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  • How can I strip Python logging calls without commenting them out?

    - by cdleary
    Today I was thinking about a Python project I wrote about a year back where I used logging pretty extensively. I remember having to comment out a lot of logging calls in inner-loop-like scenarios (the 90% code) because of the overhead (hotshot indicated it was one of my biggest bottlenecks). I wonder now if there's some canonical way to programmatically strip out logging calls in Python applications without commenting and uncommenting all the time. I'd think you could use inspection/recompilation or bytecode manipulation to do something like this and target only the code objects that are causing bottlenecks. This way, you could add a manipulator as a post-compilation step and use a centralized configuration file, like so: [Leave ERROR and above] my_module.SomeClass.method_with_lots_of_warn_calls [Leave WARN and above] my_module.SomeOtherClass.method_with_lots_of_info_calls [Leave INFO and above] my_module.SomeWeirdClass.method_with_lots_of_debug_calls Of course, you'd want to use it sparingly and probably with per-function granularity -- only for code objects that have shown logging to be a bottleneck. Anybody know of anything like this? Note: There are a few things that make this more difficult to do in a performant manner because of dynamic typing and late binding. For example, any calls to a method named debug may have to be wrapped with an if not isinstance(log, Logger). In any case, I'm assuming all of the minor details can be overcome, either by a gentleman's agreement or some run-time checking. :-)

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  • Multiple use of a form before it is submitted

    - by OregonTrail
    I'm new to JavaScript, and trying to figure out the canonical way to do the following. I have a form with some checkboxes and a selector. Let's say the checkboxes are styles of music and the selector is for people's names. I'd like the user to be able to select the styles of music for each of the people's names and then submit the form with all of the data. For example, the user might first check off Classical, Jazz, Rock, and Pop and choose "Joe", then select Jazz, Pop, Country, and Electronica and choose "Jane". So there would have to be two different buttons for "submit person" and "submit form". I would like to: Have a list of the names and their chosen styles populate below the form, for feedback Allow the user to use the form as much as they want, and then submit all the data at the end I get the feeling that using jquery and JSON is perfect for this, but I'm not sure what search terminology to use to figure out how to do this. If it matters, the form will be processed by a Django view in Python.

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  • How should I handle multiple links ot the same page with different Query Strings

    - by RandomBen
    In the website I am working on, there is a product page with 8 tabs on it, showing different aspects of the product. There are quick links on other pages within the site that take you to the page and to a specific link specified by a query string. For example the base page would be www.example.com/Product1. And then there are links like this: www.example.com/Product1?tab=CADDrawing www.example.com/Product1?tab=Schematics www.example.com/Product1?tab=Reviews My concern is that Google sees each of these links as a different URL but they aren't and the data on the page is 100% the same. Is there any easy way to make it so Google either knows that www.example.com/Product1 is the base page or doesn't follow the links with Query Strings? I thought about using rel="nofollow" but that seems like it would actually hurt my page ranking. Most of the websites, including Googles on webmaster pages, is unclear. The other option is to add the rel="canonical" to the pages that have a query string but not to the base page. Does that succeed in stopping all of the noisy links?

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  • How can I build a generic dataset-handling Perl library?

    - by Pep.
    Hello, I want to build a generic Perl module for handling and analysing biomedical character separated datasets and which can, most certain, be used on any kind of datasets that contain a mixture of categorical (A,B,C,..) and continuous (1.2,3,881..) and identifier (XXX1,XXX2...). The plan is to have people initialize the module and then use some arguments to point to the data file(s), the place were the analysis reports should be placed and the structure of the data. By structure of data I mean which variable is in which place and its name/type. And this is where I need some enlightenment. I am baffled how to do this in a clean way. Obviously, having people create a simple schema file, be it XML or some other format would be the cleanest but maybe not all people enjoy doing something like this. The solutions I can think of are: Create a configuration file in XML or similar and with a prespecified format. Pass the information during initialization of the module. Use the first row of the data as headers and try to guess types (ouch) Surely there must be a "canonical" way of doing this that is also usable and efficient. Thanks p.

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  • Dynamic loading a class in java with a different package name

    - by C. Ross
    Is it possible to load a class in Java and 'fake' the package name/canonical name of a class? I tried doing this, the obvious way, but I get a "class name doesn't match" message in a ClassDefNotFoundException. The reason I'm doing this is I'm trying to load an API that was written in the default package so that I can use it directly without using reflection. The code will compile against the class in a folder structure representing the package and a package name import. ie: ./com/DefaultPackageClass.class // ... import com.DefaultPackageClass; import java.util.Vector; // ... My current code is as follows: public Class loadClass(String name) throws ClassNotFoundException { if(!CLASS_NAME.equals(name)) return super.loadClass(name); try { URL myUrl = new URL(fileUrl); URLConnection connection = myUrl.openConnection(); InputStream input = connection.getInputStream(); ByteArrayOutputStream buffer = new ByteArrayOutputStream(); int data = input.read(); while(data != -1){ buffer.write(data); data = input.read(); } input.close(); byte[] classData = buffer.toByteArray(); return defineClass(CLASS_NAME, classData, 0, classData.length); } catch (MalformedURLException e) { throw new UndeclaredThrowableException(e); } catch (IOException e) { throw new UndeclaredThrowableException(e); } }

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  • In Django, how to define a "location path" in order to display it to the users?

    - by naw
    I want to put a "location path" in my pages showing where the user is. Supposing that the user is watching one product, it could be Index > Products > ProductName where each word is also a link to other pages. I was thinking on passing to the template a variable with the path like [(_('Index'), 'index_url_name'), (_('Products'), 'products_list_url_name'), (_('ProductName'), 'product_url_name')] But then I wonder where and how would you define the hierarchy without repeating myself (DRY)? As far I know I have seen two options To define the hierarchy in the urlconf. It could be a good place since the URL hierarchy should be similar to the "location path", but I will end repeating fragments of the paths. To write a context processor that guesses the location path from the url and includes the variable in the context. But this would imply to maintain a independient hierarchy wich will need to be kept in sync with the urls everytime I modify them. Also, I'm not sure about how to handle the urls that require parameters. Do you have any tip or advice about this? Is there any canonical way to do this?

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  • Finding What You Need in R: function arguments/parameters from outside the function's package

    - by doug
    Often in R, there are a dozen functions scattered across as many packages--all of which have the same purpose but of course differ in accuracy, performance, theoretical rigor, and so on. How do you gather all of these in one place before you start your task? So for instance: the generic plot function. Setting secondary ticks is much easier (IMHO) using a function outside of the base package, minor.tick(nx=n, ny=n, tick.ratio=n), found in Hmisc. Of course, that doesn't show up in plot's docstring. Likewise, the data-input arguments to 'plot' can be supplied by an object returned from the function 'hexbin', again, from a library outside of the base installation (where 'plot' resides). What would be great obviously is a programmatic way to gather these function arguments from the various libraries and put them in a single namespace. edit: (trying to re-state my example just above more clearly:) the arguments to plot supplied in the base package for, e.g., setting the axis tick frequency are xaxp/yaxp; however, one can also set a/t/f via a function outside of the base package, again, as in the minor.tick function from the Hmisc package--but you wouldn't know that just from looking at the plot method signature. Is there a meta function in R for this? So far, as i come across them, i've been manually gathering them in a TextMate 'snippet' (along with the attendant library imports). This isn't that difficult or time consuming, but i can only update my snippet as i find out about these additional arguments/parameters. Is there a canonical R way to do this, or at least an easier way? Just in case that wasn't clear, i am not talking about the case where multiple packages provide functions directed to the same statistic or view (e.g., 'boxplot' in the base package; 'boxplot.matrix' in gplots; and 'bplots' in Rlab). What i am talking is the case in which the function name is the same across two or more packages.

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  • Best Practices For Secure APIs?

    - by Ferrett Steinmetz
    Let's say I have a website that has a lot of information on our products. I'd like some of our customers (including us!) to be able to look up our products for various methods, including: 1) Pulling data from AJAX calls that return data in cool, JavaScripty-ways 2) Creating iPhone applications that use that data; 3) Having other web applications use that data for their own end. Normally, I'd just create an API and be done with it. However, this data is in fact mildly confidential - which is to say that we don't want our competitors to be able to look up all our products every morning and then automatically set their prices to undercut us. And we also want to be able to look at who might be abusing the system, so if someone's making ten million complex calls to our API a day and bogging down our server, we can cut them off. My next logical step would be then to create a developers' key to restrict access - which would work fine for web apps, but not so much for any AJAX calls. (As I see it, they'd need to provide the key in the JavaScript, which is in plaintext and easily seen, and hence there's actually no security at all. Particularly if we'd be using our own developers' keys on our site to make these AJAX calls.) So my question: after looking around at Oauth and OpenID for some time, I'm not sure there is a solution that would handle all three of the above. Is there some sort of canonical "best practices" for developers' keys, or can Oauth and OpenID handle AJAX calls easily in some fashion I have yet to grok, or am I missing something entirely?

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  • IIS7 URL Rewriting: How not to drop HTTPS protocol from rewritten URL?

    - by Scott Mitchell
    I'm working on a website that's using IIS 7's URL rewriting feature to do a permanent redirect from example.com to www.example.com, as well as rewrites from similar domain names to the "main" one, such as from www.examples.com to www.example.com. This rewrite rule - shown below - has worked well for sometime now. However, we recently added HTTPS support and noticed that if users visit one of the URLs to be rewritten to www.example.com then HTTPS is dropped. For instance, if a user visits https://example.com they get redirected to http://www.example.com, whereas we would like them to be sent to https://www.example.com. Here is the rewrite rule of interest (in Web.config): <rule name="Canonical Host Name" stopProcessing="true"> <match url="(.*)" /> <conditions logicalGrouping="MatchAny"> <add input="{HTTP_HOST}" pattern="^example\.com$" /> <add input="{HTTP_HOST}" pattern="^(www\.)?example\.net$" /> <add input="{HTTP_HOST}" pattern="^(www\.)?example\.info$" /> <add input="{HTTP_HOST}" pattern="^(www\.)?examples\.com$" /> </conditions> <action type="Redirect" url="http://www.example.com/{R:1}" redirectType="Permanent" /> </rule> As you can see, the action element's url attribute points directly to http://, so I get why https://example.com is redirected to http://www.example.com. My question is, how do I fix this? I tried (naively) to just drop the http:// part from the url attribute, but that didn't work. Thanks!

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  • Which Android hardware devices should I test on? [closed]

    - by Tchami
    Possible Duplicate: What hardware devices do you test your Android apps on? I'm trying to compile a list of Android hardware devices that it would make sense to buy and test against if you want to target an as broad audience as possible, while still not buying every single Android device out there. I know there's a lot of information regarding screen sizes and Android versions available elsewhere, but: when developing for Android it's not terribly useful to know if the screen size of a device is 480x800 or 320x240, unless you feel like doing the math to convert that into Android "units" (i.e. small, normal, large or xlarge screens, and ldpi, mdpi, hdpi or xhdpi densities). Even knowing the dimensions of a device, you cannot be sure of the actual Android units as there's some overlap, see Range of screens supported in the Android documentation Taking into account the distribution of Platform versions and Screen Sizes and Densities, below is my current list based on information from the Wikipedia article on Comparison of Android devices. I'm fairly sure the information in this list is correct, but I'd welcome any suggestions/changes. Phones | Model | Android Version | Screen Size | Density | | HTC Wildfire | 2.1/2.2 | Normal | mdpi | | HTC Tattoo | 1.6 | Normal | mdpi | | HTC Hero | 2.1 | Normal | mdpi | | HTC Legend | 2.1 | Normal | mdpi | | Sony Ericsson Xperia X8 | 1.6/2.1 | Normal | mdpi | | Motorola Droid | 2.0-2.2 | Normal | hdpi | | Samsung Galaxy S II | 2.3 | Normal | hdpi | | Samsung Galaxy Nexus | 4.0 | Normal | xhdpi | | Samsung Galaxy S III | 4.0 | Normal | xhdpi | **Tablets** | Model | Android Version | Screen Size | Density | | Samsung Galaxy Tab 7" | 2.2 | Large | hdpi | | Samsung Galaxy Tab 10" | 3.0 | X-Large | mdpi | | Asus Transformer Prime | 4.0 | X-Large | mdpi | | Motorola Xoom | 3.1/4.0 | X-Large | mdpi | N.B.: I have seen (and read) other posts on SO on this subject, e.g. Which Android devices should I test against? and What hardware devices do you test your Android apps on? but they don't seem very canonical. Maybe this should be marked community wiki?

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  • BizTalk Cross Reference Data Management Strategy

    - by charlie.mott
    Article Source: http://geekswithblogs.net/charliemott This article describes an approach to the management of cross reference data for BizTalk.  Some articles about the BizTalk Cross Referencing features can be found here: http://home.comcast.net/~sdwoodgate/xrefseed.zip http://geekswithblogs.net/michaelstephenson/archive/2006/12/24/101995.aspx http://geekswithblogs.net/charliemott/archive/2009/04/20/value-vs.id-cross-referencing-in-biztalk.aspx Options Current options to managing this data include: Maintaining xml files in the format that can be used by the out-of-the-box BTSXRefImport.exe utility. Use of user interfaces that have been developed to manage this data: BizTalk Cross Referencing Tool XRef XML Creation Tool However, there are the following issues with the above options: The 'BizTalk Cross Referencing Tool' requires a separate database to manage.  The 'XRef XML Creation' tool has no means of persisting the data settings. The 'BizTalk Cross Referencing tool' generates integers in the common id field. I prefer to use a string (e.g. acme.country.uk). This is more readable. (see naming conventions below). Both UI tools continue to use BTSXRefImport.exe.  This utility replaces all xref data. This can be a problem in continuous integration environments that support multiple clients or BizTalk target instances.  If you upload the data for one client it would destroy the data for another client.  Yet in TFS where builds run concurrently, this would break unit tests. Alternative Approach In response to these issues, I instead use simple SQL scripts to directly populate the BizTalkMgmtDb xref tables combined with a data namepacing strategy to isolate client data. Naming Conventions All data keys use namespace prefixing.  The pattern will be <companyName>.<data Type>.  The naming conventions will be to use lower casing for all items.  The data must follow this pattern to isolate it from other company cross-reference data.  The table below shows some sample data. (Note: this data uses the 'ID' cross-reference tables.  the same principles apply for the 'value' cross-referencing tables). Table.Field Description Sample Data xref_AppType.appType Application Types acme.erp acme.portal acme.assetmanagement xref_AppInstance.appInstance Application Instances (each will have a corresponding application type). acme.dynamics.ax acme.dynamics.crm acme.sharepoint acme.maximo xref_IDXRef.idXRef Holds the cross reference data types. acme.taxcode acme.country xref_IDXRefData.CommonID Holds each cross reference type value used by the canonical schemas. acme.vatcode.exmpt acme.vatcode.std acme.country.usa acme.country.uk xref_IDXRefData.AppID This holds the value for each application instance and each xref type. GBP USD SQL Scripts The data to be stored in the BizTalkMgmtDb xref tables will be managed by SQL scripts stored in a database project in the visual studio solution. File(s) Description Build.cmd A sqlcmd script to deploy data by running the SQL scripts below.  (This can be run as part of the MSBuild process).   acme.purgexref.sql SQL script to clear acme.* data from the xref tables.  As such, this will not impact data for any other company. acme.applicationInstances.sql   SQL script to insert application type and application instance data.   acme.vatcode.sql acme.country.sql etc ...  There will be a separate SQL script to insert each cross-reference data type and application specific values for these types.

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  • Excel Template Teaser

    - by Tim Dexter
    In lieu of some official documentation I'm in the process of putting together some posts on the new 10.1.3.4.1 Excel templates. No more HTML, maskerading as Excel; far more flexibility than Excel Analyzer and no need to write complex XSL templates to create the same output. Multi sheet outputs with macros and embeddable XSL commands are here. Their capabilities are pretty extensive and I have not worked on them for a few years since I helped put them together for EBS FSG users, so Im back on the learning curve. Let me say up front, there is no template builder, its a completely manual process to build them but, the results can be fantastic and provide yet another 'superstar' opportunity for you. The templates can take hierarchical XML data and walk the structure much like an RTF template. They use named cells/ranges and a hidden sheet to provide the rendering engine the hooks to drop the data in. As a taster heres the data and output I worked with on my first effort: <EMPLOYEES> <LIST_G_DEPT> <G_DEPT> <DEPARTMENT_ID>10</DEPARTMENT_ID> <DEPARTMENT_NAME>Administration</DEPARTMENT_NAME> <LIST_G_EMP> <G_EMP> <EMPLOYEE_ID>200</EMPLOYEE_ID> <EMP_NAME>Jennifer Whalen</EMP_NAME> <EMAIL>JWHALEN</EMAIL> <PHONE_NUMBER>515.123.4444</PHONE_NUMBER> <HIRE_DATE>1987-09-17T00:00:00.000-06:00</HIRE_DATE> <SALARY>4400</SALARY> </G_EMP> </LIST_G_EMP> <TOTAL_EMPS>1</TOTAL_EMPS> <TOTAL_SALARY>4400</TOTAL_SALARY> <AVG_SALARY>4400</AVG_SALARY> <MAX_SALARY>4400</MAX_SALARY> <MIN_SALARY>4400</MIN_SALARY> </G_DEPT> ... </LIST_G_DEPT> </EMPLOYEES> Structured XML coming from a data template, check out the data template progression post. I can then generate the following binary XLS file. There are few cool things to notice in this output. DEPARTMENT-EMPLOYEE master detail output. Not easy to do in the Excel analyzer. Date formatting - this is using an Excel function. Remember BIP generates XML dates in the canonical format. I have formatted the other data in the template using native Excel functionality Salary Total - although in the data I have calculated this in the template Conditional formatting - this is handled by Excel based on the incoming data Bursting department data across sheets and using the department name for the sheet name. This alone is worth the wait! there's more, but this is surely enough to whet your appetite. These new templates are already tucked away in EBS R12 under controlled release by the GL team and have now come to the BIEE and standalone releases in the 10.1.3.4.1+ rollup patch. For the rest of you, its going to be a bit of a waiting game for the relevant teams to uptake the latest BIP release. Look out for more soon with some explanation of how they work and how to put them together!

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  • Should I upgrade to "Ubuntu 14.04 'Trusty Tahr'" from "Ubuntu 12.04 LTS" and what care do I need to take if I upgrade?

    - by PHPLover
    I'm basically a Web Developer(PHP Developer) by profession. I mainly work on PHP, jQuery, AJAX, Smarty, HTML and CSS, Bootstrap front-end web development framework. I've also installed and using IDEs/editors like Sublime Text, NetBeans. I'm also using Git repository for my website development as a versioning tool. I'm using "Ubuntu 12.04 LTS" on my machine almost since last two years. My machine configuraion is as follows: Memory : 3.7 GiB Processor : Intel® Core™ i3 CPU M 370 @ 2.40GHz × 4 Graphics : Unknown OS type : 64-bit Disk : 64-bit The important softwares present on my machine and which I'm using daily for my work are as follows: PHP : PHP 5.3.10-1ubuntu3.13 with Suhosin-Patch (cli) (built: Jul 7 2014 18:54:55) Copyright (c) 1997-2012 The PHP Group Zend Engine v2.3.0, Copyright (c) 1998-2012 Zend Technologies Apache web server : /usr/sbin/apachectl: 87: ulimit: error setting limit (Operation not permitted) Server version: Apache/2.2.22 (Ubuntu) Server built: Jul 22 2014 14:35:25 Server's Module Magic Number: 20051115:30 Server loaded: APR 1.4.6, APR-Util 1.3.12 Compiled using: APR 1.4.6, APR-Util 1.3.12 Architecture: 64-bit Server MPM: Prefork threaded: no forked: yes (variable process count) Server compiled with.... -D APACHE_MPM_DIR="server/mpm/prefork" -D APR_HAS_SENDFILE -D APR_HAS_MMAP -D APR_HAVE_IPV6 (IPv4-mapped addresses enabled) -D APR_USE_SYSVSEM_SERIALIZE -D APR_USE_PTHREAD_SERIALIZE -D SINGLE_LISTEN_UNSERIALIZED_ACCEPT -D APR_HAS_OTHER_CHILD -D AP_HAVE_RELIABLE_PIPED_LOGS -D DYNAMIC_MODULE_LIMIT=128 -D HTTPD_ROOT="/etc/apache2" -D SUEXEC_BIN="/usr/lib/apache2/suexec" -D DEFAULT_PIDLOG="/var/run/apache2.pid" -D DEFAULT_SCOREBOARD="logs/apache_runtime_status" -D DEFAULT_LOCKFILE="/var/run/apache2/accept.lock" -D DEFAULT_ERRORLOG="logs/error_log" -D AP_TYPES_CONFIG_FILE="mime.types" -D SERVER_CONFIG_FILE="apache2.conf" MySQL : 5.5.38-0ubuntu0.12.04.1 Smarty : 2.6.18 **NetBeans :** NetBeans IDE 8.0 (Build 201403101706) Sublime Text 2 : Version 2.0.2, Build 2221 Yesterday suddenly a pop-up message appeared on my screen asking me to upgrade to "Ubuntu 14.04 'Trusty Tahr'". I'd also be very happy to upgrade my system to "Ubuntu 14.04 'Trusty Tahr'". Following are the issues about which I'm little bit scared about and I need you all talented people's expert advice/help/suggestions on it: Will upgrading to "Ubuntu 14.04 'Trusty Tahr'" affect the softwares I mentioned above? I mean will I need to re-install/un-install and install these softwares too? Do I really need to and is it really a worth to upgrade to "Ubuntu 14.04 'Trusty Tahr'" from "Ubuntu 12.04 LTS" now? If I upgrade to "Ubuntu 14.04 'Trusty Tahr'" what advantage I'll get from web developer's point of view? Will the upgrade be hassle free and will I be ablr to continue my on-going work without any difficulties? Is "Ubuntu 14.04 'Trusty Tahr'" a LTS version and if yes till when it's going to provide support? These are the five crucial queries I have. If you want any further explanation from me please feel free to ask me. Thanks for spending some of your vaulable time in reading and understanding my issue. Any kind of help/comment/suggestion/answer would be highly appreciated. Though if someone gives canonical, precise and up to the mark answer, it will be of great help to me as well as other web developers using Ubuntu around the world. Once again thank you so much you great people around the globe. Waiting for your precious replies.

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  • What is the right way to process inconsistent data files?

    - by Tahabi
    I'm working at a company that uses Excel files to store product data, specifically, test results from products before they are shipped out. There are a few thousand spreadsheets with anywhere from 50-100 relevant data points per file. Over the years, the schema for the spreadsheets has changed significantly, but not unidirectionally - in the sense that, changes often get reverted and then re-added in the space of a few dozen to few hundred files. My project is to convert about 8000 of these spreadsheets into a database that can be queried. I'm using MongoDB to deal with the inconsistency in the data, and Python. My question is, what is the "right" or canonical way to deal with the huge variance in my source files? I've written a data structure which stores the data I want for the latest template, which will be the final template used going forward, but that only helps for a few hundred files historically. Brute-forcing a solution would mean writing similar data structures for each version/template - which means potentially writing hundreds of schemas with dozens of fields each. This seems very inefficient, especially when sometimes a change in the template is as little as moving a single line of data one row down or splitting what used to be one data field into two data fields. A slightly more elegant solution I have in mind would be writing schemas for all the variants I can find for pre-defined groups in the source files, and then writing a function to match a particular series of files with a series of variants that matches that set of files. This is because, more often that not, most of the file will remain consistent over a long period, only marred by one or two errant sections, but inside the period, which section is inconsistent, is inconsistent. For example, say a file has four sections with three data fields, which is represented by four Python dictionaries with three keys each. For files 7000-7250, sections 1-3 will be consistent, but section 4 will be shifted one row down. For files 7251-7500, 1-3 are consistent, section 4 is one row down, but a section five appears. For files 7501-7635, sections 1 and 3 will be consistent, but section 2 will have five data fields instead of three, section five disappears, and section 4 is still shifted down one row. For files 7636-7800, section 1 is consistent, section 4 gets shifted back up, section 2 returns to three cells, but section 3 is removed entirely. Files 7800-8000 have everything in order. The proposed function would take the file number and match it to a dictionary representing the data mappings for different variants of each section. For example, a section_four_variants dictionary might have two members, one for the shifted-down version, and one for the normal version, a section_two_variants might have three and five field members, etc. The script would then read the matchings, load the correct mapping, extract the data, and insert it into the database. Is this an accepted/right way to go about solving this problem? Should I structure things differently? I don't know what to search Google for either to see what other solutions might be, though I believe the problem lies in the domain of ETL processing. I also have no formal CS training aside from what I've taught myself over the years. If this is not the right forum for this question, please tell me where to move it, if at all. Any help is most appreciated. Thank you.

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  • Dropped impression 25 days after restructure

    - by Hamid
    Our website is a non English property related website (moshaver.com) which is similar to rightmove.co.uk. On September 2012 our website was adversely affected by Panda causing our Google incoming clicks to drop from around 3000 clicks to less than a thousand. We were hoping that Google will eventually realize that we are not a spam website and things will get better. However, in August 2013 we were almost sure that we needed to do something, so we started to restructure our web content. We used the canonical tag to remove our search results and point to our listing pages, using the noindex tag to remove it from our listing pages which does not have any properties at the moment. We also changed title tags to more friendly ones, in addition to other changes. Our changes were effective on 10th August. As shown in the graph taken from Google Analytics Search Engine Optimization section, these changes has resulted in an increase in the number of times Google displayed our results in its search results. Our impressions almost doubled starting 15th August. However, as the graph shows, our CTR dropped from this date from around 15% to 8%. This might have been because of our changed title tags (so people were less likely to click on them), or it might be normal for increased impressions. This situation has continued up until 10th September, when our impressions decreased dramatically to less than a thousand. This is almost 30% of our original impressions (before website restructure) and 15% of the new impressions. At the same time our impressions has increased dramatically to around 50%. I have two theories for this increase. The first one is that these statistics are less accurate for lower impressions. The second one is that Google is now only displaying our results for queries directly related to our website (our name, our url), and not for general terms, such as "apartments in a specific city". The second theory also explains the dramatic decrease in impression as well. After digging the analytic data a little more, I constructed the following table. It displays the breakdown of our impressions, clicks and ctr in different Google products (web and image) and in total. What I understand from this table is that, most of our increased impressions after restructure were on the image search section. I don't think users of search would be looking for content in our website. Furthermore, it shows that the drop in our web search ctr, is as dramatic of the overall ctr (-30% in compare to -60%) . I thought posting it here might help you understand the situation better. Is it possible that Google has tested our new structure for 25 days, and then decided to decrease our impressions because of the the new low CTR? Or should we look for another factor? If this is the case, how long does it usually take for Google to give us another chance? It has been one month since our impressions has dropped.

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  • Government Mandates and Programming Languages

    A recent SEC proposal (which, at over 600 pages, I havent read in any detail) includes the following: We are proposing to require the filing of a computer program (the waterfall computer program, as defined in the proposed rule) of the contractual cash flow provisions of the securities in the form of downloadable source code in Python, a commonly used computer programming language that is open source and interpretive. The computer program would be tagged in XML and required to be filed with the Commission as an exhibit. Under our proposal, the filed source code for the computer program, when downloaded and run (by loading it into an open Python session on the investors computer), would be required to allow the user to programmatically input information from the asset data file that we are proposing to require as described above. We believe that, with the waterfall computer program and the asset data file, investors would be better able to conduct their own evaluations of ABS and may be less likely to be dependent on the opinions of credit rating agencies. With respect to any registration statement on Form SF-1 (Section 239.44) or Form SF-3 (Section 239.45) relating to an offering of an asset-backed security that is required to comply with Item 1113(h) of Regulation AB, the Waterfall Computer Program (as defined in Item 1113(h)(1) of Regulation AB) must be written in the Python programming language and able to be downloaded and run on a local computer properly configured with a Python interpreter. The Waterfall Computer Program should be filed in the manner specified in the EDGAR Filer Manual. I dont see how it can be in investors best interests that the SEC demand a particular programming language be used for software related to investment data.  I have a feeling that investors who use computers at all already have software with which they are familiar, and that the vast majority of them are not running an open source scripting language on their machines to do their financial analysis.  In fact, I would wager that most of them are using tools like Excel, and if they really need to script anything, its being done with VBA in Excel. Now, Im not proposing that the SEC should require that the data be provided in Excel format with VBA scripts included so everyone can easily access the data (despite the fact that this would actually be pretty useful generally).  Rather, I think it is ill-advised for a government agency to make recommendations of this nature, period.  If the goal of the recommendation is to ensure that the way things work is codified in a transparent manner, than I can certainly respect that.  It seems to me that this could be accomplished without dictating the technology to use.  To wit: An Excel document could contain all of the data as well as the formulae necessary, and most likely would not require the end-user to install anything on their machine The SEC could simply create a calculator in the cloud such that any/all investors could use a single canonical web-based (or web service based) tool Millions of Java and .NET developers could write their own implementations You can read more about this issue, including the favorable position on it, on Jayanth Varmas blog. Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

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  • Violation of the DRY Principle

    - by Onorio Catenacci
    I am sure there's a name for this anti-pattern somewhere; however I am not familiar enough with the anti-pattern literature to know it. Consider the following scenario: or0 is a member function in a class. For better or worse, it's heavily dependent on class member variables. Programmer A comes along and needs functionality like or0 but rather than calling or0, Programmer A copies and renames the entire class. I'm guessing that she doesn't call or0 because, as I say, it's heavily dependent on member variables for its functionality. Or maybe she's a junior programmer and doesn't know how to call it from other code. So now we've got or0 and c0 (c for copy). I can't completely fault Programmer A for this approach--we all get under tight deadlines and we hack code to get work done. Several programmers maintain or0 so it's now version orN. c0 is now version cN. Unfortunately most of the programmers that maintained the class containing or0 seemed to be completely unaware of c0--which is one of the strongest arguments I can think of for the wisdom of the DRY principle. And there may also have been independent maintainance of the code in c. Either way it appears that or0 and c0 were maintained independent of each other. And, joy and happiness, an error is occurring in cN that does not occur in orN. So I have a few questions: 1.) Is there a name for this anti-pattern? I've seen this happen so often I'd find it hard to believe this is not a named anti-pattern. 2.) I can see a few alternatives: a.) Fix orN to take a parameter that specifies the values of all the member variables it needs. Then modify cN to call orN with all of the needed parameters passed in. b.) Try to manually port fixes from orN to cN. (Mind you I don't want to do this but it is a realistic possibility.) c.) Recopy orN to cN--again, yuck but I list it for sake of completeness. d.) Try to figure out where cN is broken and then repair it independently of orN. Alternative a seems like the best fix in the long term but I doubt the customer will let me implement it. Never time or money to fix things right but always time and money to repair the same problem 40 or 50 times, right? Can anyone suggest other approaches I may not have considered? If you were in my place, which approach would you take? If there are other questions and answers here along these lines, please post links to them. I don't mind removing this question if it's a dupe but my searching hasn't turned up anything that addresses this question yet. EDIT: Thanks everyone for all the thoughtful responses. I asked about a name for the anti-pattern so I could research it further on my own. I'm surprised this particular bad coding practice doesn't seem to have a "canonical" name for it.

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  • edited and reversed changes on .htaccess - site starts redirecting to .comindex.php/

    - by Aurigae
    Site is a Joomla 2.5 site. I wanted to add a non www to www redirect to the htaccess file, did so, then the redirection went mad, reversed but still the site redirects. When i click view site in admin panel, i get linked to http://domain.comindex.php/ The website is http://www.domain.com Visiting the website URL works without www, but once you click on projects it acts mad too. Projects is managed with joomshopping extension. EDIT: the redirect also happens when rewrite is deactivated in admin panel. ## # @package Joomla # @copyright Copyright (C) 2005 - 2012 Open Source Matters. All rights reserved. # @license GNU General Public License version 2 or later; see LICENSE.txt ## ## # READ THIS COMPLETELY IF YOU CHOOSE TO USE THIS FILE! # # The line just below this section: 'Options +FollowSymLinks' may cause problems # with some server configurations. It is required for use of mod_rewrite, but may already # be set by your server administrator in a way that dissallows changing it in # your .htaccess file. If using it causes your server to error out, comment it out (add # to # beginning of line), reload your site in your browser and test your sef url's. If they work, # it has been set by your server administrator and you do not need it set here. ## ## Can be commented out if causes errors, see notes above. Options +FollowSymLinks ## Mod_rewrite in use. RewriteEngine On ## Begin - Rewrite rules to block out some common exploits. # If you experience problems on your site block out the operations listed below # This attempts to block the most common type of exploit `attempts` to Joomla! # # Block out any script trying to base64_encode data within the URL. RewriteCond %{QUERY_STRING} base64_encode[^(]*\([^)]*\) [OR] # Block out any script that includes a <script> tag in URL. RewriteCond %{QUERY_STRING} (<|%3C)([^s]*s)+cript.*(>|%3E) [NC,OR] # Block out any script trying to set a PHP GLOBALS variable via URL. RewriteCond %{QUERY_STRING} GLOBALS(=|\[|\%[0-9A-Z]{0,2}) [OR] # Block out any script trying to modify a _REQUEST variable via URL. RewriteCond %{QUERY_STRING} _REQUEST(=|\[|\%[0-9A-Z]{0,2}) # Return 403 Forbidden header and show the content of the root homepage RewriteRule .* index.php [F] # ## End - Rewrite rules to block out some common exploits. ## Begin - Custom redirects # # If you need to redirect some pages, or set a canonical non-www to # www redirect (or vice versa), place that code here. Ensure those # redirects use the correct RewriteRule syntax and the [R=301,L] flags. # ## End - Custom redirects ## # Uncomment following line if your webserver's URL # is not directly related to physical file paths. # Update Your Joomla! Directory (just / for root). ## # RewriteBase / ## Begin - Joomla! core SEF Section. # RewriteRule .* - [E=HTTP_AUTHORIZATION:%{HTTP:Authorization}] # # If the requested path and file is not /index.php and the request # has not already been internally rewritten to the index.php script RewriteCond %{REQUEST_URI} !^/index\.php # and the request is for something within the component folder, # or for the site root, or for an extensionless URL, or the # requested URL ends with one of the listed extensions RewriteCond %{REQUEST_URI} /component/|(/[^.]*|\.(php|html?|feed|pdf|vcf|raw))$ [NC] # and the requested path and file doesn't directly match a physical file RewriteCond %{REQUEST_FILENAME} !-f # and the requested path and file doesn't directly match a physical folder RewriteCond %{REQUEST_FILENAME} !-d # internally rewrite the request to the index.php script RewriteRule .* index.php [L] # ## End - Joomla! core SEF Section. Redirect 301 /index.html /index.php Redirect 301 /services /project Redirect 301 /projects/projects.html /project Redirect 301 /projects/project1.html /project Redirect 301 /projects/project2.html /project Redirect 301 /projects /project Redirect 301 /keypersonnel.html /about-agrin/keystaff Redirect 301 /cooperation.htm /about-agrin/intcoop Redirect 301 /member.html /about-agrin/memberships Redirect 301 /contact.html /contacts Redirect 301 /hr.htm /jobs Redirect 301 /index.php/404 /index.php

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  • How to manipulate default document with rewrite module on IIS7?

    - by eugeneK
    Until few month ago i've been using IIS 6 where i could add different Default Documents to each websites which are physically same directory. Since II7 which adds Default Document value to web config i couldn't use such technique as web.config was changed for all the directory. So I've found simple solution with rewrite module to change Default Document for each domain <defaultDocument enabled="false" /> <rewrite> <rewriteMaps> <rewriteMap name="ResolveDefaultDocForHost"> <add key="site1.com" value="Default1.aspx" /> <add key="site2.com" value="Default2.aspx" /> </rewriteMap> </rewriteMaps> <rules> <rule name="DefaultDoc Redirect If No Trailing Slash" stopProcessing="true"> <match url=".*[^/]$" /> <conditions> <add input="{REQUEST_FILENAME}" matchType="IsDirectory" /> </conditions> <action type="Redirect" url="{R:0}/" /> </rule> <rule name="PerHostDefaultDocSlash" stopProcessing="true"> <match url="$|.*/$" /> <conditions> <add input="{REQUEST_FILENAME}" matchType="IsDirectory" /> <add input="{ResolveDefaultDocForHost:{HTTP_HOST}}" pattern="(.+)" /> </conditions> <action type="Rewrite" url="{R:0}{C:1}" appendQueryString="true" /> </rule> </rules> </rewrite> Now i've got two other issues. first of all i can't use canonical url rewrite, if i set one then site1.com and site2.com redirected to www.site1.com instead of having www. for each. second problem is that there is a directory within site1' and site2' physical directory called members in which Default.aspx is always a Default Document doesn't matter which domain name was used. It doesn't work as well. Please help me with this issue because i've never thought i will get such problem with supposed to be better IIS7...

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  • Does a router have a receiving range?

    - by Aadit M Shah
    So my dad bought a TP-Link router (Model No. TL-WA7510N) which apparently has a transmitting range of 1km; and he believes that it also has a receiving range of 1km. So he's arguing with me that the router (which is a trans-receiver) can communicate with any device in the range of 1km whether or not that device has a transmitting range of 1km. To put it graphically: +----+ 1km +----+ | |------------------------------------------------->| | | TR | | TR | | | <----| | +----+ 100m+----+ So here's the problem: The two devices are 1km apart. The first device has a transmitting range of 1km. The second device only has a transmitting range of 100m. According to my dad the two devices can talk to each other. He says that the first device has a transmitting and a receiving range of 1km which means that it can both send data to devices 1km away and receive data from devices 1km away. To me this makes no sense. If the second device can only send data to devices 100m away then how can the first device catch the transmission? He further argues that for bidirectional communication both the sender and the reciver should have overlapping areas of transmission: According to him if two devices have an overlapping area of transmission then they can communicate. Here neither device has enough transmission power to reach the other. However they have enough receiving power to capture the transmission. Obviously this makes absolutely no sense to me. How can a device sense a transmission which hasn't even reached it yet and go out, capture it and bring it back it. To me a trans-receiver only has a transmission power. It has zero receiving power. Hence for two devices to be able to communicate bidirectionally, the diagram should look like: Hence, from my point of view, both the devices should have a transmission range far enough to reach the other for bidirectional communication to be possible; but no matter how much I try to explain to my dad he adamantly disagrees. So, to put an end to this debate once and for all, who is correct? Is there even such a thing as a receiving range? Can a device fetch a transmission that would otherwise never reach it? I would like a canonical answer on this.

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  • Is it possible to configure a CDN so that it will step out of the way for a subset of regional IPs?

    - by rwired
    We have a website which targets customers in China, both expat and local Chinese. We have an ICP license which allows us to host in a datacenter inside China. Internet in China is actually as fast as anywhere else (faster than most places actually), so long as the content is served-up within the boundaries of the Great-Firewall. Anything that crosses the wall is horribly slow. The problem is that most expats have some sort of VPN installed so that they can access all the blocked stuff. What this means is that when they access our site, the traffic first has to go out of China through the firewall to their VPN, and then back in. The performance is terrible, worse than if we were just hosting outside of China directly (which we used to do before the ICP was issued). So I want to use a global CDN to mirror the site automatically, but I only want to deliver the content via the CDN if the user's request IP address is outside of China. Inside China I would like the content to be served by our own server. I also want to be careful with the domain names. We currently use www.xxx.com and www.xxx.cn for language selection purposes, as these perform well in SEO on Google (which the expats use), and Baidu (which the locals use). If possible I would like to avoid having one domain on the outside, and the other on the inside since not all expats use a VPN, and some Chinese speakers also use VPNs. Also some of our legitimate customers in both languages are from outside of China. I also don't want to resort to using something like www2.xxx.com/cn for the outside connection if at all possible, since I have worries about duplicate content and canonical URLs ruining our SEO (unless you know of a quick fix for that). CDNs I'm considering are: Google PageSpeed, CloudFlare, Amazon CloudFront. None of which have datacenters inside China. I have complete control of the .com DNS zone records, but the .cn zones are under the control of the domain issuing body in China. I'm not sure at this time if they would allow even a CNAME to point to an IP outside of China (although I don't see why not). They no longer allow outside registrars like they used to.

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  • Windows 7 losing one of my displays after restart

    - by j_kubik
    I have an Intel DZ68BC motherboard with Intel HD graphics card using two monitors (on DVI and on HDMI » VGA). My friend asked me to test if his NVIDIA graphics card works well on my computer (at his it was doing some trouble), so I inserted it in my computer, installed the NVIDIA driver and it worked quite well. Then I removed it, uninstalled everything NVIDIA-related I could find and switched monitors back to my Intel card. Since then after every system start/restart, the system sees only monitor on HDMI » VGA connector, completely ignoring the DVI monitor. I noticed that installing the Intel video drivers causes the system to recognize the second monitor if I don't immediately reboot. After a reboot, the system recognizes only the HDMI » VGA monitor. I also tried starting in safe-mode and using DriveSweeper to remove the remains of NVIDIA drivers. While it seems that some drivers were removed, the situation didn't change. Now I am out of ideas and I really wouldn't like to reinstall the system (again...). I also tried restoring the system to the state before this whole story, but it also didn't change anything. EDIT: I am still trying to troubleshoot this problem. The only point that I could start was driver re-instalation. I traced down the part that restores right settings to a call: C:\Users\Jarek\Desktop\GFX_Win7_64_8.15.10.2696\x64\Drv64.exe -driverinf "C:\Users\Jarek\Desktop\GFX_Win7_64_8.15.10.2696\Graphics\igdlh64.inf" -flags 20 -keypath "Software\Intel\Difx64" This call fixes my displays, and as workaround, I will add it for now to my autorun. I am still looking for better solution anyway... EDIT2: Using DriverView i made a list of currently used drivers both before and after fixing my display using above command. Then i compared logs: No drivers were removed by fixing command. Drivers added by fixing command: MS Remote Access serial network driver (asyncmac.sys) security processor (spsys.sys) Drivers that changed base address (indicates driver-reload?) Canonical Display Driver (cdd.dll) Intel Graphics Kernel Mode Driver (igdkmd64.sys) Monitor Driver (monitor.sys) Added drivers seem rather unrelated to the problem to me, reloaded drivers are just a cnsequence of installing new driver file so there is not much to go here... I really cannot make heads or tails out of it...

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  • .htaccess ignored, SPECIFIC to EC2 - not the usual suspects

    - by tedneigerux
    I run 8-10 EC2 based web servers, so my experience is many hours, but is limited to CentOS; specifically Amazon's distribution. I'm installing Apache using yum, so therefore getting Amazon's default compilation of Apache. I want to implement canonical redirects from non-www (bare/root) domain to www.domain.com for SEO using mod_rewrite BUT MY .htaccess FILE IS CONSISTENTLY IGNORED. My troubleshooting steps (outlined below) lead me to believe it's something specific to Amazon's build of Apache. TEST CASE Launch a EC2 Instance, e.g. Amazon Linux AMI 2013.03.1 SSH to the Server Run the commands: $ sudo yum install httpd $ sudo apachectl start $ sudo vi /etc/httpd/conf/httpd.conf $ sudo apachectl restart $ sudo vi /var/www/html/.htaccess In httpd.conf I changed the following, in the DOCROOT section / scope: AllowOverride All In .htaccess, added: (EDIT, I added RewriteEngine On later) RewriteCond %{HTTP_HOST} ^domain\.com$ [NC] RewriteRule ^/(.*) http://www.domain.com/$1 [R=301,L] Permissions on .htaccess are correct, AFAI can tell: $ ls -al /var/www/html/.htaccess -rwxrwxr-x 1 git apache 142 Jun 18 22:58 /var/www/html/.htaccess Other info: $ httpd -v Server version: Apache/2.2.24 (Unix) Server built: May 20 2013 21:12:45 $ httpd -M Loaded Modules: core_module (static) ... rewrite_module (shared) ... version_module (shared) Syntax OK EXPECTED BEHAVIOR $ curl -I domain.com HTTP/1.1 301 Moved Permanently Date: Wed, 19 Jun 2013 12:36:22 GMT Server: Apache/2.2.24 (Amazon) Location: http://www.domain.com/ Connection: close Content-Type: text/html; charset=UTF-8 ACTUAL BEHAVIOR $ curl -I domain.com HTTP/1.1 200 OK Date: Wed, 19 Jun 2013 12:34:10 GMT Server: Apache/2.2.24 (Amazon) Connection: close Content-Type: text/html; charset=UTF-8 TROUBLESHOOTING STEPS In .htaccess, added: BLAH BLAH BLAH ERROR RewriteCond %{HTTP_HOST} ^domain\.com$ [NC] RewriteRule ^/(.*) http://www.domain.com/$1 [R=301,L] My server threw an error 500, so I knew the .htaccess file was processed. As expected, it created an Error log entry: [Wed Jun 19 02:24:19 2013] [alert] [client XXX.XXX.XXX.XXX] /var/www/html/.htaccess: Invalid command 'BLAH BLAH BLAH ERROR', perhaps misspelled or defined by a module not included in the server configuration Since I have root access on the server, I then tried moving my rewrite rule directly to the httpd.conf file. THIS WORKED. This tells us several important things are working. $ curl -I domain.com HTTP/1.1 301 Moved Permanently Date: Wed, 19 Jun 2013 12:36:22 GMT Server: Apache/2.2.24 (Amazon) Location: http://www.domain.com/ Connection: close Content-Type: text/html; charset=UTF-8 HOWEVER, it is bothering me that it didn't work in the .htaccess file. And I have other use cases where I need it to work in .htaccess (e.g. an EC2 instance with named virtual hosts). Thank you in advance for your help.

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  • Functional Adaptation

    - by Charles Courchaine
    In real life and OO programming we’re often faced with using adapters, DVI to VGA, 1/4” to 1/8” audio connections, 110V to 220V, wrapping an incompatible interface with a new one, and so on.  Where the adapter pattern is generally considered for interfaces and classes a similar technique can be applied to method signatures.  To be fair, this adaptation is generally used to reduce the number of parameters but I’m sure there are other clever possibilities to be had.  As Jan questioned in the last post, how can we use a common method to execute an action if the action has a differing number of parameters, going back to the greeting example it was suggested having an AddName method that takes a first and last name as parameters.  This is exactly what we’ll address in this post. Let’s set the stage with some review and some code changes.  First, our method that handles the setup/tear-down infrastructure for our WCF service: 1: private static TResult ExecuteGreetingFunc<TResult>(Func<IGreeting, TResult> theGreetingFunc) 2: { 3: IGreeting aGreetingService = null; 4: try 5: { 6: aGreetingService = GetGreetingChannel(); 7: return theGreetingFunc(aGreetingService); 8: } 9: finally 10: { 11: CloseWCFChannel((IChannel)aGreetingService); 12: } 13: } Our original AddName method: 1: private static string AddName(string theName) 2: { 3: return ExecuteGreetingFunc<string>(theGreetingService => theGreetingService.AddName(theName)); 4: } Our new AddName method: 1: private static int AddName(string firstName, string lastName) 2: { 3: return ExecuteGreetingFunc<int>(theGreetingService => theGreetingService.AddName(firstName, lastName)); 4: } Let’s change the AddName method, just a little bit more for this example and have it take the greeting service as a parameter. 1: private static int AddName(IGreeting greetingService, string firstName, string lastName) 2: { 3: return greetingService.AddName(firstName, lastName); 4: } The new signature of AddName using the Func delegate is now Func<IGreeting, string, string, int>, which can’t be used with ExecuteGreetingFunc as is because it expects Func<IGreeting, TResult>.  Somehow we have to eliminate the two string parameters before we can use this with our existing method.  This is where we need to adapt AddName to match what ExecuteGreetingFunc expects, and we’ll do so in the following progression. 1: Func<IGreeting, string, string, int> -> Func<IGreeting, string, int> 2: Func<IGreeting, string, int> -> Func<IGreeting, int>   For the first step, we’ll create a method using the lambda syntax that will “eliminate” the last name parameter: 1: string lastNameToAdd = "Smith"; 2: //Func<IGreeting, string, string, int> -> Func<IGreeting, string, int> 3: Func<IGreeting, string, int> addName = (greetingService, firstName) => AddName(greetingService, firstName, lastNameToAdd); The new addName method gets us one step close to the signature we need.  Let’s say we’re going to call this in a loop to add several names, we’ll take the final step from Func<IGreeting, string, int> -> Func<IGreeting, int> in line as a lambda passed to ExecuteGreetingFunc like so: 1: List<string> firstNames = new List<string>() { "Bob", "John" }; 2: int aID; 3: foreach (string firstName in firstNames) 4: { 5: //Func<IGreeting, string, int> -> Func<IGreeting, int> 6: aID = ExecuteGreetingFunc<int>(greetingService => addName(greetingService, firstName)); 7: Console.WriteLine(GetGreeting(aID)); 8: } If for some reason you needed to break out the lambda on line 6 you could replace it with 1: aID = ExecuteGreetingFunc<int>(ApplyAddName(addName, firstName)); and use this method: 1: private static Func<IGreeting, int> ApplyAddName(Func<IGreeting, string, int> addName, string lastName) 2: { 3: return greetingService => addName(greetingService, lastName); 4: } Splitting out a lambda into its own method is useful both in this style of coding as well as LINQ queries to improve the debugging experience.  It is not strictly necessary to break apart the steps & functions as was shown above; the lambda in line 6 (of the foreach example) could include both the last name and first name instead of being composed of two functions.  The process demonstrated above is one of partially applying functions, this could have also been done with Currying (also see Dustin Campbell’s excellent post on Currying for the canonical curried add example).  Matthew Podwysocki also has some good posts explaining both Currying and partial application and a follow up post that further clarifies the difference between Currying and partial application.  In either technique the ultimate goal is to reduce the number of parameters passed to a function.  Currying makes it a single parameter passed at each step, where partial application allows one to use multiple parameters at a time as we’ve done here.  This technique isn’t for everyone or every problem, but can be extremely handy when you need to adapt a call to something you don’t control.

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  • How to handle updated configuration when it's already been cloned for editing

    - by alexrussell
    Really sorry about the title that probably doesn't make much sense. Hopefully I can explain myself better here as it's something that's kinda bugged me for ages, and is now becoming a pressing concern as I write a bit of software with configuration. Most software comes with default configuration options stored in the app itself, and then there's a configuration file (let's say) that a user can edit. Once created/edited for the first time, subsequent updates to the application can not (easily) modify this configuration file for fear of clobbering the user's own changes to the default configuration. So my question is, if my application adds a new configurable parameter, what's the best way to aid discoverability of the setting and allow the user (developer) to override it as nicely as possible given the following constraints: I actually don't have a canonical default config in the application per se, it's more of a 'cascading filesystem'-like affair - the config template is stored in default/config.json and when the user wishes to edit the configuration, it's copied to user/config.json. If a user config is found it is used - there is no automatic overriding of a subset of keys, the whole new file is used and that's that. If there's no user config the default config is used. When a user wishes to edit the config they run a command to 'generate' it for them (which simply copies the config.json file from the default to the user directory). There is no UI for the configuration options as it's not appropriate to the userbase (think of my software as a library or something, the users are developers, the config is done in the user/config.json file). Due to my software being library-like there's no simple way to, on updating of the software, run some tasks automatically (so any ideas of look at the current config, compare to template config, add ing missing keys) aren't appropriate. The only solution I can think of right now is to say "there's a new config setting X" in release notes, but this doesn't seem ideal to me. If you want any more information let me know. The above specifics are not actually 100% true to my situation, but they represent the problem equally well with lower complexity. If you do want specifics, however, I can explain the exact setup. Further clarification of the type of configuration I mean: think of the Atom code editor. There appears to be a default 'template' config file somewhere, but as soon as a configuration option is edited ~/.atom/config.cson is generated and the setting goes in there. From now on is Atom is updated and gets a new configuration key, this file cannot be overwritten by Atom without a lot of effort to ensure that the addition/modification of the key does not clobber. In Atom's case, because there is a GUI for editing settings, they can get away with just adding the UI for the new setting into the UI to aid 'discoverability' of the new setting. I don't have that luxury. Clarification of my constraints and what I'm actually looking for: The software I'm writing is actually a package for a larger system. This larger system is what provides the configuration, and the way it works is kinda fixed - I just do a config('some.key') kinda call and it knows to look to see if the user has a config clone and if so use it, otherwise use the default config which is part of my package. Now, while I could make my application edit the user's configuration files (there is a convention about where they're stored), it's generally not done, so I'd like to live with the constraints of the system I'm using if possible. And it's not just about discoverability either, one large concern is that the addition of a configuration key won't actually work as soon as the user has their own copy of the original template. Adding the key to the template won't make a difference as that file is never read. As such, I think this is actually quite a big flaw in the design of the configuration cascading system and thus needs to be taken up with my upstream. So, thinking about it, based on my constraints, I don't think there's going to be a good solution save for either editing the user's configuration or using a new config file every time there are updates to the default configuration. Even the release notes idea from above isn't doable as, if the user does not follow the advice, suddenly I have a config key with no value (user-defined or default). So the new question is this: what is the general way to solve the problem of having a default configuration in template config files and allowing a user to make user-specific version of these in order to override the defaults? A per-key cascade (rather than per-file cascade) where the user only specifies their overrides? In this case, what happens if a configuration value is an array - do we replace or append to the default (or, more realistically, how does the user specify whether they wish to replace or append to)? It seems like configuration is kinda hard, so how is it solved in the wild?

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