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  • Lifetime issue of IDisposable unmanaged resources in a complex object graph?

    - by stakx
    This question is about dealing with unmanaged resources (COM interop) and making sure there won't be any resource leaks. I'd appreciate feedback on whether I seem to do things the right way. Background: Let's say I've got two classes: A class LimitedComResource which is a wrapper around a COM object (received via some API). There can only be a limited number of those COM objects, therefore my class implements the IDisposable interface which will be responsible for releasing a COM object when it's no longer needed. Objects of another type ManagedObject are temporarily created to perform some work on a LimitedComResource. They are not IDisposable. To summarize the above in a diagram, my classes might look like this: +---------------+ +--------------------+ | ManagedObject | <>------> | LimitedComResource | +---------------+ +--------------------+ | o IDisposable (I'll provide example code for these two classes in just a moment.) Question: Since my temporary ManagedObject objects are not disposable, I obviously have no control over how long they'll be around. However, in the meantime I might have Disposed the LimitedComObject that a ManagedObject is referring to. How can I make sure that a ManagedObject won't access a LimitedComResource that's no longer there? +---------------+ +--------------------+ | managedObject | <>------> | (dead object) | +---------------+ +--------------------+ I've currently implemented this with a mix of weak references and a flag in LimitedResource which signals whether an object has already been disposed. Is there any better way? Example code (what I've currently got): LimitedComResource: class LimitedComResource : IDisposable { private readonly IUnknown comObject; // <-- set in constructor ... void Dispose(bool notFromFinalizer) { if (!this.isDisposed) { Marshal.FinalReleaseComObject(comObject); } this.isDisposed = true; } internal bool isDisposed = false; } ManagedObject: class ManagedObject { private readonly WeakReference limitedComResource; // <-- set in constructor ... public void DoSomeWork() { if (!limitedComResource.IsAlive()) { throw new ObjectDisposedException(); // ^^^^^^^^^^^^^^^^^^^^^^^ // is there a more suitable exception class? } var ur = (LimitedComResource)limitedComResource.Target; if (ur.isDisposed) { throw new ObjectDisposedException(); } ... // <-- do something sensible here! } }

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  • How can we retrieve value on main.mxml from other .mxml?

    - by Roshan
    main.mxml [Bindable] private var _dp:ArrayCollection = new ArrayCollection([ {day:"Monday", dailyTill:7792.43}, {day:"Tuesday", dailyTill:8544.875}, {day:"Wednesday", dailyTill:6891.432}, {day:"Thursday", dailyTill:10438.1}, {day:"Friday", dailyTill:8395.222}, {day:"Saturday", dailyTill:5467.00}, {day:"Sunday", dailyTill:10001.5} ]); public var hx:String ; public function init():void { //parameters is passed to it from flashVars //values are either amount or order hx = Application.application.parameters.tab; } ]]> </mx:Script> <mx:LineChart id="myLC" dataProvider="{_dp}" showDataTips="true" dataTipRenderer="com.Amount" > <mx:horizontalAxis> <mx:CategoryAxis categoryField="day" /> </mx:horizontalAxis> <mx:series> <mx:LineSeries xField="day" yField="dailyTill"> </mx:LineSeries> </mx:series> </mx:LineChart> com/Amount.mxml [Bindable] private var _dayText:String; [Bindable] private var _dollarText:String; override public function set data(value:Object):void{ //Alert.show(Application.application.parameters.tab); //we know to expect a HitData object from a chart, so let's cast it as such //so that there aren't any nasty runtime surprises var hd:HitData = value as HitData; //Any HitData object carries a reference to the ChartItem that created it. //This is where we need to know exactly what kind of Chartitem we're dealing with. //Why? Because a pie chart isn't going to have an xValue and a yValue, but things //like bar charts, column charts and, in our case, line charts will. var item:LineSeriesItem = hd.chartItem as LineSeriesItem; //the xValue and yValue are returned as Objects. Let's cast them as strings, so //that we can display them in the Label fields. _dayText = String(item.xValue); var hx : String = String(item.yValue) _dollarText = hx.replace("$"," "); }//end set data ]]> </mx:Script> QUES : Amount.mxml is used as dataTipRenderer for line chart. Now, I need to obtain the value assigned to variable "hx" in main.mxml from "com/Amount.mxml".Any help would be greatly appreciated?

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  • What's the correct way to use Cakephp urls?

    - by Pichan
    Hello all, it's my first post here :) I'm having some difficulties with dealing with urls and parameters. I've gone through the router class api documentation over and over again and found nothing useful. First of all, I'd like to know if there is any 'universal' format in CakePHP(1.3) for handling urls. I'm currently handling all my urls as simple arrays(in the format that Router::url and $html-link accepts) and it's easy as long as I only need to pass them as arguments to cake's own methods. It usually gets tricky if I need something else. Mainly I'm having problems with converting string urls to the basic array format. Let's say I want to convert $arrayUrl to string and than again into url: $arrayUrl=array('controller'=>'SomeController','action'=>'someAction','someValue'); $url=Router::url($arrayUrl); //$url is now '/path/to/site/someController/someAction/someValue' $url=Router::normalize($url); //remove '/path/to/site' $parsed=Router::parse($url); /*$parsed is now Array( [controller] => someController [action] => someAction [named] => Array() [pass] => Array([0] => someValue) [plugin] => ) */ That seems an awful lot of code to do something as simple as to convert between 2 core formats. Also, note that $parsed is still not in the same as $arrayUrl. Of course I could tweak $parsed manually and actually I've done that a few times as a quick patch but I'd like to get to the bottom of this. I also noticed that when using prefix routing, $this-params in controller has the prefix embedded in the action(i.e. [action] = 'admin_edit') and the result of Router::parse() does not. Both of course have the prefix in it's own key. To summarize, how do I convert an url between any of these 3(or 4, if you include the prefix thing) mentioned formats the right way? Of course it would be easy to hack my way through this, but I'd still like to believe that cake is being developed by a bunch of people who have a lot more experience and insight than me, so I'm guessing there's a good reason for this "perceived misbehavior". I've tried to present my problem as good as I can, but due to my rusty english skills, I had to take a few detours :) I'll explain more if needed.

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  • 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.

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  • Arguments for moving from LINQtoSQL to Nhibernate?

    - by sah302
    Backstory: Hi all, I just spent a lot of time reading many of the LINQ vs Nhibernate threads here and on other sites. I work in a small development team of 4 people and we don't even have really any super experienced developers. We work for a small company that has a lot of technical needs but not enough developers to implement them (and hiring more is out of the question right now). Typically our projects (which individually are fairly small) have been coded separately and weren't really layered in anyway, code wasn't re-used, no class libraries, and we just use the LINQtoSQL .dbml files for our pojects, we really don't even use objects but pass around values and stuff, the only time we use objects is when inserting to a database (heck not even querying since you don't need to assign it to a type and can just bind to gridview). Despite all this as I said our company has a lot of technical needs, no one could come to us for a year and we would have plenty of work to implement requested features. Well I have decided to change that a bit first by creating class libraries and actually adding layers to our applications. I am trying to meet these guys halfway by still using LINQtoSQL as the ORM yet and still use VB as the language. However I am finding it a b***h of a time dealing with so many thing in LINQtoSQL that I found easy in Nhibernate (automatic handling of the session, criteria creation easier than expression trees, generic an dynamic querying easier etc.) So... Question: How can I convince my lead developers and other senior programmers that switching to Nhibernate is a good thing? That being in control of our domain objects is a good thing? That being able to implement interfaces is a good? I've tried exlpaining the advantages of this before but it's not understood by them because they've never programmed in a true OO & layered way. Also one of the counter arguments to this I can see is sqlMetal generates those classes automatically and therefore it saves a lot of time. I can't really counter that other than saying spending more time on infrastructure to make it more scalable and flexible is good, but they can't see how. Again, I know the features and advantages (somewhat enough I believe) of each, but I need arguments applicable to my context, hence why I provided the context. I just am not a very good arguer I guess. (Caveat: For all the LINQtoSQL lovers, I may just not be super proficient as LINQ, but I find it very cumbersome that you are required to download some extra library for dynamic queries which don't by default support guid comparisons, and I also find the way of updating entitites to be cumbersome as well in terms of data context managing, so it could just be that I suck hehe.)

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  • 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.

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  • 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.

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  • PostgreSQL - fetch the row which has the Max value for a column

    - by Joshua Berry
    I'm dealing with a Postgres table (called "lives") that contains records with columns for time_stamp, usr_id, transaction_id, and lives_remaining. I need a query that will give me the most recent lives_remaining total for each usr_id There are multiple users (distinct usr_id's) time_stamp is not a unique identifier: sometimes user events (one by row in the table) will occur with the same time_stamp. trans_id is unique only for very small time ranges: over time it repeats remaining_lives (for a given user) can both increase and decrease over time example: time_stamp|lives_remaining|usr_id|trans_id ----------------------------------------- 07:00 | 1 | 1 | 1 09:00 | 4 | 2 | 2 10:00 | 2 | 3 | 3 10:00 | 1 | 2 | 4 11:00 | 4 | 1 | 5 11:00 | 3 | 1 | 6 13:00 | 3 | 3 | 1 As I will need to access other columns of the row with the latest data for each given usr_id, I need a query that gives a result like this: time_stamp|lives_remaining|usr_id|trans_id ----------------------------------------- 11:00 | 3 | 1 | 6 10:00 | 1 | 2 | 4 13:00 | 3 | 3 | 1 As mentioned, each usr_id can gain or lose lives, and sometimes these timestamped events occur so close together that they have the same timestamp! Therefore this query won't work: SELECT b.time_stamp,b.lives_remaining,b.usr_id,b.trans_id FROM (SELECT usr_id, max(time_stamp) AS max_timestamp FROM lives GROUP BY usr_id ORDER BY usr_id) a JOIN lives b ON a.max_timestamp = b.time_stamp Instead, I need to use both time_stamp (first) and trans_id (second) to identify the correct row. I also then need to pass that information from the subquery to the main query that will provide the data for the other columns of the appropriate rows. This is the hacked up query that I've gotten to work: SELECT b.time_stamp,b.lives_remaining,b.usr_id,b.trans_id FROM (SELECT usr_id, max(time_stamp || '*' || trans_id) AS max_timestamp_transid FROM lives GROUP BY usr_id ORDER BY usr_id) a JOIN lives b ON a.max_timestamp_transid = b.time_stamp || '*' || b.trans_id ORDER BY b.usr_id Okay, so this works, but I don't like it. It requires a query within a query, a self join, and it seems to me that it could be much simpler by grabbing the row that MAX found to have the largest timestamp and trans_id. The table "lives" has tens of millions of rows to parse, so I'd like this query to be as fast and efficient as possible. I'm new to RDBM and Postgres in particular, so I know that I need to make effective use of the proper indexes. I'm a bit lost on how to optimize. I found a similar discussion here. Can I perform some type of Postgres equivalent to an Oracle analytic function? Any advice on accessing related column information used by an aggregate function (like MAX), creating indexes, and creating better queries would be much appreciated! P.S. You can use the following to create my example case: create TABLE lives (time_stamp timestamp, lives_remaining integer, usr_id integer, trans_id integer); insert into lives values ('2000-01-01 07:00', 1, 1, 1); insert into lives values ('2000-01-01 09:00', 4, 2, 2); insert into lives values ('2000-01-01 10:00', 2, 3, 3); insert into lives values ('2000-01-01 10:00', 1, 2, 4); insert into lives values ('2000-01-01 11:00', 4, 1, 5); insert into lives values ('2000-01-01 11:00', 3, 1, 6); insert into lives values ('2000-01-01 13:00', 3, 3, 1);

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  • JavaScript Resource Management Design Pattern

    - by Adam
    As a web developer, a common problem I find myself tackling is waiting for something to load before doing something else. In particular, I often hide (using either display: none; or visibility: hidden; depending on the situation) elements while waiting for a background image or a CSS file to load. Consider this example from Last.FM. They overlay a semi-transparant PNG over each album art image so that it looks like it's inside a jewel-case. They let it load when it loads, so depending on your internet speed, you may see the art image by itself (without the overlay) temporarily. In this case, the album art looks fine without the jewel-case effect. But in similar situations, I have found that I don't want the user to see the site's design mangled as resources incrementally load. So, in rare cases I have hidden everything from the user until the whole kit and kaboodle has loaded. But this is often a pain to write out, and may force the user to wait for a pretty long time to see anything (besides "loading..." text). I can think of (and have used on occasion) some obvious solutions/compromises: Use some inline CSS so that as certain parts of the DOM load and render, they will immediately have the correct size/position/etc. Immediately render the navigation part of the site, so that if the user wanted to use the current page purely to get somewhere else, they don't have to wait for the rest to load. Load pixelated images first as placeholders for layout while lazy-loading higher quality images as replacements. Something quirky like using a cute animated gif to distract the user during a "loading..." phase. Show useful information as a reference while loading the full UI. (Something akin to Gmail Inbox Preview, etc.) (Sorry if my question was basically just asked and answered...) Despite all of these ideas, I still find myself hoping there are better ways of doing some of these things. So I guess what I'm looking for is some inspiration and/or any creative ways of dealing with this problem that you guys may have seen out in the wild.

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  • XML validation in Java - why does this fail?

    - by jd
    hi, first time dealing with xml, so please be patient. the code below is probably evil in a million ways (I'd be very happy to hear about all of them), but the main problem is of course that it doesn't work :-) public class Test { private static final String JSDL_SCHEMA_URL = "http://schemas.ggf.org/jsdl/2005/11/jsdl"; private static final String JSDL_POSIX_APPLICATION_SCHEMA_URL = "http://schemas.ggf.org/jsdl/2005/11/jsdl-posix"; public static void main(String[] args) { System.out.println(Test.createJSDLDescription("/bin/echo", "hello world")); } private static String createJSDLDescription(String execName, String args) { Document jsdlJobDefinitionDocument = getJSDLJobDefinitionDocument(); String xmlString = null; // create the elements Element jobDescription = jsdlJobDefinitionDocument.createElement("JobDescription"); Element application = jsdlJobDefinitionDocument.createElement("Application"); Element posixApplication = jsdlJobDefinitionDocument.createElementNS(JSDL_POSIX_APPLICATION_SCHEMA_URL, "POSIXApplication"); Element executable = jsdlJobDefinitionDocument.createElement("Executable"); executable.setTextContent(execName); Element argument = jsdlJobDefinitionDocument.createElement("Argument"); argument.setTextContent(args); //join them into a tree posixApplication.appendChild(executable); posixApplication.appendChild(argument); application.appendChild(posixApplication); jobDescription.appendChild(application); jsdlJobDefinitionDocument.getDocumentElement().appendChild(jobDescription); DOMSource source = new DOMSource(jsdlJobDefinitionDocument); validateXML(source); try { Transformer transformer = TransformerFactory.newInstance().newTransformer(); transformer.setOutputProperty(OutputKeys.INDENT, "yes"); StreamResult result = new StreamResult(new StringWriter()); transformer.transform(source, result); xmlString = result.getWriter().toString(); } catch (Exception e) { e.printStackTrace(); } return xmlString; } private static Document getJSDLJobDefinitionDocument() { DocumentBuilderFactory factory = DocumentBuilderFactory.newInstance(); DocumentBuilder builder = null; try { builder = factory.newDocumentBuilder(); } catch (Exception e) { e.printStackTrace(); } DOMImplementation domImpl = builder.getDOMImplementation(); Document theDocument = domImpl.createDocument(JSDL_SCHEMA_URL, "JobDefinition", null); return theDocument; } private static void validateXML(DOMSource source) { try { URL schemaFile = new URL(JSDL_SCHEMA_URL); Sche maFactory schemaFactory = SchemaFactory.newInstance(XMLConstants.W3C_XML_SCHEMA_NS_URI); Schema schema = schemaFactory.newSchema(schemaFile); Validator validator = schema.newValidator(); DOMResult result = new DOMResult(); validator.validate(source, result); System.out.println("is valid"); } catch (Exception e) { e.printStackTrace(); } } } it spits out a somewhat odd message: org.xml.sax.SAXParseException: cvc-complex-type.2.4.a: Invalid content was found starting with element 'JobDescription'. One of '{"http://schemas.ggf.org/jsdl/2005/11/jsdl":JobDescription}' is expected. Where am I going wrong here? Thanks a lot

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  • Constructor Injection and when to use a Service Locator

    - by Simon
    I'm struggling to understand parts of StructureMap's usage. In particular, in the documentation a statement is made regarding a common anti-pattern, the use of StructureMap as a Service Locator only instead of constructor injection (code samples straight from Structuremap documentation): public ShippingScreenPresenter() { _service = ObjectFactory.GetInstance<IShippingService>(); _repository = ObjectFactory.GetInstance<IRepository>(); } instead of: public ShippingScreenPresenter(IShippingService service, IRepository repository) { _service = service; _repository = repository; } This is fine for a very short object graph, but when dealing with objects many levels deep, does this imply that you should pass down all the dependencies required by the deeper objects right from the top? Surely this breaks encapsulation and exposes too much information about the implementation of deeper objects. Let's say I'm using the Active Record pattern, so my record needs access to a data repository to be able to save and load itself. If this record is loaded inside an object, does that object call ObjectFactory.CreateInstance() and pass it into the active record's constructor? What if that object is inside another object. Does it take the IRepository in as its own parameter from further up? That would expose to the parent object the fact that we're access the data repository at this point, something the outer object probably shouldn't know. public class OuterClass { public OuterClass(IRepository repository) { // Why should I know that ThingThatNeedsRecord needs a repository? // that smells like exposed implementation to me, especially since // ThingThatNeedsRecord doesn't use the repo itself, but passes it // to the record. // Also where do I create repository? Have to instantiate it somewhere // up the chain of objects ThingThatNeedsRecord thing = new ThingThatNeedsRecord(repository); thing.GetAnswer("question"); } } public class ThingThatNeedsRecord { public ThingThatNeedsRecord(IRepository repository) { this.repository = repository; } public string GetAnswer(string someParam) { // create activeRecord(s) and process, returning some result // part of which contains: ActiveRecord record = new ActiveRecord(repository, key); } private IRepository repository; } public class ActiveRecord { public ActiveRecord(IRepository repository) { this.repository = repository; } public ActiveRecord(IRepository repository, int primaryKey); { this.repositry = repository; Load(primaryKey); } public void Save(); private void Load(int primaryKey) { this.primaryKey = primaryKey; // access the database via the repository and set someData } private IRepository repository; private int primaryKey; private string someData; } Any thoughts would be appreciated. Simon

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  • Finding underlying cause of Window 7 Account corruption.

    - by Carl Jokl
    I have been having trouble with my Sister's computer which I built. It is running Windows 7 Ultimate x64. The problem is that I have had problems with the accounts becoming corrupted. First problems manifest themselves in the form of Windows saying the profile failed to be loaded properly and a temporary profile. Eventually the account will not allow login at all. An error message along the lines the authentication service failing the login. I have found information about this problem and how to fix it. The problem being that something has corrupted the account profile and backing up and recreating the accounts fixes the problem. I have been able to fix things and get logins working again but over the period of usually about a week it happens again. Bit by bit the accounts corrupt and then it is back to square one. I am frustrated because I don't know what the underlying cause of the problem is i.e. what is causing the accounts to be corrupted in the first place. At the moment I am just treating the symptoms. I was hoping someone who may have more experience with dealing with this problem might be able to help me find the root cause. Some articles suggest that Norton Internet Security is a big culprit of this problem which is installed. I could try uninstalling Norton and see if it helps. The one thing which is different about this computer to any other I have built is that it has a solid state drive. Actually it has both a hard drive and solid state drive. The documents and settings i.e. the Users directory is stored on the hard drive. This was done following an article about moving the user account data onto a separate drive on Windows 7 which I found on the Internet. Moving the User accounts is more of a pain under Windows 7 and this solution involved creating a low level file system link to the folder from the boot drive (Solid State) to the Hard Drive. The idea is that the computer behaves just as if it is accessing the User's folder from the boot drive but actually the data is stored on the hard drive. This may have nothing to do with the cause of the problem but due to the problem being user account corruption it is a possibility I have not been able to rule out. Any help would be appreciated as I would be glad to see the back of this problem.

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  • Checking if an int is prime more efficiently

    - by SipSop
    I recently was part of a small java programming competition at my school. My partner and I have just finished our first pure oop class and most of the questions were out of our league so we settled on this one (and I am paraphrasing somewhat): "given an input integer n return the next int that is prime and its reverse is also prime for example if n = 18 your program should print 31" because 31 and 13 are both prime. Your .class file would then have a test case of all the possible numbers from 1-2,000,000,000 passed to it and it had to return the correct answer within 10 seconds to be considered valid. We found a solution but with larger test cases it would take longer than 10 seconds. I am fairly certain there is a way to move the range of looping from n,..2,000,000,000 down as the likely hood of needing to loop that far when n is a low number is small, but either way we broke the loop when a number is prime under both conditions is found. At first we were looping from 2,..n no matter how large it was then i remembered the rule about only looping to the square root of n. Any suggestions on how to make my program more efficient? I have had no classes dealing with complexity analysis of algorithms. Here is our attempt. public class P3 { public static void main(String[] args){ long loop = 2000000000; long n = Integer.parseInt(args[0]); for(long i = n; i<loop; i++) { String s = i +""; String r = ""; for(int j = s.length()-1; j>=0; j--) r = r + s.charAt(j); if(prime(i) && prime(Long.parseLong(r))) { System.out.println(i); break; } } System.out.println("#"); } public static boolean prime(long p){ for(int i = 2; i<(int)Math.sqrt(p); i++) { if(p%i==0) return false; } return true; } } ps sorry if i did the formatting for code wrong this is my first time posting here. Also the output had to have a '#' after each line thats what the line after the loop is about Thanks for any help you guys offer!!!

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  • Inserting contact with android and querying the result uri returns no entries

    - by th0m4d
    Im developing an application which is dealing with the android contacts API. I implemented methods to insert, update and query contacts. So far everything worked (writing and reading contacts). At one point in my project Im experiencing a strange behaviour. I insert a contact using batch mode. I receive the URI to the RawContact. I do this in a background thread. // use batchmode for contact insertion ArrayList ops = new ArrayList(); int rawContactInsertIndex = ops.size(); // create rawContact ops.add(ContentProviderOperation.newInsert(RawContacts.CONTENT_URI) .withValue(RawContacts.ACCOUNT_TYPE, ConstantsContract.ACCOUNT_TYPE) .withValue(RawContacts.ACCOUNT_NAME, accountName).build()); ops.add(createInsertOperation().withValueBackReference(Data.RAW_CONTACT_ID, rawContactInsertIndex) .withValue(Data.MIMETYPE, StructuredName.CONTENT_ITEM_TYPE) .withValue(StructuredName.DISPLAY_NAME, displayName).withValue(StructuredName.GIVEN_NAME, firstName) .withValue(StructuredName.FAMILY_NAME, lastName).build()); //other data values... ContentProviderResult[] results = context.getContentResolver().applyBatch(ContactsContract.AUTHORITY, ops); if (results.length 0) { result = results[0]; } Then i request and store the lookup uri RawContacts.getContactLookupUri(this.getContentResolver(), myContantRawContactUri); I am able to query the contact using the rawContactUri directly after inserting it (in the same thread). The lookup uri returns null. Uri rawContactUri = appUser.getRawContactUri(ctx); if (rawContactUri == null) { return null; } String lastPathSegment = rawContactUri.getLastPathSegment(); long rawContactId = Long.decode(lastPathSegment); if (rawContactUri != null) { contact = readContactWithID(rawContactId, ContactsContract.Data.RAW_CONTACT_ID); In a different place in the project I want to query the contact i inserted by the stored lookup uri or raw contact uri. Both return no rows from the content provider. I tried it in the main thread and in another background thread. ctx.getContentResolver().query(ContactsContract.Data.CONTENT_URI, null, ContactsContract.Data.RAW_CONTACT_ID + " = ? AND " + ContactsContract.Data.MIMETYPE + " = ?", new String[] { contactID + "", ContactsContract.CommonDataKinds.StructuredName.CONTENT_ITEM_TYPE }, null); My first thought was that it could be related to the context.getContentResolver(). But the android documentation states, that the ContentResolver objects scope is the application's package, so you have on ContentResolver for the whole app. Am I right? What am I doing wrong? Why does the same rawContactUri return the contact at one place and does not on another place? And why do I get a lookup uri from a raw contact, which is not working at all?

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  • Increase efficiency for an R simulator of the Monty Hall Puzzle

    - by jahan_m
    The Monty Hall Problem is a simple puzzle involving probability that even stumps professionals in careers dealing with some heavy-duty math. Here's the basic problem: Suppose you're on a game show, and you're given the choice of three doors: Behind one door is a car; behind the others, goats. You pick a door, say No. 1, and the host, who knows what's behind the doors, opens another door, say No. 3, which has a goat. He then says to you, "Do you want to pick door No. 2?" Is it to your advantage to switch your choice? You can find numerous explanations of the solution here: http://en.wikipedia.org/wiki/Monty_Hall_problem Goal of my simulation: Prove that a switching strategy will win you the car 2/3 of the time. I got curious and wanted to write a little function that simulates the problem many times and returns the proportion of wins if you switched and the proportion of wins if you stayed with your first choice. The function then plots the cumulative wins. First and foremost, I'm interested in hearing if my simulation is indeed replicating the Monty Problem, or if some aspect of the code got it wrong. Secondly, this function takes a long time to run once I get to about 10,000 simulations. I know I don't need this many simulations to prove this but I'd love to hear some ideas on how to make it more efficient. Thanks for your feedback! Monty_Hall=function(repetitions){ doors=c('A','B','C') stay_wins=0 switch_wins=0 series=data.frame(sim_num=seq(repetitions),cum_sum_stay=replicate(repetitions,0),cum_sum_switch=replicate(repetitions,0)) for(i in seq(repetitions)){ winning_door=sample(doors,1) contestant_chooses=sample(doors,1) if(contestant_chooses==winning_door) stay_wins=stay_wins+1 else switch_wins=switch_wins+1 series[i,'cum_sum_stay']=stay_wins series[i,'cum_sum_switch']=switch_wins } plot(series$sim_num,series$cum_sum_switch,col=2,ylab='Cumulative # of wins', xlab='Simulation #',main=sprintf('%d Simulations of the Monty Hall Paradox',repetitions),type='l') lines(series$sim_num,series$cum_sum_stay,col=4) legend('topleft',legend=c('Cumulative wins from switching', 'Cumulative wins from staying'),col=c(2,4),lty=1) result=list(series=series,stay_wins=stay_wins,switch_wins=switch_wins, proportion_stay_wins=stay_wins/repetitions, proportion_switch_wins=switch_wins/repetitions) return(result) } #Theory predicts that it is to the contestant's advantage if he #switches his choice to the other door. This function simulates the game #many times, and shows you the proportion of games in which staying or #switching would win the car. It also plots the cumulative wins for each strategy. Monty_Hall(100)

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  • In a PHP project, how do you organize and access your helper objects?

    - by Pekka
    How do you organize and manage your helper objects like the database engine, user notification, error handling and so on in a PHP based, object oriented project? Say I have a large PHP CMS. The CMS is organized in various classes. A few examples: the database object user management an API to create/modify/delete items a messaging object to display messages to the end user a context handler that takes you to the right page a navigation bar class that shows buttons a logging object possibly, custom error handling etc. I am dealing with the eternal question, how to best make these objects accessible to each part of the system that needs it. my first apporach, many years ago was to have a $application global that contained initialized instances of these classes. global $application; $application->messageHandler->addMessage("Item successfully inserted"); I then changed over to the Singleton pattern and a factory function: $mh =&factory("messageHandler"); $mh->addMessage("Item successfully inserted"); but I'm not happy with that either. Unit tests and encapsulation become more and more important to me, and in my understanding the logic behind globals/singletons destroys the basic idea of OOP. Then there is of course the possibility of giving each object a number of pointers to the helper objects it needs, probably the very cleanest, resource-saving and testing-friendly way but I have doubts about the maintainability of this in the long run. Most PHP frameworks I have looked into use either the singleton pattern, or functions that access the initialized objects. Both fine approaches, but as I said I'm happy with neither. I would like to broaden my horizon on what is possible here and what others have done. I am looking for examples, additional ideas and pointers towards resources that discuss this from a long-term, real-world perspective. Also, I'm interested to hear about specialized, niche or plain weird approaches to the issue. Bounty I am following the popular vote in awarding the bounty, the answer which is probably also going to give me the most. Thank you for all your answers!

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  • Reading and writing C++ vector to a file

    - by JB
    For some graphics work I need to read in a large amount of data as quickly as possible and would ideally like to directly read and write the data structures to disk. Basically I have a load of 3d models in various file formats which take too long to load so I want to write them out in their "prepared" format as a cache that will load much faster on subsequent runs of the program. Is it safe to do it like this? My worries are around directly reading into the data of the vector? I've removed error checking, hard coded 4 as the size of the int and so on so that i can give a short working example, I know it's bad code, my question really is if it is safe in c++ to read a whole array of structures directly into a vector like this? I believe it to be so, but c++ has so many traps and undefined behavour when you start going low level and dealing directly with raw memory like this. I realise that number formats and sizes may change across platforms and compilers but this will only even be read and written by the same compiler program to cache data that may be needed on a later run of the same program. #include <fstream> #include <vector> using namespace std; struct Vertex { float x, y, z; }; typedef vector<Vertex> VertexList; int main() { // Create a list for testing VertexList list; Vertex v1 = {1.0f, 2.0f, 3.0f}; list.push_back(v1); Vertex v2 = {2.0f, 100.0f, 3.0f}; list.push_back(v2); Vertex v3 = {3.0f, 200.0f, 3.0f}; list.push_back(v3); Vertex v4 = {4.0f, 300.0f, 3.0f}; list.push_back(v4); // Write out a list to a disk file ofstream os ("data.dat", ios::binary); int size1 = list.size(); os.write((const char*)&size1, 4); os.write((const char*)&list[0], size1 * sizeof(Vertex)); os.close(); // Read it back in VertexList list2; ifstream is("data.dat", ios::binary); int size2; is.read((char*)&size2, 4); list2.resize(size2); // Is it safe to read a whole array of structures directly into the vector? is.read((char*)&list2[0], size2 * sizeof(Vertex)); }

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  • XY-Scatter Chart In SSRS Won't Display Points

    - by Dalin Seivewright
    I'm a bit confused with this one. I have a Dataset with a BackupDate and a BackupTime as well as a BackupType. The BackupDate is comprised of 12 characters from the left of a datetime string within a table. The BackupTime is comprised of 8 characters from the right of that same datetime string. So for example: BackupDate would be 'December 12 2008' and the BackupTime would be '12:53PM.' I have added an XY-scatter chart to the report. I've added a 'series' value for the BackupType (so one can distinguish between a Full/Incr/Log backup). I've added a category value of BackupDate and set the Scale for the X-axis from the Min of BackupDate to the Max of BackupDate. I've then added an item to the Values with the Y variable set to BackupTime and the X variable set to BackupDate. The interval for the Y-axis is 12:00AM to 11:59PM and the formatting for the labels is 'hh:mmtt'. The BackupTime matches the format of the Y-axis. The BackupDate matches the format of the X-axis. 10 entries are retrieved by my Dataset and the Legend is properly populated by the BackupType field. No points are being plotted on the graph and no markers/pointers are shown if they are enabled. There should be a point on the graph for every point in time of each day there is a backup of a specific type. Am I missing something? Does anyone know of a good tutorial dealing specifically with XY-scatter graphs and using them in a way I intend? I am using the 2005 version of SSRS rather than the 2008 version. Screenshot of what my chart currently looks like: In case it could be dataset related: SELECT TOP (10) backup_type, LTRIM(RTRIM(LEFT(backup_finish_date, 12))) AS BackupDate, LTRIM(RTRIM(RIGHT(backup_finish_date, 8))) AS BackupTime FROM DBARepository.Backup_History As requested, here are the results of this query. There is a Where clause to constrain the results to a specific database of a specific server that was not included in the above SQL Query. Log Dec 26 2008 12:00PM Log Dec 27 2008 4:00AM Log Dec 27 2008 8:00AM Log Dec 27 2008 12:00PM Log Dec 27 2008 4:00PM Log Dec 27 2008 8:00PM Database Dec 27 2008 10:01PM Log Dec 28 2008 12:00AM Log Dec 28 2008 4:00AM Log Dec 28 2008 8:00AM

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  • Some clarification on rvalue references

    - by Dennis Zickefoose
    First: where are std::move and std::forward defined? I know what they do, but I can't find proof that any standard header is required to include them. In gcc44 sometimes std::move is available, and sometimes its not, so a definitive include directive would be useful. When implementing move semantics, the source is presumably left in an undefined state. Should this state necessarily be a valid state for the object? Obviously, you need to be able to call the object's destructor, and be able to assign to it by whatever means the class exposes. But should other operations be valid? I suppose what I'm asking is, if your class guarantees certain invariants, should you strive to enforce those invariants when the user has said they don't care about them anymore? Next: when you don't care about move semantics, are there any limitations that would cause a non-const reference to be preferred over an rvalue reference when dealing with function parameters? void function(T&); over void function(T&&); From a caller's perspective, being able to pass functions temporary values is occasionally useful, so it seems as though one should grant that option whenever it is feasible to do so. And rvalue references are themselves lvalues, so you can't inadvertently call a move-constructor instead of a copy-constructor, or something like that. I don't see a downside, but I'm sure there is one. Which brings me to my final question. You still can not bind temporaries to non-const references. But you can bind them to non-const rvalue references. And you can then pass along that reference as a non-const reference in another function. void function1(int& r) { r++; } void function2(int&& r) { function1(r); } int main() { function1(5); //bad function2(5); //good } Besides the fact that it doesn't do anything, is there anything wrong with that code? My gut says of course not, since changing rvalue references is kind of the whole point to their existence. And if the passed value is legitimately const, the compiler will catch it and yell at you. But by all appearances, this is a runaround of a mechanism that was presumably put in place for a reason, so I'd just like confirmation that I'm not doing anything foolish.

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  • How can i put the thumbnail beside the list item in Android?

    - by Srikanth Naidu
    public class ShootList extends ListActivity implements OnItemClickListener { String[] listItems = {"HeadShot", "BodyShot ", "ExtraShot", "Video Take1", "Video Take2", "Video Take3", }; public void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); setContentView(R.layout.list); setListAdapter(new ArrayAdapter(this,android.R.layout.simple_list_item_1, listItems)); ListView shot = getListView(); shot.setOnItemClickListener(this); } @Override public void onItemClick(AdapterView<?> arg0, View arg1, int Position, long arg3) { // TODO Auto-generated method stub int P = Position; switch ( P ) { case 0: Intent intent = new Intent("android.media.action.IMAGE_CAPTURE"); startActivityForResult(intent, 1); break; case 1: AlertDialog.Builder alertbox1 = new AlertDialog.Builder(this); alertbox1.setMessage("BodyShot").show(); break; case 2: AlertDialog.Builder alertbox2 = new AlertDialog.Builder(this); alertbox2.setMessage("ExtraShot").show(); break; case 3: Intent Take1 = new Intent("android.media.action.VIDEO_CAPTURE"); startActivityForResult(Take1, 0); break; case 4: AlertDialog.Builder alertbox4 = new AlertDialog.Builder(this); alertbox4.setMessage("Take2").show(); break; case 5: AlertDialog.Builder alertbox5 = new AlertDialog.Builder(this); alertbox5.setMessage("Take3").show(); break; default: break; } } public void onActivityResult(int requestCode, int resultCode, Intent data) { super.onActivityResult(requestCode, resultCode, data); int i; // if Activity was canceled, display a Toast message if (resultCode == RESULT_CANCELED) { Toast toast = Toast.makeText(this,"camera cancelled", 10000); toast.show(); return; } // lets check if we are really dealing with a picture if (requestCode == 1 && resultCode == RESULT_OK) { Bundle extras = data.getExtras(); Bitmap b = (Bitmap) extras.get("data"); //setContentView(R.layout.main); ImageView mImg; mImg = (ImageView) findViewById(R.id.img); mImg.setImageBitmap(b); // save image to gallery String timestamp = Long.toString(System.currentTimeMillis()); MediaStore.Images.Media.insertImage(getContentResolver(), b, timestamp, timestamp); } } }

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  • Implementing Skip List in C++

    - by trikker
    [SOLVED] So I decided to try and create a sorted doubly linked skip list... I'm pretty sure I have a good grasp of how it works. When you insert x the program searches the base list for the appropriate place to put x (since it is sorted), (conceptually) flips a coin, and if the "coin" lands on a then that element is added to the list above it(or a new list is created with element in it), linked to the element below it, and the coin is flipped again, etc. If the "coin" lands on b at anytime then the insertion is over. You must also have a -infinite stored in every list as the starting point so that it isn't possible to insert a value that is less than the starting point (meaning that it could never be found.) To search for x, you start at the "top-left" (highest list lowest value) and "move right" to the next element. If the value is less than x than you continue to the next element, etc. until you have "gone too far" and the value is greater than x. In this case you go back to the last element and move down a level, continuing this chain until you either find x or x is never found. To delete x you simply search x and delete it every time it comes up in the lists. For now, I'm simply going to make a skip list that stores numbers. I don't think there is anything in the STL that can assist me, so I will need to create a class List that holds an integer value and has member functions, search, delete, and insert. The problem I'm having is dealing with links. I'm pretty sure I could create a class to handle the "horizontal" links with a pointer to the previous element and the element in front, but I'm not sure how to deal with the "vertical" links (point to corresponding element in other list?) If any of my logic is flawed please tell me, but my main questions are: How to deal with vertical links and whether my link idea is correct Now that I read my class List idea I'm thinking that a List should hold a vector of integers rather than a single integer. In fact I'm pretty positive, but would just like some validation. I'm assuming the coin flip would simply call int function where rand()%2 returns a value of 0 or 1 and if it's 0 then a the value "levels up" and if it's 0 then the insert is over. Is this incorrect? How to store a value similar to -infinite? Edit: I've started writing some code and am considering how to handle the List constructor....I'm guessing that on its construction, the "-infinite" value should be stored in the vectorname[0] element and I can just call insert on it after its creation to put the x in the appropriate place.

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  • SQL/Schema comparison and upgrade

    - by Workshop Alex
    I have a simple situation. A large organisation is using several different versions of some (desktop) application and each version has it's own database structure. There are about 200 offices and each office will have it's own version, which can be one of 7 different ones. The company wants to upgrade all applications to the latest versions, which will be version 8. The problem is that they don't have a separate database for each version. Nor do they have a separate database for each office. They have one single database which is handled by a dedicated server, thus keeping things like management and backups easier. Every office has it's own database schema and within the schema there's the whole database structure for their specific application version. As a result, I'm dealing with 200 different schema's which need to be upgraded, each with 7 possible versions. Fortunately, every schema knows the proper version so checking the version isn't difficult. But my problem is that I need to create upgrade scripts which can upgrade from version 1 to version 2 to version 3 to etc... Basically, all schema's need to be bumped up one version until they're all version 8. Writing the code that will do this is no problem. the challenge is how to create the upgrade script from one version to the other? Preferably with some automated tool. I've examined RedGate's SQL Compare and Altova's DatabaseSpy but they're not practical. Altova is way too slow. RedGate requires too much processing afterwards, since the generated SQL Script still has a few errors and it refers to the schema name. Furthermore, the code needs to become part of a stored procedure and the code generated by RedGate doesn't really fit inside a single procedure. (Plus, it's doing too much transaction-handling, while I need everything within a single transaction. I have been considering using another SQL Comparison tool but it seems to me that my case is just too different from what standard tools can deliver. So I'm going to write my own comparison tool. To do this, I'll be using ADOX with Delphi to read the catalogues for every schema version in the database, then use this to write the SQL Statements that will need to upgrade these schema's to their next version. (Comparing 1 with 2, 2 with 3, 3 with 4, etc.) I'm not unfamiliar with generating SQL-Script-Generators so I don't expect too many problems. And I'll only be upgrading the table structures, not any of the other database objects. So, does anyone have some good tips and tricks to apply when doing this kind of comparisons? Things to be aware of? Practical tips to increase speed?

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  • iPhone app works hundreds of times, then crashes from memory error on startup, then never works unti

    - by peter
    I have a Cocos2d/openGL iPhone game. It's a universal app and I'm dealing with an occasional but nasty error on the iPad. We are loading a lot of textures up front (3 2048x2048 textures). I'm working on reducing this up front load, but what worries me is I really don't understand the root cause of this crash that permanently breaks the app. This is the deal: 1. App works fine for hundreds of plays on the iPad 2. Eventually (I'm guessing due to other programs using up some memory and not letting go or whatever) the app starts crashing on startup. It just closes again in the middle of loading. 3. The App will now never work again on that iPad, closing immediately every time, until the iPad is restarted. Obviously my app is demanding too much memory up front to work reliably every time, I get that. What I don't get is why when it fails once, it has failed forever until the iPad is restarted. Can anyone explain what is going on here? EDIT: forgot to add organizer crash lags just say low memory, like this every time (I changed my app name to MyAppName below). Again, I know it's low memory, but why does it stay low memory until restart?: Incident Identifier: E7A2507C-3FB1-4E3B-B315-09F094236541 CrashReporter Key: 0fda9d667f2c6073f20a76809aa25438b6854d15 OS Version: iPhone OS 3.2 (7B367) Date: 2010-04-30 16:59:44 -0400 Free pages: 437 Wired pages: 17228 Purgeable pages: 0 Largest process: MyAppName Processes Name UUID Count resident pages MyAppName <6307ce41802850944baa78d29224fa7f> 22385 (jettisoned) (active) mediaserverd <ea8bac28b06fe3980fdd44b5caceb563> 242 DTMobileIS <a0f651e43881e66f50f8a95abea72921> 5826 notification_pro <4c9a7ee0a5bbe160465991228f2d2f2e> 67 syslog_relay <4ceaed776d2df957fa130712f4ef21d0> 66 notification_pro <4c9a7ee0a5bbe160465991228f2d2f2e> 67 notification_pro <4c9a7ee0a5bbe160465991228f2d2f2e> 67 afcd <4f3c9566e33b4463f05603d990584e5d> 72 ptpd <83de0f774bd6553d513ae9e19b0f9b56> 181 syslogd <66247e305d5c0bf6f1ce1cc950653263> 81 lsd <a4d852c1c8da2b3d231bdc90887b52ba> 130 iapd <a8534cbde4b90ad5915dd26ab03ff3e3> 204 notifyd <5e9d5bee7c3eae1c8b494c79eb11406e> 71 BTServer <64e4a6ea6b1240db2331e05a29caa862> 108 CommCenter <97bf297944ac4bde19bcee96dd23bd5f> 181 SpringBoard <c7a5904c12db7b14334a4edaa4cabaa9> 5339 (active) configd <aca9fa3380322669164fd6b1a3864300> 373 fairplayd.K48 <2d997ffca1a568f9c5400ac32d8f0782> 84 locationd <dd1ea88105c62173908ce767db5c4d37> 599 mDNSResponder <820560222d47a1f2a0dce98a7f8a9721> 108 lockdownd <497fd54c79a680bf29f5d9320f514613> 303 MobileStorageMou <c277b79c2157c4dc5cfc5c3ca35bd5f2> 69 launchd <66972eee4d865c4383b33d985d22994b> 98 **End**

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  • Infinite loop when adding a row to a list in a class in python3

    - by Margaret
    I have a script which contains two classes. (I'm obviously deleting a lot of stuff that I don't believe is relevant to the error I'm dealing with.) The eventual task is to create a decision tree, as I mentioned in this question. Unfortunately, I'm getting an infinite loop, and I'm having difficulty identifying why. I've identified the line of code that's going haywire, but I would have thought the iterator and the list I'm adding to would be different objects. Is there some side effect of list's .append functionality that I'm not aware of? Or am I making some other blindingly obvious mistake? class Dataset: individuals = [] #Becomes a list of dictionaries, in which each dictionary is a row from the CSV with the headers as keys def field_set(self): #Returns a list of the fields in individuals[] that can be used to split the data (i.e. have more than one value amongst the individuals def classified(self, predicted_value): #Returns True if all the individuals have the same value for predicted_value def fields_exhausted(self, predicted_value): #Returns True if all the individuals are identical except for predicted_value def lowest_entropy_value(self, predicted_value): #Returns the field that will reduce <a href="http://en.wikipedia.org/wiki/Entropy_%28information_theory%29">entropy</a> the most def __init__(self, individuals=[]): and class Node: ds = Dataset() #The data that is associated with this Node links = [] #List of Nodes, the offspring Nodes of this node level = 0 #Tree depth of this Node split_value = '' #Field used to split out this Node from the parent node node_value = '' #Value used to split out this Node from the parent Node def split_dataset(self, split_value): fields = [] #List of options for split_value amongst the individuals datasets = {} #Dictionary of Datasets, each one with a value from fields[] as its key for field in self.ds.field_set()[split_value]: #Populates the keys of fields[] fields.append(field) datasets[field] = Dataset() for i in self.ds.individuals: #Adds individuals to the datasets.dataset that matches their result for split_value datasets[i[split_value]].individuals.append(i) #<---Causes an infinite loop on the second hit for field in fields: #Creates subnodes from each of the datasets.Dataset options self.add_subnode(datasets[field],split_value,field) def add_subnode(self, dataset, split_value='', node_value=''): def __init__(self, level, dataset=Dataset()): My initialisation code is currently: if __name__ == '__main__': filename = (sys.argv[1]) #Takes in a CSV file predicted_value = "# class" #Identifies the field from the CSV file that should be predicted base_dataset = parse_csv(filename) #Turns the CSV file into a list of lists parsed_dataset = individual_list(base_dataset) #Turns the list of lists into a list of dictionaries root = Node(0, Dataset(parsed_dataset)) #Creates a root node, passing it the full dataset root.split_dataset(root.ds.lowest_entropy_value(predicted_value)) #Performs the first split, creating multiple subnodes n = root.links[0] n.split_dataset(n.ds.lowest_entropy_value(predicted_value)) #Attempts to split the first subnode.

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  • JSF 2.0: Preserving component state across multiple views

    - by tlind
    The web application I am developing using MyFaces 2.0.3 / PrimeFaces 2.2RC2 is divided into a content and a navigation area. In the navigation area, which is included into multiple pages using templating (i.e. <ui:define>), there are some widgets (e.g. a navigation tree, collapsible panels etc.) of which I want to preserve the component state across views. For example, let's say I am on the home page. When I navigate to a product details page by clicking on a product in the navigation tree, my Java code triggers a redirect using navigationHandler.handleNavigation(context, null, "/detailspage.jsf?faces-redirect=true") Another way of getting to that details page would be by directly clicking on a product teaser that is shown on the home page. The corresponding <h:link> would lead us to the details page. In both cases, the expansion state of my navigation tree (a PrimeFaces tree component) and my collapsible panels is lost. I understand this is because the redirect / h:link results in the creation of a new view. What is the best way of dealing with this? I am already using MyFaces Orchestra in my project along with its conversation scope, but I am not sure if this is of any help here (since I'd have to bind the expansion/collapsed state of the widgets to a backing bean... but as far as I know, this is not possible). Is there a way of telling JSF which component states to propagate to the next view, assuming that the same component exists in that view? I guess I could need a pointer into the right direction here. Thanks! Update 1: I just tried binding the panels and the tree to a session-scoped bean, but this seems to have no effect. Also, I guess I would have to bind all child components (if any) manually, so this doesn't seem like the way to go. Update 2: Binding UI components to non-request scoped beans is not a good idea (see link I posted in a comment below). If there is no easier approach, I might have to proceed as follows: When a panel is collapsed or the tree is expanded, save the current state in a session-scoped backing bean (!= the UI component itself) The components' states are stored in a map. The map key is the component's (hopefully) unique, relative ID. I cannot use the whole absolute component path here, since the IDs of the parent naming containers might change if the view changes, assuming these IDs are generated programmatically. As soon as a new view gets constructed, retrieve the components' states from the map and apply them to the components. For example, in case of the panels, I can set the collapsed attribute to a value retrieved from my session-scoped backing bean.

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