but I understand why it doesn't work. image = session.query(Image).filter(Image.keywords.contains('boy')) I keep getting errors about no foreign key relationship, which seems clearly defined to me. I saw something about making sure I get the right 'join', and I'm using 'from sqlalchemy.orm import join', but still no luck. image = session.query(Image).select_from(join(Image, Keyword)).\ filter(Keyword.keyword == 'boy') I added the specific join clause to the query to help it along, though as I understand it, I shouldn't have to do this. image = session.query(Image).select_from(join(Image, Keyword, Image.id==Keyword.id)).filter(Keyword.keyword == 'boy') So finally I switched tactics and tried querying the keywords and then using the backreference. However, when I try to use the '.images' iterating over the result, I get an error that the 'image' property doesn't exist, even though I did declare it as a backref. result = session.query(Keyword).filter(Keyword.keyword == 'boy').all() I want to be able to query a unique set of image matches on a set of keywords. I just can't guess my way to the syntax, and I've spent days reading the SQL Alchemy documentation trying to piece this out myself. I would very much appreciate anyone who can point out what I'm missing.

    Read the article

  • References between Spring beans when using a NameSpaceHandler

    - by teabot
    I'm trying to use a Spring context namespace to build some existing configuration objects in an application. I have defined a context and pretty much have if working satisfactorily - however, I'd like one bean defined by my namespace to implicitly reference another: Consider the class named 'Node': public Class Node { private String aField; private Node nextNode; public Node(String aField, Node nextNode) { ... } Now in my Spring context I have something like so: <myns:container> <myns:node aField="nodeOne"/> <myns:node aField="nodeTwo"/> </myns:container> Now I'd like nodeOne.getNode() == nodeTwo to be true. So that nodeOne.getNode() and nodeTwo refer to the same bean instance. These are pretty much the relevant parts I have in my AbstractBeanDefinitionParser: public AbstractBeanDefinition parseInternal(Element element, ParserContext parserContext) { ... BeanDefinitionBuilder containerFactory = BeanDefinitionBuilder.rootBeanDefinition(ContainerFactoryBean.class); List<BeanDefinition> containerNodes = Lists.newArrayList(); String previousNodeBeanName; // iterate backwards over the 'node' elements for (int i = nodeElements.size() - 1; i >= 0; --i) { BeanDefinitionBuilder node = BeanDefinitionBuilder.rootBeanDefinition(Node.class); node.setScope(BeanDefinition.SCOPE_SINGLETON); String nodeField = nodeElements.getAttribute("aField"); node.addConstructorArgValue(nodeField); if (previousNodeBeanName != null) { node.addConstructorArgValue(new RuntimeBeanReference(previousNodeBeanName)); } else { node.addConstructorArgValue(null); } BeanDefinition nodeDefinition = node.getBeanDefinition(); previousNodeBeanName = "inner-node-" + nodeField; parserContext.getRegistry().registerBeanDefinition(previousNodeBeanName, nodeDefinition); containerNodes.add(node); } containerFactory.addPropertyValue("nodes", containerNodes); } When the application context is created my Node instances are created and recognized as singletons. Furthermore, the nextNode property is populated with a Node instance with the previous nodes configuration - however, it isn't the same instance. If I output a log message in Node's constructor I see two instances created for each node bean definition. I can think of a few workarounds myself but I'm keen to use the existing model. So can anyone tell me how I can pass these runtime bean references so that I get the correct singleton behaviour for my Node instances?

    Read the article

  • How safe is my safe rethrow?

    - by gustafc
    (Late edit: This question will hopefully be obsolete when Java 7 comes, because of the "final rethrow" feature which seems like it will be added.) Quite often, I find myself in situations looking like this: do some initialization try { do some work } catch any exception { undo initialization rethrow exception } In C# you can do it like this: InitializeStuff(); try { DoSomeWork(); } catch { UndoInitialize(); throw; } For Java, there's no good substitution, and since the proposal for improved exception handling was cut from Java 7, it looks like it'll take at best several years until we get something like it. Thus, I decided to roll my own: (Edit: Half a year later, final rethrow is back, or so it seems.) public final class Rethrow { private Rethrow() { throw new AssertionError("uninstantiable"); } /** Rethrows t if it is an unchecked exception. */ public static void unchecked(Throwable t) { if (t instanceof Error) throw (Error) t; if (t instanceof RuntimeException) throw (RuntimeException) t; } /** Rethrows t if it is an unchecked exception or an instance of E. */ public static <E extends Exception> void instanceOrUnchecked( Class<E> exceptionClass, Throwable t) throws E, Error, RuntimeException { Rethrow.unchecked(t); if (exceptionClass.isInstance(t)) throw exceptionClass.cast(t); } } Typical usage: public void doStuff() throws SomeException { initializeStuff(); try { doSomeWork(); } catch (Throwable t) { undoInitialize(); Rethrow.instanceOrUnchecked(SomeException.class, t); // We shouldn't get past the above line as only unchecked or // SomeException exceptions are thrown in the try block, but // we don't want to risk swallowing an error, so: throw new SomeException("Unexpected exception", t); } private void doSomeWork() throws SomeException { ... } } It's a bit wordy, catching Throwable is usually frowned upon, I'm not really happy at using reflection just to rethrow an exception, and I always feel a bit uneasy writing "this will not happen" comments, but in practice it works well (or seems to, at least). What I wonder is: Do I have any flaws in my rethrow helper methods? Some corner cases I've missed? (I know that the Throwable may have been caused by something so severe that my undoInitialize will fail, but that's OK.) Has someone already invented this? I looked at Commons Lang's ExceptionUtils but that does other things. Edit: finally is not the droid I'm looking for. I'm only interested to do stuff when an exception is thrown. Yes, I know catching Throwable is a big no-no, but I think it's the lesser evil here compared to having three catch clauses (for Error, RuntimeException and SomeException, respectively) with identical code. Note that I'm not trying to suppress any errors - the idea is that any exceptions thrown in the try block will continue to bubble up through the call stack as soon as I've rewinded a few things.

    Read the article

  • Different positions in ViewPager

    - by Kalai Selvan.G
    In my Application am using ViewPager to swipe the images,which comes through webservice as URL. Everything goes smoothly,the problem is while swiping myself getting the position as collapsed one.. Swipe left-right: positions are 1,2,3,4,5,etc.. if i stops swiping at 5th pos and started to Swipe from right-left: positions are 2,1...why this happens? I need to catch the position of the imageURL to find out the ID of the specific image and so i need to download and set it as wallpaper.. Normally while we swipe from right-left,the positions should decrease like 4,3,2,1. Also in debugger mode i got some start position,end position,last position with different values.. Any Clue about ViewPager. Here is my code: public class ImagePagerActivity extends BaseActivity { private ViewPager pager; private DisplayImageOptions options; public void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); setContentView(R.layout.ac_image_pager); Bundle bundle = getIntent().getExtras(); String[] imageUrls = bundle.getStringArray(Extra.IMAGES); int pagerPosition = bundle.getInt(Extra.IMAGE_POSITION, 0); options = new DisplayImageOptions.Builder() .showImageForEmptyUrl(R.drawable.image_for_empty_url) .cacheOnDisc() .decodingType(DecodingType.MEMORY_SAVING) .build(); pager = (ViewPager) findViewById(R.id.pager); pager.setAdapter(new ImagePagerAdapter(imageUrls)); pager.setCurrentItem(pagerPosition); } private class ImagePagerAdapter extends PagerAdapter { private String[] images; private LayoutInflater inflater; ImagePagerAdapter(String[] images) { this.images = images; inflater = getLayoutInflater(); } @Override public void destroyItem(View container, int position, Object object) { ((ViewPager) container).removeView((View) object); } @Override public void finishUpdate(View container) { } @Override public int getCount() { return images.length; } @Override public Object instantiateItem(View view, int position) { final FrameLayout imageLayout = (FrameLayout) inflater.inflate(R.layout.item_pager_image, null); final ImageView imageView = (ImageView) imageLayout.findViewById(R.id.image); final ProgressBar spinner = (ProgressBar) imageLayout.findViewById(R.id.loading); imageLoader.displayImage(images[position], imageView, options, new ImageLoadingListener() { public void onLoadingStarted() { spinner.setVisibility(View.VISIBLE); } public void onLoadingFailed() { spinner.setVisibility(View.GONE); imageView.setImageResource(android.R.drawable.ic_delete); } public void onLoadingComplete() { spinner.setVisibility(View.GONE); } }); ((ViewPager) view).addView(imageLayout, 0); return imageLayout; } @Override public boolean isViewFromObject(View view, Object object) { return view.equals(object); } @Override public void restoreState(Parcelable state, ClassLoader loader) { } @Override public Parcelable saveState() { return null; } @Override public void startUpdate(View container) { } } }

    Read the article

  • Class hierarchy problem (with generic's variance!)

    - by devoured elysium
    The problem: class StatesChain : IState, IHasStateList { private TasksChain tasks = new TasksChain(); ... public IList<IState> States { get { return _taskChain.Tasks; } } IList<ITask> IHasTasksCollection.Tasks { get { return _taskChain.Tasks; } <-- ERROR! You can't do this in C#! I want to return an IList<ITask> from an IList<IStates>. } } Assuming the IList returned will be read-only, I know that what I'm trying to achieve is safe (or is it not?). Is there any way I can accomplish what I'm trying? I wouldn't want to try to implement myself the TasksChain algorithm (again!), as it would be error prone and would lead to code duplication. Maybe I could just define an abstract Chain and then implement both TasksChain and StatesChain from there? Or maybe implementing a Chain<T> class? How would you approach this situation? The Details: I have defined an ITask interface: public interface ITask { bool Run(); ITask FailureTask { get; } } and a IState interface that inherits from ITask: public interface IState : ITask { IState FailureState { get; } } I have also defined an IHasTasksList interface: interface IHasTasksList { List<Tasks> Tasks { get; } } and an IHasStatesList: interface IHasTasksList { List<Tasks> States { get; } } Now, I have defined a TasksChain, that is a class that has some code logic that will manipulate a chain of tasks (beware that TasksChain is itself a kind of ITask!): class TasksChain : ITask, IHasTasksList { IList<ITask> tasks = new List<ITask>(); ... public List<ITask> Tasks { get { return _tasks; } } ... } I am implementing a State the following way: public class State : IState { private readonly TaskChain _taskChain = new TaskChain(); public State(Precondition precondition, Execution execution) { _taskChain.Tasks.Add(precondition); _taskChain.Tasks.Add(execution); } public bool Run() { return _taskChain.Run(); } public IState FailureState { get { return (IState)_taskChain.Tasks[0].FailureTask; } } ITask ITask.FailureTask { get { return FailureState; } } } which, as you can see, makes use of explicit interface implementations to "hide" FailureTask and instead show FailureState property. The problem comes from the fact that I also want to define a StatesChain, that inherits both from IState and IHasStateList (and that also imples ITask and IHasTaskList, implemented as explicit interfaces) and I want it to also hide IHasTaskList's Tasks and only show IHasStateList's States. (What is contained in "The problem" section should really be after this, but I thought puting it first would be way more reader friendly). (pff..long text) Thanks!

    Read the article

  • Event sourcing: Write event before or after updating the model

    - by Magnus
    I'm reasoning about event sourcing and often I arrive at a chicken and egg problem. Would be grateful for some hints on how to reason around this. If I execute all I/O-bound processing async (ie writing to the event log) then how do I handle, or sometimes even detect, failures? I'm using Akka Actors so processing is sequential for each event/message. I do not have any database at this time, instead I would persist all the events in an event log and then keep an aggregated state of all the events in a model stored in memory. Queries are all against this model, you can consider it to be a cache. Example Creating a new user: Validate that the user does not exist in model Persist event to journal Update model (in memory) If step 3 breaks I still have persisted my event so I can replay it at a later date. If step 2 breaks I can handle that as well gracefully. This is fine, but since step 2 is I/O-bound I figured that I should do I/O in a separate actor to free up the first actor for queries: Updating a user while allowing queries (A0 = Front end/GUI actor, A1 = Processor Actor, A2 = IO-actor, E = event bus). (A0-E-A1) Event is published to update user 'U1'. Validate that the user 'U1' exists in model (A1-A2) Persist event to journal (separate actor) (A0-E-A1-A0) Query for user 'U1' profile (A2-A1) Event is now persisted continue to update model (A0-E-A1-A0) Query for user 'U1' profile (now returns fresh data) This is appealing since queries can be processed while I/O-is churning along at it's own pace. But now I can cause myself all kinds of problems where I could have two incompatible commands (delete and then update) be persisted to the event log and crash on me when replayed up at a later date, since I do the validation before persisting the event and then update the model. My aim is to have a simple reasoning around my model (since Actor processes messages sequentially single threaded) but not be waiting for I/O-bound updates when Querying. I get the feeling I'm modeling a database which in itself is might be a problem. If things are unclear please write a comment.

    Read the article

  • Multiprogramming in Django, writing to the Database

    - by Marcus Whybrow
    Introduction I have the following code which checks to see if a similar model exists in the database, and if it does not it creates the new model: class BookProfile(): # ... def save(self, *args, **kwargs): uniqueConstraint = {'book_instance': self.book_instance, 'collection': self.collection} # Test for other objects with identical values profiles = BookProfile.objects.filter(Q(**uniqueConstraint) & ~Q(pk=self.pk)) # If none are found create the object, else fail. if len(profiles) == 0: super(BookProfile, self).save(*args, **kwargs) else: raise ValidationError('A Book Profile for that book instance in that collection already exists') I first build my constraints, then search for a model with those values which I am enforcing must be unique Q(**uniqueConstraint). In addition I ensure that if the save method is updating and not inserting, that we do not find this object when looking for other similar objects ~Q(pk=self.pk). I should mention that I ham implementing soft delete (with a modified objects manager which only shows non-deleted objects) which is why I must check for myself rather then relying on unique_together errors. Problem Right thats the introduction out of the way. My problem is that when multiple identical objects are saved in quick (or as near as simultaneous) succession, sometimes both get added even though the first being added should prevent the second. I have tested the code in the shell and it succeeds every time I run it. Thus my assumption is if say we have two objects being added Object A and Object B. Object A runs its check upon save() being called. Then the process saving Object B gets some time on the processor. Object B runs that same test, but Object A has not yet been added so Object B is added to the database. Then Object A regains control of the processor, and has allready run its test, even though identical Object B is in the database, it adds it regardless. My Thoughts The reason I fear multiprogramming could be involved is that each Object A and Object is being added through an API save view, so a request to the view is made for each save, thus not a single request with multiple sequential saves on objects. It might be the case that Apache is creating a process for each request, and thus causing the problems I think I am seeing. As you would expect, the problem only occurs sometimes, which is characteristic of multiprogramming or multiprocessing errors. If this is the case, is there a way to make the test and set parts of the save() method a critical section, so that a process switch cannot happen between the test and the set?

    Read the article

  • What's the best Scala build system?

    - by gatoatigrado
    I've seen questions about IDE's here -- Which is the best IDE for Scala development? and What is the current state of tooling for Scala?, but I've had mixed experiences with IDEs. Right now, I'm using the Eclipse IDE with the automatic workspace refresh option, and KDE 4's Kate as my text editor. Here are some of the problems I'd like to solve: use my own editor IDEs are really geared at everyone using their components. I like Kate better, but the refresh system is very annoying (it doesn't use inotify, rather, maybe a 10s polling interval). The reason I don't use the built-in text editor is because broken auto-complete functionalities cause the IDE to hang for maybe 10s. rebuild only modified files The Eclipse build system is broken. It doesn't know when to rebuild classes. I find myself almost half of the time going to project-clean. Worse, it seems even after it has finished building my project, a few minutes later it will pop up with some bizarre error (edit - these errors appear to be things that were previously solved with a project clean, but then come back up...). Finally, setting "Preferences / Continue launch if project contains errors" to "prompt" seems to have no effect for Scala projects (i.e. it always launches even if there are errors). build customization I can use the "nightly" release, but I'll want to modify and use my own Scala builds, not the compiler that's built into the IDE's plugin. It would also be nice to pass [e.g.] -Xprint:jvm to the compiler (to print out lowered code). fast compiling Though Eclipse doesn't always build right, it does seem snappy -- even more so than fsc. I looked at Ant and Maven, though haven't employed either yet (I'll also need to spend time solving #3 and #4). I wanted to see if anyone has other suggestions before I spend time getting a suboptimal build system working. Thanks in advance! UPDATE - I'm now using Maven, passing a project as a compiler plugin to it. It seems fast enough; I'm not sure what kind of jar caching Maven does. A current repository for Scala 2.8.0 is available [link]. The archetypes are very cool, and cross-platform support seems very good. However, about compile issues, I'm not sure if fsc is actually fixed, or my project is stable enough (e.g. class names aren't changing) -- running it manually doesn't bother me as much. If you'd like to see an example, feel free to browse the pom.xml files I'm using [github]. UPDATE 2 - from benchmarks I've seen, Daniel Spiewak is right that buildr's faster than Maven (and, if one is doing incremental changes, Maven's 10 second latency gets annoying), so if one can craft a compatible build file, then it's probably worth it...

    Read the article

  • Parsing language for both binary and character files

    - by Thorsten S.
    The problem: You have some data and your program needs specified input. For example strings which are numbers. You are searching for a way to transform the original data in a format you need. And the problem is: The source can be anything. It can be XML, property lists, binary which contains the needed data deeply embedded in binary junk. And your output format may vary also: It can be number strings, float, doubles.... You don't want to program. You want routines which gives you commands capable to transform the data in a form you wish. Surely it contains regular expressions, but it is very good designed and it offers capabilities which are sometimes much more easier and more powerful. Something like a super-grep which you can access (!) as program routines, not only as tool. It allows: joining/grouping/merging of results inserting/deleting/finding/replacing write macros which allows to execute a command chain repeatedly meta-grouping (lists-tables-hypertables) Example (No, I am not looking for a solution to this, it is just an example): You want to read xml strings embedded in a binary file with variable length records. Your tool reads the record length and deletes the junk surrounding your text. Now it splits open the xml and extracts the strings. Being Indian number glyphs and containing decimal commas instead of decimal points, your tool transforms it into ASCII and replaces commas with points. Now the results must be stored into matrices of variable length....etc. etc. I am searching for a good language / language-design and if possible, an implementation. Which design do you like or even, if it does not fulfill the conditions, wouldn't you want to miss ? EDIT: The question is if a solution for the problem exists and if yes, which implementations are available. You DO NOT implement your own sorting algorithm if Quicksort, Mergesort and Heapsort is available. You DO NOT invent your own text parsing method if you have regular expressions. You DO NOT invent your own 3D language for graphics if OpenGL/Direct3D is available. There are existing solutions or at least papers describing the problem and giving suggestions. And there are people who may have worked and experienced such problems and who can give ideas and suggestions. The idea that this problem is totally new and I should work out and implement it myself without background knowledge seems for me, I must admit, totally off the mark.

    Read the article

  • deleted gen folder, eclipse isn't generating it now :(

    - by LuxuryMode
    I accidentally deleted my gen folder and now, predictably, my resources are all messed up. I just created a gen folder myself and tried to project clean - that didn't work. Tried right-clicking project and going to android tools fix project properties - didn't work. Tried unchecking build automatically...didn't work. cleaned, closed project, closed eclipse, restarted, etc, etc. Nothing is working and I keep seeing this error: gen already exists but is not a source folder. Convert to a source folder or rename it. EDIT - OK was able to generate R.java, but now I'm getting crazy stuff in the console: [2011-06-14 17:06:11 - fastapp] Conversion to Dalvik format failed with error 1 [2011-06-14 17:06:42 - fastapp] Dx trouble processing "java/awt/font/NumericShaper.class": Ill-advised or mistaken usage of a core class (java.* or javax.*) when not building a core library. This is often due to inadvertently including a core library file in your application's project, when using an IDE (such as Eclipse). If you are sure you're not intentionally defining a core class, then this is the most likely explanation of what's going on. However, you might actually be trying to define a class in a core namespace, the source of which you may have taken, for example, from a non-Android virtual machine project. This will most assuredly not work. At a minimum, it jeopardizes the compatibility of your app with future versions of the platform. It is also often of questionable legality. If you really intend to build a core library -- which is only appropriate as part of creating a full virtual machine distribution, as opposed to compiling an application -- then use the "--core-library" option to suppress this error message. If you go ahead and use "--core-library" but are in fact building an application, then be forewarned that your application will still fail to build or run, at some point. Please be prepared for angry customers who find, for example, that your application ceases to function once they upgrade their operating system. You will be to blame for this problem. If you are legitimately using some code that happens to be in a core package, then the easiest safe alternative you have is to repackage that code. That is, move the classes in question into your own package namespace. This means that they will never be in conflict with core system classes. JarJar is a tool that may help you in this endeavor. If you find that you cannot do this, then that is an indication that the path you are on will ultimately lead to pain, suffering, grief, and lamentation. [2011-06-14 17:06:42 - fastapp] Dx 1 error; aborting [2011-06-14 17:06:42 - fastapp] Conversion to Dalvik format failed with error 1 And eclipse can't resolve the import of my resources import com.me.fastapp.R;

    Read the article

  • CSS - changing the font color for a from select option in firefox

    - by Mick
    I'm building a website for my church, and I'm teaching myself all about web design along the way. http://www.wilmingtonchurchofgod.org/contact_us.html is the link where you can see my issue. If you look at that page in firefox, and you click the select part of the form (next to, "Who would you like to contact?") you will see that when you hover over a choice, the font is white. I have tried various things to fix this, but can't find a solution. This seems to be specific to Firefox. Here is the relevant CSS. input, textarea, select, option{ padding: 6px; border: solid 1px #E5E5E5; outline: 0; font: normal 13px/100% Verdana, Tahoma, sans-serif; width: 200px; background: #FFFFFF url(images/from-grad.jpg) left top repeat-x; background: -webkit-gradient(linear, left top, left 25, from(#FFFFFF), color-stop(4%, #EEEEEE), to(#FFFFFF)); background: -moz-linear-gradient(top, #FFFFFF, #EEEEEE 1px, #FFFFFF 25px); box-shadow: rgba(0,0,0, 0.15) 0px 0px 8px; -moz-box-shadow: rgba(0,0,0, 0.15) 0px 0px 8px; -webkit-box-shadow: rgba(0,0,0, 0.15) 0px 0px 8px; } option{ padding:0px; } textarea { width: 400px; max-width: 400px; height: 150px; line-height: 150%; } input:hover, textarea:hover, input:focus, textarea:focus{ border-color: #C9C9C9; -webkit-box-shadow: rgba(0, 0, 0, 0.15) 0px 0px 8px; -moz-box-shadow: rgba(0,0,0, 0.15) 0px 0px 8px; } option:hover, option:focus, select:hover, select:focus { color: black; border-color: #C9C9C9; -webkit-box-shadow: rgba(0, 0, 0, 0.15) 0px 0px 8px; -moz-box-shadow: rgba(0,0,0, 0.15) 0px 0px 8px; } Another side note is that I can't get any background gradient at all to show up on Google Chome (yet it does on Safari and they are supposed to use the same kit?) Any help with these two things would be greatly appreciated.

    Read the article

  • How to pass parameters to Apache Pivot's wtkx:include tag?

    - by Andrew Swan
    I need to create a reusable UI component that accepts a number of parameters (e.g. an image URL and some label text), similar to how JSP tags can accept parameters. The Pivot docs for the "wtkx:include" tag say: The tag allows a WTKX file to embed content defined in an external WTKX file as if it was defined in the source file itself. This is useful for ... defining reusable content templates I was hoping that I could define my component in a WTKX file using standard Pivot components (e.g. a TextInput) and pass it one or more parameters; for example my reusable template called "row.wtkx" might contain a row with an image and a text field, like this (where the ${xxx} bits are the parameters): <TablePane.Row xmlns="org.apache.pivot.wtk"> <ImageView image="@images/${image_url}" /> <TextInput text="${title}" /> </TablePane.Row> I could then reuse this component within a TablePane as follows: <rows> <TablePane.Row> <Label text="Painting"/> <Label text="Title"/> </TablePane.Row> <wtkx:include src="row.wtkx" image_url="mona_lisa.jpg" title="Mona Lisa"/> <wtkx:include src="row.wtkx" image_url="pearl_earring.jpg" title="Girl with a Pearl Earring"/> <wtkx:include src="row.wtkx" image_url="melting_clocks.jpg" title="Melting Clocks"/> </rows> I've made up the ${...} syntax myself just to show what I'm trying to do. Also, there could be other ways to pass the parameter values other than using attributes of the "wtkx:include" tag itself, e.g. pass a JSON-style map called say "args". The ability to pass parameters like this would make the include tag much more powerful, e.g. in my case allow me to eliminate a lot of duplication between the table row declarations. Or is "wtkx:include" not the right way to be doing this?

    Read the article

  • Is there a path of least resistance that a newcomer to graphics-technology-adoption can take at this point in the .NET graphics world?

    - by Rao
    For the past 5 months or so, I've spent time learning C# using Andrew Troelsen's book and getting familiar with stuff in the .NET 4 stack... bits of ADO.NET, EF4 and a pinch of WCF to taste. I'm really interested in graphics development (not for games though), which is why I chose to go the .NET route when I decided choose from either Java or .NET to learn... since I heard about WPF and saw some sexy screenshots and all. I'm even almost done with the 4 WPF chapters in Troelsen's book. Now, all of a sudden I saw some post on a forum about how "WPF was dead" in the face of something called Silverlight. I searched more and saw all the confusion going on at present... even stuff like "Silverlight is dead too!" wrt HTML5. From what I gather, we are in a delicate period of time that will eventually decide which technology will stabilize, right? Even so, as someone new moving into UI & graphics development via .NET, I wish I could get some guidance from people more experienced people. Maybe I'm reading too much? Maybe I have missed some pieces of information? Maybe a path exists that minimizes tears of blood? In any case, here is a sample vomiting of my thoughts on which I'd appreciate some clarification or assurance or spanking: My present interest lies in desktop development. But on graduating from college, I wish to market myself as a .NET developer. The industry seems to be drooling for web stuff. Can Silverlight do both equally well? (I see on searches that SL works "out of browser"). I have two fair-sized hobby projects planned that will have hawt UIs with lots of drag n drop, sliding animations etc. These are intended to be desktop apps that will use reflection, database stuff using EF4, networking over LAN, reading-writing of files... does this affect which graphics technology can be used? At some laaaater point, if I become interested in doing a bit of 3D stuff in .NET, will that affect which technologies can be used? Or what if I look up to the heavens, stick out my middle finger, and do something crazy like go learn HTML5 even though my knowledge of it can be encapsulated in 2 sentences? Sorry I seem confused so much, I just want to know if there's a path of least resistance that a newcomer to graphics-technology-adoption can take at this point in the graphics world.

    Read the article

  • sendmail and MX records when mail server is not on web host

    - by Jim Nelson
    This is a problem I'm sure is easy to fix, but I've been banging my head on it all day. I'm developing a new web site for a client. The web site resides at (this is an example) website.com. I have a PHP form script to email visitors' requests to [email protected]. When I coded this on a staging server on a different domain, all worked fine. When I moved it to website.com, the mail messages never arrived. The web server is on a virtual host with a major ISP. Here's what I've learned since then: My client's mail server is Microsoft Exchange on a box physically in their office. Whenever someone on the outside world emails [email protected], the mail arrives. But if the web server sends to the same email address, it fails every time. This is not a PHP problem. I secure shell in to the web server and have tested this both with sendmail and the UNIX mail application. I've also tested it by emailing various email accounts from the shell. I can email myself, for example, just nobody at the website.com domain. In short, when I'm logged in to website.com, mail to [email protected], [email protected], [email protected] all fail. All other addresses work fine. What I've discovered is those dropped emails are routed to the web server's "catchall" account where they sit in its inbox. I've done an MX lookup on website.com. The MX record points to mailsec.website.com. I can telnet to mailsec.website.com port 25 and see the SMTP server. It appears to me that website.com isn't doing an MX lookup when it's sending mail to [email protected]. My theory is that it recognizes the domain as local, sees that there's no "requests" user account to deliver it to, and drops the mail into the catchall account. What I want is to force sendmail to do the MX lookup and send the message on to the Exchange server. I'm at wit's end here. I can't figure out how to do this. For that matter, I may be way off base here and have misdiagnosed this entirely. Internet mail and MX has always seemed a black art to me, and my ignorance is certainly showing in this question.

    Read the article

  • Complex SQL query with group by and two rows in one

    - by Ricket
    Okay, I need help. I'm usually pretty good at SQL queries but this one baffles me. By the way, this is not a homework assignment, it's a real situation in an Access database and I've written the requirements below myself. Here is my table layout. It's in Access 2007 if that matters; I'm writing the query using SQL. Id (primary key) PersonID (foreign key) EventDate NumberOfCredits SuperCredits (boolean) There are events that people go to. They can earn normal credits, or super credits, or both at one event. The SuperCredits column is true if the row represents a number of super credits earned at the event, or false if it represents normal credits. So for example, if there is an event which person 174 attends, and they earn 3 normal credits and 1 super credit at the event, the following two rows would be added to the table: ID PersonID EventDate NumberOfCredits SuperCredits 1 174 1/1/2010 3 false 2 174 1/1/2010 1 true It is also possible that the person could have done two separate things at the event, so there might be more than two columns for one event, and it might look like this: ID PersonID EventDate NumberOfCredits SuperCredits 1 174 1/1/2010 1 false 2 174 1/1/2010 2 false 3 174 1/1/2010 1 true Now we want to print out a report. Here will be the columns of the report: PersonID LastEventDate NumberOfNormalCredits NumberOfSuperCredits The report will have one row per person. The row will show the latest event that the person attended, and the normal and super credits that the person earned at that event. What I am asking of you is to write, or help me write, the SQL query to SELECT the data and GROUP BY and SUM() and whatnot. Or, let me know if this is for some reason not possible, and how to organize my data to make it possible. This is extremely confusing and I understand if you do not take the time to puzzle through it. I've tried to simplify it as much as possible, but definitely ask any questions if you give it a shot and need clarification. I'll be trying to figure it out but I'm having a real hard time with it, this is grouping beyond my experience...

    Read the article

  • JavaCC: How can one exclude a string from a token? (A.k.a. understanding token ambiguity.)

    - by java.is.for.desktop
    Hello, everyone! I had already many problems with understanding, how ambiguous tokens can be handled elegantly (or somehow at all) in JavaCC. Let's take this example: I want to parse XML processing instruction. The format is: "<?" <target> <data> "?>": target is an XML name, data can be anything except ?>, because it's the closing tag. So, lets define this in JavaCC: (I use lexical states, in this case DEFAULT and PROC_INST) TOKEN : <#NAME : (very-long-definition-from-xml-1.1-goes-here) > TOKEN : <WSS : (" " | "\t")+ > // WSS = whitespaces <DEFAULT> TOKEN : {<PI_START : "<?" > : PROC_INST} <PROC_INST> TOKEN : {<PI_TARGET : <NAME> >} <PROC_INST> TOKEN : {<PI_DATA : ~[] >} // accept everything <PROC_INST> TOKEN : {<PI_END : "?>" > : DEFAULT} Now the part which recognizes processing instructions: void PROC_INSTR() : {} { ( <PI_START> (t=<PI_TARGET>){System.out.println("target: " + t.image);} <WSS> (t=<PI_DATA>){System.out.println("data: " + t.image);} <PI_END> ) {} } Let's test it with <?mytarget here-goes-some-data?>: The target is recognized: "target: mytarget". But now I get my favorite JavaCC parsing error: !! procinstparser.ParseException: Encountered "" at line 1, column 15. !! Was expecting one of: !! Encountered nothing? Was expecting nothing? Or what? Thank you, JavaCC! I know, that I could use the MORE keyword of JavaCC, but this would give me the whole processing instruction as one token, so I'd had to parse/tokenize it further by myself. Why should I do that? Am I writing a parser that does not parse? The problem is (i guess): hence <PI_DATA> recognizes "everything", my definition is wrong. I should tell JavaCC to recognize "everything except ?>" as processing instruction data. But how can it be done? NOTE: I can only exclude single characters using ~["a"|"b"|"c"], I can't exclude strings such as ~["abc"] or ~["?>"]. Another great anti-feature of JavaCC. Thank you.

    Read the article

  • Design Technique: How to design a complex system for processing orders, products and units.

    - by Shyam
    Hi, Programming is fun: I learned that by trying out simple challenges, reading up some books and following some tutorials. I am able to grasp the concepts of writing with OO (I do so in Ruby), and write a bit of code myself. What bugs me though is that I feel re-inventing the wheel: I haven't followed an education or found a book (a free one that is) that explains me the why's instead of the how's, and I've learned from the A-team that it is the plan that makes it come together. So, armed with my nuby Ruby skills, I decided I wanted to program a virtual store. I figured out the following: My virtual Store will have: Products and Services Inventories Orders and Shipping Customers Now this isn't complex at all. With the help of some cool tools (CMapTools), I drew out some concepts, but quickly enough (thanks to my inferior experience in designing), my design started to bite me. My very first product-line were virtual "laptops". So, I created a class (Ruby): class Product attr_accessor :name, :price def initialize(name, price) @name = name @price = price end end which can be instantiated by doing (IRb) x = Product.new("Banana Pro", 250) Since I want my virtual customers to be able to purchase more than one product, or various types, I figured out I needed some kind of "Order" mechanism. class Order def initialize(order_no) @order_no = order_no @line_items = [] end def add_product(myproduct) @line_items << myproduct end def show_order() puts @order_no @line_items.each do |x| puts x.name.to_s + "\t" + x.price.to_s end end end that can be instantiated by doing (IRb) z = Order.new(1234) z.add_product(x) z.show_order Splendid, I have now a very simple ordering system that allows me to add products to an order. But, here comes my real question. What if I have three models of my product (economy, business, showoff)? Or have my products be composed out of separate units (bigger screen, nicer keyboard, different OS)? Surely I could make them three separate products, or add complexity to my product class, but I am looking for are best practices to design a flexible product object that can be used in the real world, to facilitate a complex system. My apologies if my grammar and my spelling are with error, as english is not my first language and I took the time to check as far I could understand and translate properly! Thank you for your answers, comments and feedback!

    Read the article

  • Strange behavior with gcc inline assembly

    - by Chris
    When inlining assembly in gcc, I find myself regularly having to add empty asm blocks in order to keep variables alive in earlier blocks, for example: asm("rcr $1,%[borrow];" "movq 0(%[b_],%[i],8),%%rax;" "adcq %%rax,0(%[r_top],%[i],8);" "rcl $1,%[borrow];" : [borrow]"+r"(borrow) : [i]"r"(i),[b_]"r"(b_.data),[r_top]"r"(r_top.data) : "%rax","%rdx"); asm("" : : "r"(borrow) : ); // work-around to keep borrow alive ... Another example of weirdness is that the code below works great without optimizations, but with -O3 it seg-faults: ulong carry = 0,hi = 0,qh = s.data[1],ql = s.data[0]; asm("movq 0(%[b]),%%rax;" "mulq %[ql];" "movq %%rax,0(%[sb]);" "movq %%rdx,%[hi];" : [hi]"=r"(hi) : [ql]"r"(ql),[b]"r"(b.data),[sb]"r"(sb.data) : "%rax","%rdx","memory"); for (long i = 1; i < b.size; i++) { asm("movq 0(%[b],%[i],8),%%rax;" "mulq %[ql];" "xorq %%r10,%%r10;" "addq %%rax,%[hi];" "adcq %%rdx,%[carry];" "adcq $0,%%r10;" "movq -8(%[b],%[i],8),%%rax;" "mulq %[qh];" "addq %%rax,%[hi];" "adcq %%rdx,%[carry];" "adcq $0,%%r10;" "movq %[hi],0(%[sb],%[i],8);" "movq %[carry],%[hi];" "movq %%r10,%[carry];" : [carry]"+r"(carry),[hi]"+r"(hi) : [i]"r"(i),[ql]"r"(ql),[qh]"r"(qh),[b]"r"(b.data),[sb]"r"(sb.data) : "%rax","%rdx","%r10","memory"); } asm("movq -8(%[b],%[i],8),%%rax;" "mulq %[qh];" "addq %%rax,%[hi];" "adcq %%rdx,%[carry];" "movq %[hi],0(%[sb],%[i],8);" "movq %[carry],8(%[sb],%[i],8);" : [hi]"+r"(hi),[carry]"+r"(carry) : [i]"r"(long(b.size)),[qh]"r"(qh),[b]"r"(b.data),[sb]"r"(sb.data) : "%rax","%rdx","memory"); I think it has to do with the fact that it's using so many registers. Is there something I'm missing here or is the register allocation just really buggy with gcc inline assembly?

    Read the article

< Previous Page | 243 244 245 246 247 248 249 250 251 252 253 254  | Next Page >