Search Results

Search found 12440 results on 498 pages for 'cross product'.

Page 293/498 | < Previous Page | 289 290 291 292 293 294 295 296 297 298 299 300  | Next Page >

  • Asp.Net MVC Not Duplicate forms when Edit/Add

    - by Pino
    When we have anything that requires user input (Eg adding a product to a database) the Edit screen looks the same as the add screen. When using MVC .Net how do you handle this? Do you return the same view? Just adjust the model to reflect the change?

    Read the article

  • Starting company and getting a good deal

    - by Dan
    Hi, I'm having the possibility to start a small company with someone else. I'm a software programmer and been working on a field where there isn't much competition, at least in the platform I'm developing, which is the one with highest market share. This other person comes from marketing so he would find / provide clients and be in charge of the business side. So initially it would be me, the tech guy with the knowledge to develop our product and products based on my development, and this person who would become CEO (basically a 50/50 share). The idea is getting a product on our own, but also perform projects for others in order to get some cash. The problem is that his idea is doing this without initial capital. He tells me that he could get some customers from past business (which is mostly true as he has been in the business for some time) and then with the money obtained from such development, we could hire some freelance developers and build our own platform. I've already discussed with him that I don't find this the best way, provided that we need to compete against other companies some of who are VC funded and have many developers working fulltime. But most of all, I'm thinking of whether this is a fair deal to do, provided that this person is not providing anything other than clients, and I'd be the one having to do the work and dedicate time, thus also taking most of the risks. In all fairness, I'd expect him to put some initial capital, given that initially I'm putting some of my code which in some way is money given the time I've dedicated to it. So the question here is, does this seem fair to you? Is this the way it is usually done? My only concern here is that I don't have previous experience with such deals, and I ignore whether this is the usual thing to do in other cases. Certainly having a marketing person helps a lot. As you probably know being a programmer doesn't make me the most indicated person for marketing ;-) but at the same time I'm not sure if this could be a good deal or I'd just be making a pretty inconvenient deal. Hope I made my point clear, but feel free to let me know if more details are needed. Thanks in advance

    Read the article

  • How to program and calculate multiple subtotal and grandtotal using jquery?

    - by Victor
    I'm stump figuring out how to do this in jquery, I need to do it without any plug-in. Imagine a shopping cart for books, each change of quantity (using select dropdown) will update the total price, grandtotal and then the hidden input value. <table> <tr> <td class="qty"> <select class="item-1"> <option value="1">1</option> <option value="2">2</option> <option value="3">3</option> ... </select> </td> <td class="product"> Book 1 </td> <td class="price-item-1"> $20 </td> <td class="total-item-1"> $20 </td> </tr> <tr> <td class="qty"> <select class="item-2"> <option value="1">1</option> <option value="2">2</option> <option value="3">3</option> ... </select> </td> <td class="product"> Book 2 </td> <td class="price-item-2"> $10 </td> <td class="total-item-2"> $10 </td> </tr> ... ... <tr> <td colspan="3" align="right"> <strong>Grand Total:</strong> </td> <td class="grandtotal"> </td> </tr> </table> <input type="hidden" id="qty-item-1" value="0" /> <input type="hidden" id="total-item-1" value="0" /> <input type="hidden" id="qty-item-2" value="0" /> <input type="hidden" id="total-item-2" value="0" />

    Read the article

  • Cannot Expand/Collapse tasks in Microsoft Project 2010

    - by Dean
    I opened an existing Microsoft Project file today and was unable to expand/collapse the subtasks use the cursor and the '+/-' signs beside the parent tasks. I am able to expand and collapse using the 'View-Outline' ribbon icon. However when I attempt to do this using the mouse on specific tasks, my cursor will not perform the task. My cursor is a 'white cross' when I need it to be an 'arrow'. I'm assuming this is something minor that I'm missing. Any assistance appreciated. Thanks

    Read the article

  • How can we connect TP-link Access Point- TL-WA5210G with Wifi Lan card?

    - by PPS
    I would like to know that, We have a small Wireless Network that covers 40 mtrs indoor. Now we plan to expand our Network Coverage area apporx. 200 Mtrs (Outdoor). Due to our requirement we used TP- Link Access Point TL-WA5210G Outdoor(This AP covers 15Km area). We have 3 blocks between 200 mtrs, We like to connect all the laptops Lan Card directly with required Access-point. What should we do to achieve this, right now we are not getting the full strength signal, when we cross the 80 mtrs. So please suggest me proper configuration for implementing this TP-Link access point. Thanks PPS

    Read the article

  • Examples of good JPA Java Desktop Application

    - by Yatendra Goel
    I have learnt JPA recently. Now I want to use it in one of my commercial product. But before proceeding, I want to see some example JPA Java Desktop applications so as to have a better understanding of using JPA in desktop applications. I have searched google for this but all I found was tutorials on JPA with examples of entities. I need some good real java desktop applications which have used JPA.

    Read the article

  • Storage disk format to use to be utilised by all OS

    - by ClothSword
    Aiming to have a large internal HDD to store files, and several OSes on separate disks. They all need to read and write to one storage drive. Ubuntu (13.04+) Mac OSX (10.8+) Windows (7+) What format should the drive be? Would like to avoid buying third party software, here's what I have discerned so far: NTFS - Can't be written to by Mac without buying third party software? ext3 - Windows can't read, third party software in development. Mac has OSXFUSE HFS+ - Buy third party and/or faff around to get working on windows exFAT - Cross platform, but breaks MS patents?

    Read the article

  • Consuming and Provide webservice to client

    - by Jason
    Hi, I got a requirement to implement a website in java which will utilize another web service. Here is the scenario I am providing the product compare results to client and assume i am using amazon and other web services. Initially client invoke our web service and then we fetch results from merchants. I don't want complete solution just look for consuming and create web service in java example. I searched on google but couldn't found relevant example. I prefer if example is using eclipse :) Thanks

    Read the article

  • Using MySQL to generate daily sales reports with filled gaps, grouped by currency

    - by Shane O'Grady
    I'm trying to create what I think is a relatively basic report for an online store, using MySQL 5.1.45 The store can receive payment in multiple currencies. I have created some sample tables with data and am trying to generate a straightforward tabular result set grouped by date and currency so that I can graph these figures. I want to see each currency that is available per date, with a 0 in the result if there were no sales in that currency for that day. If I can get that to work I want to do the same but also grouped by product id. In the sample data I have provided there are only 3 currencies and 2 product ids, but in practice there can be any number of each. I can correctly group by date, but then when I add a grouping by currency my query does not return what I want. I based my work off this article. My reporting query, grouped only by date: SELECT calendar.datefield AS date, IFNULL(SUM(orders.order_value),0) AS total_value FROM orders RIGHT JOIN calendar ON (DATE(orders.order_date) = calendar.datefield) WHERE (calendar.datefield BETWEEN (SELECT MIN(DATE(order_date)) FROM orders) AND (SELECT MAX(DATE(order_date)) FROM orders)) GROUP BY date Now grouped by date and currency: SELECT calendar.datefield AS date, orders.currency_id, IFNULL(SUM(orders.order_value),0) AS total_value FROM orders RIGHT JOIN calendar ON (DATE(orders.order_date) = calendar.datefield) WHERE (calendar.datefield BETWEEN (SELECT MIN(DATE(order_date)) FROM orders) AND (SELECT MAX(DATE(order_date)) FROM orders)) GROUP BY date, orders.currency_id The results I am getting (grouped by date and currency): +------------+-------------+-------------+ | date | currency_id | total_value | +------------+-------------+-------------+ | 2009-08-15 | 3 | 81.94 | | 2009-08-15 | 45 | 25.00 | | 2009-08-15 | 49 | 122.60 | | 2009-08-16 | NULL | 0.00 | | 2009-08-17 | 45 | 25.00 | | 2009-08-17 | 49 | 122.60 | | 2009-08-18 | 3 | 81.94 | | 2009-08-18 | 49 | 245.20 | +------------+-------------+-------------+ The results I want: +------------+-------------+-------------+ | date | currency_id | total_value | +------------+-------------+-------------+ | 2009-08-15 | 3 | 81.94 | | 2009-08-15 | 45 | 25.00 | | 2009-08-15 | 49 | 122.60 | | 2009-08-16 | 3 | 0.00 | | 2009-08-16 | 45 | 0.00 | | 2009-08-16 | 49 | 0.00 | | 2009-08-17 | 3 | 0.00 | | 2009-08-17 | 45 | 25.00 | | 2009-08-17 | 49 | 122.60 | | 2009-08-18 | 3 | 81.94 | | 2009-08-18 | 45 | 0.00 | | 2009-08-18 | 49 | 245.20 | +------------+-------------+-------------+ The schema and data I am using in my tests: CREATE TABLE orders ( id INT PRIMARY KEY AUTO_INCREMENT, order_date DATETIME, order_id INT, product_id INT, currency_id INT, order_value DECIMAL(9,2), customer_id INT ); INSERT INTO orders (order_date, order_id, product_id, currency_id, order_value, customer_id) VALUES ('2009-08-15 10:20:20', '123', '1', '45', '12.50', '322'), ('2009-08-15 12:30:20', '124', '1', '49', '122.60', '400'), ('2009-08-15 13:41:20', '125', '1', '3', '40.97', '324'), ('2009-08-15 10:20:20', '126', '2', '45', '12.50', '345'), ('2009-08-15 13:41:20', '131', '2', '3', '40.97', '756'), ('2009-08-17 10:20:20', '3234', '1', '45', '12.50', '1322'), ('2009-08-17 10:20:20', '4642', '2', '45', '12.50', '1345'), ('2009-08-17 12:30:20', '23', '2', '49', '122.60', '3142'), ('2009-08-18 12:30:20', '2131', '1', '49', '122.60', '4700'), ('2009-08-18 13:41:20', '4568', '1', '3', '40.97', '3274'), ('2009-08-18 12:30:20', '956', '2', '49', '122.60', '3542'), ('2009-08-18 13:41:20', '443', '2', '3', '40.97', '7556'); CREATE TABLE currency ( id INT PRIMARY KEY, name VARCHAR(255) ); INSERT INTO currency (id, name) VALUES (3, 'Euro'), (45, 'US Dollar'), (49, 'CA Dollar'); CREATE TABLE calendar (datefield DATE); DELIMITER | CREATE PROCEDURE fill_calendar(start_date DATE, end_date DATE) BEGIN DECLARE crt_date DATE; SET crt_date=start_date; WHILE crt_date < end_date DO INSERT INTO calendar VALUES(crt_date); SET crt_date = ADDDATE(crt_date, INTERVAL 1 DAY); END WHILE; END | DELIMITER ; CALL fill_calendar('2008-01-01', '2011-12-31');

    Read the article

  • need help ,hp class and xml save load edit example.p

    - by jef
    http://www.sendspace.com/file/2zlfgn I have the php files i been trying to get them to save to xml. I have tried $product1=array(); $product1['id'] = new product( "19990","modrl","maf","purpose","war"); only the ID writes to xml. since model,maf etc are sub-elements is there a different way to create the objectarray?

    Read the article

  • How to specify a different ip address in virtual box guest os

    - by Nrew
    I am using Windows 7 as the host. And xp as guest. I've already check out this site: http://forums.virtualbox.org/viewtopic.php?f=3&t=17232 But the info is not complete. What do I need to set here, so that the guest would have another IP Address but can still connect to the internet. Because what I'm trying to accomplish here is to be able to try Team Viewer or Cross loop. With the host os and guest os. Because I only have one computer.

    Read the article

  • ASP.NET MVC CRUD PartialView Popup Issue

    - by Smiley Face
    I am creating an MVC website which makes use of Partial Views on Popups to handle all my CRUD transactions. Please note that my application can already handle these CRUD operations perfectly (LINQ-To-Entity). However, I have a problem with my popup forms. Below is the code from my _Add.cshtml: @model MyStore.Models.MyModels.ProductsModel @{ Layout = null; } @using (Ajax.BeginForm("_Add", "Products", new AjaxOptions { InsertionMode = InsertionMode.Replace, HttpMethod = "POST", OnSuccess = "addSuccess" }, new { @id = "addForm" })) { @Html.ValidationSummary(true) <div id="add-message" class="error invisible"></div> <fieldset> <legend>Products</legend> @Html.HiddenFor(m => Model.ProductCode) <div class="editor-label"> @Html.LabelFor(model => model.ProductName) </div> <div class="editor-field"> @Html.EditorFor(model => model.ProductName) @Html.ValidationMessageFor(model => model.ProductName) </div> <div class="editor-label"> @Html.LabelFor(model => model.Price) </div> <div class="editor-field"> @Html.TextBoxFor(model => model.Price) @Html.ValidationMessageFor(model => model.Price) </div> </fieldset> } Below is the code from my Controller: [HttpGet] public ActionResult _Add(string productCode) { ProductsModel model = newProductsModel(); model.ProductCode = ProductCode ; return PartialView(model); } [HttpPost] public JsonResult _Add(ProductsModel model) { if (ModelState.IsValid) { ProductsManager prod = new ProductsManager(); Products pa = new Products(); pa.ProductCode = model.ProductCode; pa.ProductName = model.ProductName; pa.Price = model.Price; prod.AddProduct(pa); return Json(HelperClass.SuccessResponse(pa), JsonRequestBehavior.AllowGet); } else { return Json(HelperClass.ErrorResponse("Please review your form"), JsonRequestBehavior.DenyGet); } } Please note that the _Add.cshtml is a partial view which is being rendered through a Popup.js which I found on the internet. It is rendered through this code: @Html.ActionLink("[Add Product]", "_Add", new { ProductCode = @ViewData["ProductCode"] }, new { @class = "editLink" }) This works okay. I mean it adds product to my database. But my problem is upon clicking the Proceed button, I get this pop-up download dialog from the page: Can somebody please help me with this? I have a hunch it's because of the HttpMethod i'm using (POST, PUT, GET, DELETE) but i'm not really sure which one is right to use or if it really is the problem in the first place. Any help would be greatly appreciated! PS. Sorry for the long post.

    Read the article

  • Word 2010 & Outlook 2007 - HTML Mail Merge Doesn't Work, Plain Text and Attachments do

    - by Prejay
    Hopefully someone has an answer or fix for this. When using Outlook 2007 & Word 2007 or Word 2010 & Outlook 2010, Mail merging Works fine. However there are some systems that have Word 2010 and Outlook 2007 installed. In these cases, Mail Merging to HTML Emails doesn't do anything. If i choose to Mail Merge to Plain text emails or attachments, these go through Outlook. Only HTML Email doesn't work. Now, something like Mapi Labs Mail Merge toolkit is abole to get around this, but I was wondering if there was any statement/solution on cross version support for HTML Mail Merging from Microsoft.

    Read the article

  • I have a server running Windows 2008 R2 Core and it needs to hosts either SVN or GIT

    - by Jason Adams
    The server allocated for our cross platform projects (both Mac & PC) source repository is running Win2008R2 Core. We're really happy with its stability and we aren't interested in moving over to non-core. We need to get either SVN or GIT installed on the aforementioned box in the shortest amount of steps. We know the advantages/disadvantages of both systems. That being said, we don't care which one we use, we're just are looking for the path of least resistance on setting up a repository on a machine running R2 core.

    Read the article

  • Pulling changes between two separate Mercurial repositories

    - by Rob
    I have two versions of a product and am using separate Hg repositories for each. I have made a change to one (v1.0) and I want to pull just that change into the v2.0 repository. How do I go about this? As far as I can tell, using hg pull -f -r xxxxx \\server\hg\v1.0 will pull in all changes up to the specified revision which isn't what I want. Is this possible or will I have to add the fix by hand?

    Read the article

  • import a text file into a temporary table using 'Load data infile' inside a stored procedure- MySQL

    - by Pankaj
    I need to import a text file into a temporary table and from that select portions of it to insert in different tables. I wanted to use 'LOAD DATA INFILE'. Is there any way, i can use 'Load data infile' in a stored procedure. I am using mysql. LOAD DATA LOCAL INFILE 'C:\\MyData.txt' INTO TABLE tempprod fields terminated by ',' lines terminated by '\r\n'; SELECT * FROM product p;

    Read the article

  • Contributing to the Status Bar/Trim in Eclipse RCP

    - by Robert Wilson
    I have a requirement to show a status indicator in the status bar of an Eclipse application. I can't contribute through the ApplicationWindowAdviser (another team owns the core product), but I feel sure that I should be able to contribute through an extension point. Despite much googling, I can't find anything describing how to do this.

    Read the article

  • Connecting switch to switch to router

    - by elated
    Hello, Not sure if this is the right place to ask this question. But I have a router which connects to the internet. Now I have a switch connected to this router. I added a lot more computers so I added another switch and connected it to the first switch using a cross-over cable. As soon as I connect it to the first switch, my lights in first switch start blinking like crazy and my entire network simply stops working. The minute I remove the second switch's wire, its all fine again. What could be the problem?

    Read the article

  • Stick with MFC or go to .Net

    - by Jon Drnek
    We have a largish MFC app that is our main product. This app is being actively developed and there are no plans to stop development. I am new to windows development, but I get the impression that MFC is dead and all the new growth and enhancements are in .net. Is this view accurate? What criteria should we consider when deciding if we should convert this application to .net. Here I'm asking why. I have asked the how question here

    Read the article

  • Flash caroussel xml parse html link

    - by Marvin
    Hello I am trying to modify a carousel script I have in flash. Its normal function is making some icons rotate and when clicked they zoom in, fade all others and display a little text. On that text I would like to have a link like a "read more". If I use CDATA it wont display a thing, if I use alt char like &#60;a href=&#34;www.google.com&#34;&#62; Read more + &#60;/a&#62; It just displays the text as: <a href="www.google.com"> Read more + </a>. The flash dynamic text box wont render it as html. I dont enough as2 to figure out how to add this. My code: var xml:XML = new XML(); xml.ignoreWhite = true; //definições do xml xml.onLoad = function() { var nodes = this.firstChild.childNodes; numOfItems = nodes.length; for(var i=0;i<numOfItems;i++) { var t = home.attachMovie("item","item"+i,i+1); t.angle = i * ((Math.PI*2)/numOfItems); t.onEnterFrame = mover; t.toolText = nodes[i].attributes.tooltip; t.content = nodes[i].attributes.content; t.icon.inner.loadMovie(nodes[i].attributes.image); t.r.inner.loadMovie(nodes[i].attributes.image); t.icon.onRollOver = over; t.icon.onRollOut = out; t.icon.onRelease = released; } } And the xml: <?xml version="1.0" encoding="UTF-8"?> <icons> <icon image="images/product.swf" tooltip="Product" content="Hello this is some random text &#60;a href=&#34;www.google.com&#34;&#62; Read More + &#60;/a&#62; "/> </icons> Any suggestions? Thanks.

    Read the article

< Previous Page | 289 290 291 292 293 294 295 296 297 298 299 300  | Next Page >