Search Results

Search found 5633 results on 226 pages for 'follow'.

Page 33/226 | < Previous Page | 29 30 31 32 33 34 35 36 37 38 39 40  | Next Page >

  • October in Review

    - by Richard Bingham
    With OpenWorld over October was time to get back to serious work for everyone, including the Fusion Applications Developer Relations team. Don't forget the OpenWorld content is still available, including presentation downloads, for a limited period of time so be sure to grab anything you found useful or take another scan for anything you might have missed. Of all the announcements, the continued evolution of the Oracle Cloud services for extending and integrating with Fusion Applications is increasing in popularity, and certainly the Cloud Marketplace is something we're becoming involved in. More details to follow. Fusion Concepts Last week Vik from our team started the new "Fusion Concepts" series of articles, providing those new to Fusion Applications an explanation of the architectural basics, with the aim to reduce the learning curve and lay the platform for more efficient and effective development. The series begun with an insightful first post on the different schemas that exist in the Fusion Applications database. Look out for upcoming posts on multi-lingual entities, profile options, look-ups and more. New Learning Resources Our YouTube channel continued to expand with more 'how to' videos on using page composer, extending the Simplified UI (aka FUSE), and integrating BI reports and analytics. Also the Oracle Learning Library is now well established as a central resource for knowledge, now with thousands of tutorials, videos, and documents. Of particular note are the great new extensibility-related videos added by the CRM Product Management team, including more on the ever-expanding capabilities of Application Composer. To see some examples of these search using keyword 'customization' or the product 'Sales Cloud'. Finally on learning resources, as Oliver mentioned the Oracle Press book on Fusion Application Customization and Extensibility is now available for pre-order on Amazon (due out 1st Jan). Out And About October also saw us attend the annual Apps Conference held by the UK Oracle User Group in London. Interestingly there was an Applications Transformation stream of sessions and content that included Fusion Applications with all the latest in the Oracle Applications evolution, as always focused around the three tenets of social, mobile, and cloud. Read more in Richard's post-event write up. Other teams around Oracle have also been busy. Angelo from the Platform Technical Services group has done quite a bit of work using web services with Fusion SaaS and has published many interesting findings on his blog. It's definitely recommended reading if you are working on any related integration projects. The middleware-for-applications group has built a new tool called "AppAdvantage" offering an online assessment of your use of Fusion Middleware technologies with Oracle Applications. As the popularity of integrating cloud applications with on-premises systems continued to grow, leveraging existing middleware technologies (and licenses) to support the integration solution is likely to be of paramount importance. Similarly the "Build Enterprise Application Extensions with Ease" section of the related webpage has AppsUX director Killan Evers speaking about customization using the composer tools. Both are useful resources for those just getting started with a move to Fusion Applications. The Oracle A-Team, specialists in middleware technical architecture, always publish superb content via their 'chronicles' site, now with a substantial amount specifically related to Fusion Applications. Click on the Fusion Applications menu on the top right of their homepage to see more. Last month of particular note was an article on customizing the timeout pop-up message that shows to inactive users, providing design-time insight and easy-to-follow steps. Finally if you're looking at using Oracle Middleware and Cloud to tailor and extend your applications then you may also be interested in this new blog post on the roadmap for Oracle SOA and the latest on-demand Cloud Development webcast.

    Read the article

  • Dont Throw Duplicate Exceptions

    In your code, youll sometimes have write code that validates input using a variety of checks.  Assuming you havent embraced AOP and done everything with attributes, its likely that your defensive coding is going to look something like this: public void Foo(SomeClass someArgument) { if(someArgument == null) { throw new InvalidArgumentException("someArgument"); } if(!someArgument.IsValid()) { throw new InvalidArgumentException("someArgument"); }   // Do Real Work } Do you see a problem here?  Heres the deal Exceptions should be meaningful.  They have value at a number of levels: In the code, throwing an exception lets the develop know that there is an unsupported condition here In calling code, different types of exceptions may be handled differently At runtime, logging of exceptions provides a valuable diagnostic tool Its this last reason I want to focus on.  If you find yourself literally throwing the exact exception in more than one location within a given method, stop.  The stack trace for such an exception is likely going to be identical regardless of which path of execution led to the exception being thrown.  When that happens, you or whomever is debugging the problem will have to guess which exception was thrown.  Guessing is a great way to introduce additional problems and/or greatly increase the amount of time require to properly diagnose and correct any bugs related to this behavior. Dont Guess Be Specific When throwing an exception from multiple code paths within the code, be specific.  Virtually ever exception allows a custom message use it and ensure each case is unique.  If the exception might be handled differently by the caller, than consider implementing a new custom exception type.  Also, dont automatically think that you can improve the code by collapsing the if-then logic into a single call with short-circuiting (e.g. if(x == null || !x.IsValid()) ) that will guarantee that you cant easily throw different information into the message as easily as constructing the exception separately in each case. The code above might be refactored like so:   public void Foo(SomeClass someArgument) { if(someArgument == null) { throw new ArgumentNullException("someArgument"); } if(!someArgument.IsValid()) { throw new InvalidArgumentException("someArgument"); }   // Do Real Work } In this case its taking advantage of the fact that there is already an ArgumentNullException in the framework, but if you didnt have an IsValid() method and were doing validation on your own, it might look like this: public void Foo(SomeClass someArgument) { if(someArgument.Quantity < 0) { throw new InvalidArgumentException("someArgument", "Quantity cannot be less than 0. Quantity: " + someArgument.Quantity); } if(someArgument.Quantity > 100) { throw new InvalidArgumentException("someArgument", "SomeArgument.Quantity cannot exceed 100. Quantity: " + someArgument.Quantity); }   // Do Real Work }   Note that in this last example, Im throwing the same exception type in each case, but with different Message values.  Im also making sure to include the value that resulted in the exception, as this can be extremely useful for debugging.  (How many times have you wished NullReferenceException would tell you the name of the variable it was trying to reference?) Dont add work to those who will follow after you to maintain your application (especially since its likely to be you).  Be specific with your exception messages follow DRY when throwing exceptions within a given method by throwing unique exceptions for each interesting case of invalid state. 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.

    Read the article

  • How can a developer realize the full value of his work [closed]

    - by Jubbat
    I, honestly, don't want to work as a developer in a company anymore after all I have seen. I want to continue developing software, yes, but not in the way I see it all around me. And I'm in London, a city that congregates lots of great developers from the whole world, so it shouldn't be a problem of location. So, what are my concerns? First of all, best case scenario: you are paying managers salary out of yours. You are consistently underpaid by making up for the average manager negative net return plus his whole salary. Typical scenario. I am a reasonably good developer with common sense who cares for readable code with attention to basic principles. I have found way too often, overconfident and arrogant developers with a severe lack of common sense. Personally, I don't want to follow TDD or Agile practices like all the cool kids nowadays. I would read about them, form my own opinion and take what I feel is useful, but don't follow it sheepishly. I want to work with people who understand that you have to design good interfaces, you absolutely have to document your code, that readability is at the top of your priorities. Also people who don't have a cargo cult mentality too. For instance, the same person who asked me about design patterns in a job interview, later told me that something like a List of Map of Vector of Map of Set (in Java) is very readable. Why would someone ask me about design patterns if they can't even grasp encapsulation? These kind of things are the norm. I've seen many examples. I've seen worse than that too, from very well paid senior devs, by the way. Every second that you spend working with people with such lack of common sense and clear thinking, you are effectively losing money by being terribly inefficient with your time. Yet, with all these inefficiencies, the average developer earns a high salary. So I tried working on my own then, although I don't like the idea. I prefer healthy exchange of opinions and ideas and task division. I then did a bit of online freelancing for a while but I think working in a sweatshop might be more enjoyable. Also, I studied computer engineering and you are in an environment in which your client will presume you don't have any formal education because there is no way to prove it. Again, you are undervalued. You could try building a product, yes. But, of course, luck is a big factor. I wonder if there is a way to work in something you can do well, software development, and be valued for the quality of your work and be paid accordingly, and where you and only you get fairly paid for the value you generate. I know that what I have written seems somehow unlikely but I strongly feel this way. Hopefully someone will understand me and has already figured this out. I don't think I'm alone in this kind of feeling.

    Read the article

  • Is hidden content (display: none;) -indexed- by search engines? [closed]

    - by user568458
    Possible Duplicate: How bad is it to use display: none in CSS? We've established on this site before (in this question) that, since there are so many legitimate uses for hiding content with display: none; when creating interactive features, that sites aren't automatically penalised for content that is hidden this way (so long as it doesn't look algorithmically spammy). Google's Webmaster guidelines also make clear that a good practice when using content that is initially legitimately hidden for interactivity purposes is to also include the same content in a <noscript> tag, and Google recommend that if you design and code for users including users with screen readers or javascript disabled, then 9 times out of 10 good relevant search rankings will follow (though their specific advice seems more written for cases where javascript writes new content to the page). JavaScript: Place the same content from the JavaScript in a tag. If you use this method, ensure the contents are exactly the same as what’s contained in the JavaScript, and that this content is shown to visitors who do not have JavaScript enabled in their browser. So, best practice seems pretty clear. What I can't find out is, however, the simple factual matter of whether hidden content is indexed by search engines (but with potential penalties if it looks 'spammy'), or, whether it is ignored, or, whether it is indexed but with a lower weighting (like <noscript> content is, apparently). (for bonus points it would be great to know if this varies or is consistent between display: none;, visibility: hidden;, etc, but that isn't crucial). This is different to the other questions on display:none; and SEO - those are about good and bad practice and the answers are discussions of good and bad practice, I'm interested simply in the factual 'Yes or no' question of whether search engines index, or ignore, content that is in display: none; - something those other questions' answers aren't totally clear on. One other question has an answer, "Yes", supported by a link to an article that doesn't really clear things up: it establishes that search engines can spot that text is hidden, it discusses (again) whether hidden text causes sites to be marked as spam, and ultimately concludes that in mid 2011, Google's policy on hidden text was evolving, and that they hadn't at that time started automatically penalising display:none; or marking it as spam. It's clear that display: none; isn't always spam and isn't always treated as spam (many Google sites use it...): but this doesn't clear up how, or if, it is indexed. What I will do will be to follow the guidelines and make sure that all the content that is initially hidden which regular users can explore using javascript-driven interactivity is also structured in way that noscript/screenreader users can use. So I'm not interested in best practice, opinions etc because best practice seems to be really clear: accessibility best practices boosts SEO. But I'd like to know what exactly will happen: whether any display: none; content I have alongside <noscript> or otherwise accessibility-optimised content will be be ignored, or indexed again, or picked up to compare against the <noscript> content but not indexed... etc.

    Read the article

  • When should I use a Process Model versus a Use Case?

    - by Dave Burke
    This Blog entry is a follow on to https://blogs.oracle.com/oum/entry/oum_is_business_process_and and addresses a question I sometimes get asked…..i.e. “when I am gathering requirements on a Project, should I use a Process Modeling approach, or should I use a Use Case approach?” Not surprisingly, the short answer is “it depends”! Let’s take a scenario where you are working on a Sales Force Automation project. We’ll call the process that is being implemented “Lead-to-Order”. I would typically think of this type of project as being “Process Centric”. In other words, the focus will be on orchestrating a series of human and system related tasks that ultimately deliver value to the business in a cost effective way. Put in even simpler terms……implement an automated pre-sales system. For this type of (Process Centric) project, requirements would typically be gathered through a series of Workshops where the focal point will be on creating, or confirming, the Future-State (To-Be) business process. If pre-defined “best-practice” business process models exist, then of course they could and should be used during the Workshops, but even in their absence, the focus of the Workshops will be to define the optimum series of Tasks, their connections, sequence, and dependencies that will ultimately reflect a business process that meets the needs of the business. Now let’s take another scenario. Assume you are working on a Content Management project that involves automating the creation and management of content for User Manuals, Web Sites, Social Media publications etc. Would you call this type of project “Process Centric”?.......well you could, but it might also fall into the category of complex configuration, plus some custom extensions to a standard software application (COTS). For this type of project it would certainly be worth considering using a Use Case approach in order to 1) understand the requirements, and 2) to capture the functional requirements of the custom extensions. At this point you might be asking “why couldn’t I use a Process Modeling approach for my Content Management project?” Well, of course you could, but you just need to think about which approach is the most effective. Start by analyzing the types of Tasks that will eventually be automated by the system, for example: Best Suited To? Task Name Process Model Use Case Notes Manage outbound calls Ö A series of linked human and system tasks for calling and following up with prospects Manage content revision Ö Updating the content on a website Update User Preferences Ö Updating a users display preferences Assign Lead Ö Reviewing a lead, then assigning it to a sales person Convert Lead to Quote Ö Updating the status of a lead, and then converting it to a sales order As you can see, it’s not an exact science, and either approach is viable for the Tasks listed above. However, where you have a series of interconnected Tasks or Activities, than when combined, deliver value to the business, then that would be a good indicator to lead with a Process Modeling approach. On the other hand, when the Tasks or Activities in question are more isolated and/or do not cross traditional departmental boundaries, then a Use Case approach might be worth considering. Now let’s take one final scenario….. As you captured the To-Be Process flows for the Sales Force automation project, you discover a “Gap” in terms of what the client requires, and what the standard COTS application can provide. Let’s assume that the only way forward is to develop a Custom Extension. This would now be a perfect opportunity to document the functional requirements (behind the Gap) using a Use Case approach. After all, we will be developing some new software, and one of the most effective ways to begin the Software Development Lifecycle is to follow a Use Case approach. As always, your comments are most welcome.

    Read the article

  • "Win32 exception occurred releasing IUnknown at..." error using Pylons and WMI

    - by Anders
    Hi all, Im using Pylons in combination with WMI module to do some basic system monitoring of a couple of machines, for POSIX based systems everything is simple - for Windows - not so much. Doing a request to the Pylons server to get current CPU, however it's not working well, or atleast with the WMI module. First i simply did (something) this: c = wmi.WMI() for cpu in c.Win32_Processor(): value = cpu.LoadPercentage However, that gave me an error when accessing this module via Pylons (GET http://ip:port/cpu): raise x_wmi_uninitialised_thread ("WMI returned a syntax error: you're probably running inside a thread without first calling pythoncom.CoInitialize[Ex]") x_wmi_uninitialised_thread: <x_wmi: WMI returned a syntax error: you're probably running inside a thread without first calling pythoncom.CoInitialize[Ex] (no underlying exception)> Looking at http://timgolden.me.uk/python/wmi/tutorial.html, i wrapped the code accordingly to the example under the topic "CoInitialize & CoUninitialize", which makes the code work, but it keeps throwing "Win32 exception occurred releasing IUnknown at..." And then looking at http://mail.python.org/pipermail/python-win32/2007-August/006237.html and the follow up post, trying to follow that - however pythoncom._GetInterfaceCount() is always 20. Im guessing this is someway related to Pylons spawning worker threads and crap like that, however im kinda lost here, advice would be nice. Thanks in advance, Anders

    Read the article

  • Javascript object dependencies

    - by Anurag
    In complex client side projects, the number of Javascript files can get very large. However, for performance reasons it's good to concatenate these files, and compress the resulting file for sending over the wire. I am having problems in concatenating these as the dependencies are included after they are needed in some cases. For instance, there are 2 files: /modules/Module.js <requires Core.js> /modules/core/Core.js The directories are recursively traversed, and Module.js gets included before Core.js, which causes errors. This is just a simple example where dependencies could span across directories, and there could be other complex cases. There are no circular dependencies though. The Javascript structure I follow is similar to Java packages, where each file defines a single Object (I'm using MooTools, but that's irrelevant). The structure of each javascript file and the dependencies is always consistent: Module.js var Module = new Class({ Implements: Core, ... }); Core.js var Core = new Class({ ... }); What practices do you usually follow to handle dependencies in projects where the number of Javascript files is huge, and there are inter-file dependencies?

    Read the article

  • how python http request and response works

    - by Apache
    hi expert, i'm newbie for python, i use to learn using sample, i use python to scan wifi to get ssid, and now i want to send the data to the server, then i did as follow import httplib,urllib params = urllib.urlencode({"ssid":"guest"}) headers = {"Content-type":"application/x-www-form-urlencoded","Accept":"text/plain"} conn=httplib.HTTPConnection("http://223.56.124.58:8080/wireless") conn.request("POST","data",params,headers) response = conn.getresponse() print "Response" print response.status print "-----" print response.reason data = response.read() print data conn.close() but when execute the code i'm getting as follow root@dave-laptop:~# python http.py Traceback (most recent call last): File "http.py", line 9, in conn.request("POST","http://202.45.139.58:8080/ppod-web",params,headers) File "/usr/lib/python2.6/httplib.py", line 898, in request self._send_request(method, url, body, headers) File "/usr/lib/python2.6/httplib.py", line 935, in _send_request self.endheaders() File "/usr/lib/python2.6/httplib.py", line 892, in endheaders self._send_output() File "/usr/lib/python2.6/httplib.py", line 764, in _send_output self.send(msg) File "/usr/lib/python2.6/httplib.py", line 723, in send self.connect() File "/usr/lib/python2.6/httplib.py", line 704, in connect self.timeout) File "/usr/lib/python2.6/socket.py", line 500, in create_connection for res in getaddrinfo(host, port, 0, SOCK_STREAM): socket.gaierror: [Errno -2] Name or service not known can anyone help me the code should be like this when rum in the url http://223.56.124.58:8080/wireless?data={"wifi":{"ssid":"guest","rssi","80"}} how to set like this or other way to do this to send to the server thanks

    Read the article

  • SEM/SEO tasks doubts

    - by Josemalive
    Hello, Actually i think that i have an strong knowledge of SEO, but im having some doubts about the following: I will have to increase the position in Google of certain product pages of a company in the next months. I supposed that not only will be sufficient the following tasks: Improve usability of those pages. Change the pages title. Add meta description and keywords. Url's in a REST way. 301's http header to dont lose page rank for the new URLS Optimizing content for Google. Configure links of the website (follow and no follow attributes) Get more inbounds links (Link building tasks). Create RSS. Put main website in Twitter (using twitter feed) using the RSS. Put main website in Facebook. Create a Youtube channel. Invest in Adwords. Invest in other online advertising companies. Use sitemap.xml and Google Webmaster tools. Use Google Trends to analyze the volume of searches of certain keywords. Use Google Analytics to analyze weak points and good points of your site, and find new oportunities in keywords. Use tools to find new keywords related with your content. Do you have some internet links, or knowledge about all the tasks that a SEO Expert should do? Could you share some knowledge about what kind of business could be do with another companies (B2B) to increase the search engine position of those product pages. Do you know more tecniques about how to get more inbound links? (i only know the link interchange) Thanks in advance. Best Regards. Jose.

    Read the article

  • Skip makefile dependency generation for certain targets (e.g. `clean`)

    - by Shtééf
    I have several C and C++ projects that all follow a basic structure I've been using for a while now. My source files go in src/*.c, intermediate files in obj/*.[do], and the actual executable in the top level directory. My makefiles follow roughly this template: # The final executable TARGET := something # Source files (without src/) INPUTS := foo.c bar.c baz.c # OBJECTS will contain: obj/foo.o obj/bar.o obj/baz.o OBJECTS := $(INPUTS:%.cpp=obj/%.o) # DEPFILES will contain: obj/foo.d obj/bar.d obj/baz.d DEPFILES := $(OBJECTS:%.o=%.d) all: $(TARGET) obj/%.o: src/%.cpp $(CC) $(CFLAGS) -c -o $@ $< obj/%.d: src/%.cpp $(CC) $(CFLAGS) -M -MF $@ -MT $(@:%.d=%.o) $< $(TARGET): $(OBJECTS) $(LD) $(LDFLAGS) -o $@ $(OBJECTS) .PHONY: clean clean: -rm -f $(OBJECTS) $(DEPFILES) $(RPOFILES) $(TARGET) -include $(DEPFILES) Now I'm at the point where I'm packaging this for a Debian system. I'm using debuild to build the Debian source package, and pbuilder to build the binary package. The debuild step only has to execute the clean target, but even this causes the dependency files to be generated and included. In short, my question is really: Can I somehow prevent make from generating dependencies when all I want is to run the clean target?

    Read the article

  • if (i == 2) or if (2 == i) ?

    - by Maroloccio
    I usually use if (i == 2) in preference to if (2 == i) On occasion, I would switch things around when writing xUnit-type tests from scratch so as to follow the assertion convention of "expected" preceding "actual". When adding to existing unit tests, I always follow the style I find. No matter what, I always try to keep things consistent. Today I checked out some code with a lot of "if (2 == i)" and started wondering: which style is more "popular" nowadays? is popularity language-dependent? The latter probably because I am aware of why the "if (2 == i)" became common in the first place (C heritage) and because I see some languages go as far as disallowing assignments within conditions (e.g. Python). I thought about downloading some sources: apt-get source linux-source eclipse openoffice.org expanding them and performing a quick grep: grep --color --include=*.java --include=*.c -ERI \ "if[[:space:]]*\([[:space:]]*[[:digit:]]+[[:space:]]==" . or creating a quick "poll": http://goo.gl/mod/ciMF after a bit of searching and asking around, I am still not sure. So I am asking you: which way to go?

    Read the article

  • How to install OpenCV 2.0 on win32

    - by Jive Dadson
    I need to install OpenCV on Win32. I do not have it installed currently. I downloaded OpenCV-2.0.0a-win32.exe and ran it. What the heck do I do now? There are no .lib's and whatnot. I found some instructions for building the release using cmake at http://opencv.willowgarage.com/wiki/InstallGuide . I downloaded the latest and greatest cmake, and tried to follow the instructions, but I was guessing. No joy. I specified VC++9 when I did the "configure," but cmake built a VC++ 6 dsw file. No vcproj. I converted the dsw into a vc++9 vcproj anyway, just to see if it would work. Nope. It compiled lots of files, but many failed because it could not find omp.h. Sure enough, it's not there, anywhere. The build log said, 'A tool returned an error code from "Performing Custom Build Step".' I am lost. Ideally, I would like to find a full installation with all the files pre-built for Win32 vc++ 2008. Failing that, I need instructions that even I can follow. Short sentences and small words, but lots of them. Please help! UPDATE: I tried to build just CXCORE. It complained, "cannot open file 'VCOMPD.lib'" There's that OMP again.

    Read the article

  • Mathematics for Computer Science Students

    - by Ender
    To cut a long story short, I am a CS student that has received no formal Post-16 Maths education for years. Right now even my Algebra is extremely rusty and I have a couple of months to shape up my skills. I've got a couple of video lectures in my bookmarks, consisting of: Pre-Calculus Algebra Calculus Probability Introduction to Statistics Differential Equations Linear Algebra My aim as of today is to be able to read the CLRS book Introduction to Algorithms and be able to follow the Mathematical notation in that, as well as being able to confidently read and back-up any arguments written in Mathematical notation. Aside from these video lectures, can anyone recommend any good books to help teach someone wishing to go from a low-foundation level to a more advanced level of Mathematics? Just as a note, I've taken a first-year module in Analytical Modelling, so I understand some of the basic concepts of Discrete Mathematics. EDIT: Just a note to those that are looking to learn Linear Algebra using the Video Lectures I have posted up. Peteris Krumins' Blog contains a run-through of these lecture notes as well as his own commentary and lecture notes, an invaluable resource for those looking to follow the lectures too.

    Read the article

  • git workflow incorporating many, but not all commits from many forks

    - by becomingGuru
    I have a git repo. It has been forked several times and many independent commits are made on top of it. Everything normal, like what happens in many github hosted projects. Now, what exact workflow should I follow, if I want to see all that commits individually and apply the ones I like. The workflow I followed, which is not the optimal is to create a branch of the name github-username and merge the changes into my master and undo any changes in the commit I dont need manually (there are not many, so it worked). What I want is the ability to see all commits from different forks individually and cherry pick and apply them on top of my master. What is the workflow to follow for that? And what gui (gitk?) enables me to see all different individual commits. I realize that merge should be a primary part of the workflow and not cherry-pick as it creates a different commit (from git's point of view). Even rebasing other's changes on top of mine might not preserve the history on the graph to indicate that it is his commits I have rebased. So then, How do I ignore just a few commits from a lot of them? I think github should have a "apply this commit on top of my master" thing in their graph after each commit node; so I can just pull it, after doing all that.

    Read the article

  • Simulating O_NOFOLLOW (2): Is this other approach safe?

    - by Daniel Trebbien
    As a follow-up question to this one, I thought of another approach which builds off of @caf's answer for the case where I want to append to file name and create it if it does not exist. Here is what I came up with: Create a temporary directory with mode 0700 in a system temporary directory on the same filesystem as file name. Create an empty, temporary, regular file (temp_name) in the temporary directory (only serves as placeholder). Open file name for reading only, just to create it if it does not exist. The OS may follow name if it is a symbolic link; I don't care at this point. Make a hard link to name at temp_name (overwriting the placeholder file). If the link call fails, then exit. (Maybe someone has come along and removed the file at name, who knows?) Use lstat on temp_name (now a hard link). If S_ISLNK(lst.st_mode), then exit. open temp_name for writing, append (O_WRONLY | O_APPEND). Write everything out. Close the file descriptor. unlink the hard link. Remove the temporary directory. (All of this, by the way, is for an open source project that I am working on. You can view the source of my implementation of this approach here.) Is this procedure safe against symbolic link attacks? For example, is it possible for a malicious process to ensure that the inode for name represents a regular file for the duration of the lstat check, then make the inode a symbolic link with the temp_name hard link now pointing to the new, symbolic link? I am assuming that a malicious process cannot affect temp_name.

    Read the article

  • Javascript error: Object required...tough time fixing this

    - by rtnav2301
    The situation is this: a friend of mine asked me to help her with a website she's working on called www.KeepsakePartyInvitations.com. Her original designer created this code but didn't finish the project. So here I am to help save the day. Now, once a photo has been added to the party template and the mouse is placed over the image, an alternate text message appears to the right. The message informs the visitor how to reposition and resize the image, if necessary. I'm testing the procedure in the invitation to reposition the image. I follow the directions about moving the picture, but the mouse does not let go of the photo. Where ever the mouse moves, so does the image. The same thing occurs if you want to resize the image, you follow the directions but the image does not resize. I check the error message in IE 8 and it states: Message: Object required Line: 873 Char: 3 Code: 0 URI: http://www.keepsakepartyinvitations.com/Includes/JCode.js When I checked the Javascript file, the Line 873 states: tempX = e.clientX + document.body.scrollLeft If you review the javascript file, the function where the line is located is called: function getMouseXY(e). Please help me, it has been a long while since I've worked with Javascript and I'm motivated to get this fixed. Thank you!

    Read the article

  • svn dev cycle. howto lots minor "features" pending for approval.

    - by Julian Davchev
    Hi I've read similar questions regarding that but still feel the need to ask a question. I have scenario where we have lots of tiny "features" pending for approval. I generally see two approaches. 1.Keep trunk solid and have tons of branches for each tiny "feature". Basically every new thingy is a branch. Cons: - Might become nightmare to support so many branches no matter how small a change. Keeping all branches in sync etc etc. - Worst con I see in this is setup of test system so one can easily examine changes to approve (basically need to support all branches which seems insane). Pros: - Seemningly easy once approved a branch to be merged back to trunk and new release to be tagged and deployed. 2.For big features a branch is released and for small changes all goes in trunk(relatively stable) directly. Pros: - Easier to set test system as most of the time all will be directly visible. For big features should be easy to maintain separate branch on test. Cons: - Don't really see how release will go. I will not be able to basically release one part of trunk This would involve cherrypicking which is crazy to follow. Other approach is I just enforce that after some time (a week or so) all small features need to be approved so they can deployed before giving new tasks. I just create release branch and either all or none of small features are going live. This will be some fun discussion with head people. I guess having lots of small pending stuff is very problematic to follow technically.

    Read the article

  • How do I apply a "template" or "skeleton" of code in C# here?

    - by Scott Stafford
    In my business layer, I need many, many methods that follow the pattern: public BusinessClass PropertyName { get { if (this.m_LocallyCachedValue == null) { if (this.Record == null) { this.m_LocallyCachedValue = new BusinessClass( this.Database, this.PropertyId); } else { this.m_LocallyCachedValue = new BusinessClass( this.Database, this.Record.ForeignKeyName); } } return this.m_LocallyCachedValue; } } I am still learning C#, and I'm trying to figure out the best way to write this pattern once and add methods to each business layer class that follow this pattern with the proper types and variable names substituted. BusinessClass is a typename that must be substituted, and PropertyName, PropertyId, ForeignKeyName, and m_LocallyCachedValue are all variables that should be substituted for. Are attributes usable here? Do I need reflection? How do I write the skeleton I provided in one place and then just write a line or two containing the substitution parameters and get the pattern to propagate itself? EDIT: Modified my misleading title -- I am hoping to find a solution that doesn't involve code generation or copy/paste techniques, and rather to be able to write the skeleton of the code once in a base class in some form and have it be "instantiated" into lots of subclasses as the accessor for various properties. EDIT: Here is my solution, as suggested but left unimplemented by the chosen answerer. // I'll write many of these... public BusinessClass PropertyName { get { return GetSingleRelation(ref this.m_LocallyCachedValue, this.PropertyId, "ForeignKeyName"); } } // That all call this. public TBusinessClass GetSingleRelation<TBusinessClass>( ref TBusinessClass cachedField, int fieldId, string contextFieldName) { if (cachedField == null) { if (this.Record == null) { ConstructorInfo ci = typeof(TBusinessClass).GetConstructor( new Type[] { this.Database.GetType(), typeof(int) }); cachedField = (TBusinessClass)ci.Invoke( new object[] { this.Database, fieldId }); } else { var obj = this.Record.GetType().GetProperty(objName).GetValue( this.Record, null); ConstructorInfo ci = typeof(TBusinessClass).GetConstructor( new Type[] { this.Database.GetType(), obj.GetType()}); cachedField = (TBusinessClass)ci.Invoke( new object[] { this.Database, obj }); } } return cachedField; }

    Read the article

  • Case Insensitive Ternary Search Tree

    - by Yan Cheng CHEOK
    I had been using Ternary Search Tree for a while, as the data structure to implement a auto complete drop down combo box. Which means, when user type "fo", the drop down combo box will display foo food football The problem is, my current used of Ternary Search Tree is case sensitive. My implementation is as follow. It had been used by real world for around 1++ yeas. Hence, I consider it as quite reliable. My Ternary Search Tree code However, I am looking for a case insensitive Ternary Search Tree, which means, when I type "fo", the drop down combo box will show me foO Food fooTBall Here are some key interface for TST, where I hope the new case insentive TST may have similar interface too. /** * Stores value in the TernarySearchTree. The value may be retrieved using key. * @param key A string that indexes the object to be stored. * @param value The object to be stored in the tree. */ public void put(String key, E value) { getOrCreateNode(key).data = value; } /** * Retrieve the object indexed by key. * @param key A String index. * @return Object The object retrieved from the TernarySearchTree. */ public E get(String key) { TSTNode<E> node = getNode(key); if(node==null) return null; return node.data; } An example of usage is as follow. TSTSearchEngine is using TernarySearchTree as the core backbone. Example usage of Ternary Search Tree // There is stock named microsoft and MICROChip inside stocks ArrayList. TSTSearchEngine<Stock> engine = TSTSearchEngine<Stock>(stocks); // I wish it would return microsoft and MICROCHIP. Currently, it just return microsoft. List<Stock> results = engine.searchAll("micro");

    Read the article

  • Best way to handle Many-to-Many relationships in PHP MySQL

    - by Jayrox
    I am looking for the best way to handle a database of many-to-many relationships in PHP and MySQL. Right now I have 2 tables: Users (id, user_name, first_name, last_name) Connections (id_1, id_2) In the User table id is auto incremented on add and user_name is unique, but can be changed. Unfortunately, I don't have control over the user_name and its ability to be changed, but I must account for it. The Connections table is obviously, user1 and user2's id. The connection table needs to account for these possible relations: user1 --> user2 (user 1 friends with user 2 but not user2 friends with user1) user2 --> user1 (user 2 friends with user 1 but not user1 friends with user2) user1 <--> user2 (user 1 and user 2 mutually friends) user1 <-!-> user2 (user 1 and user 2 not friends) That part is not the problem, The problem I am having with is keeping these relations unique when and if they change in batches. Possible solution 1: delete all of user 1's relations and readd them with the updated list. I think this might be too slow for my needs. Solution 2? Anyone else encounter this problem? How should I best handle this? update: distinguishing relationships: i handle relationships like this: user1, user2 user1, user3 user2, user1 in that example the following is true: user1 follows user2 and user3 user2 only follows user1 but doesn't follow user3 user3 doesn't follow either user1 or user2

    Read the article

  • The following grammar is LL1, SLR, LR(1), LALR?

    - by Mike
    P - {D ; C} D - d; D| d C - c; C | c a) Is the grammar LL(1)? Explain your answer. b) Is the grammar SLR(1)? Explain your answer. c) Is the grammar LR(1)? Explain your answer. d) Is the grammar LALR? Explain your answer. As for my answers I actually got no for them all... so I'm thinking I did something wrong Here is my explanation. a) It is not LL(1) because it is not left factored. b) It is not SLR, because of the transition diagram item 2 ( which is... ) D- d . ; D D- d . We need to consult the follow set, Follow(D) = ; Therefore this is not SLR c) It is not LR(1) because of... item 1 P- {D.;C} , $ D- .d;D , ; D- .d , ; item 2 D- d.; D , ; D- d. , ; item 3 D- d; . D , ; D- .d;D , ; D- .d , ; Since item 2 goes to item 3 with ;, AND "D- d."'s (in item 2) look ahead token is also ;. this causes a reduce to shift conflict, therefore this grammar is not LR(1) d) This grammar is not LALR because it is not LR(1) Thanks for your help!

    Read the article

  • How are you using C++0x today? [closed]

    - by Roger Pate
    This is a question in two parts, the first is the most important and concerns now: Are you following the design and evolution of C++0x? What blogs, newsgroups, committee papers, and other resources do you follow? Even where you're not using any new features, how have they affected your current choices? What new features are you using now, either in production or otherwise? The second part is a follow-up, concerning the new standard once it is final: Do you expect to use it immediately? What are you doing to prepare for C++0x, other than as listed for the previous questions? Obviously, compiler support must be there, but there's still co-workers, ancillary tools, and other factors to consider. What will most affect your adoption? Edit: The original really was too argumentative; however, I'm still interested in the underlying question, so I've tried to clean it up and hopefully make it acceptable. This seems a much better avenue than duplicating—even though some answers responded to the argumentative tone, they still apply to the extent that they addressed the questions, and all answers are community property to be cleaned up as appropriate, too.

    Read the article

  • How to write this function as a pL/pgSQl function ?

    - by morpheous
    I am trying to implement some business logic in a PL/pgSQL function. I have hacked together some pseudo code that explains the type of business logic I want to include in the function. Note: This function returns a table, so I can use it in a query like: SELECT A.col1, B.col1 FROM (SELECT * from some_table_returning_func(1, 1, 2, 3)) as A, tbl2 as B; The pseudocode of the pl/PgSQL function is below: CREATE FUNCTION some_table_returning_func(uid int, type_id int, filter_type_id int, filter_id int) RETURNS TABLE AS $$ DECLARE where_clause text := 'tbl1.id = ' + uid; ret TABLE; BEGIN switch (filter_type_id) { case 1: switch (filter_id) { case 1: where_clause += ' AND tbl1.item_id = tbl2.id AND tbl2.type_id = filter_id'; break; //other cases follow ... } break; //other cases follow ... } // where clause has been built, now run query based on the type ret = SELECT [COL1, ... COLN] WHERE where_clause; IF (type_id <> 1) THEN return ret; ELSE return select * from another_table_returning_func(ret,123); ENDIF; END; $$ LANGUAGE plpgsql; I have the following questions: How can I write the function correctly to (i.e. EXECUTE the query with the generated WHERE clause, and to return a table How can I write a PL/pgSQL function that accepts a table and an integer and returns a table (another_table_returning_func) ?

    Read the article

  • What does it mean to double license?

    - by Adrian Panasiuk
    What does it mean to double license code? I can't just put both licenses in the source files. That would mean that I mandate users to follow the rules of both of them, but the licenses will probably be contradictory (otherwise there'd be no reason to double license). I guess this is something like in cryptographic chaining, cipher = crypt_2(crypt_1(clear)) (generally) means, that cipher is neither the output of crypt_2 on clear nor the output of crypt_1 on clear. It's the output of the composition. Likewise, in double-licensing, in reality my code has one license, it's just that this new license says please follow all of the rules of license1, or all of the rules of license2, and you are hereby granted the right to redistribute this application under this "double" license, license1 or license2, or any license under which license1 or license2 allow you to redistribute this software, in which case you shall replace the relevant licensing information in this application with that of the new license. (Does this mean that before someone may use the app under license1, he has to perform the operation of redistributing to self? How would he document the fact that he did that operation?) Am I correct. What LICENSE file and what text to put in the source files would I need if I wanted to double license on, for the sake of example, Apachev2 and GPLv3 ?

    Read the article

  • Design Philosophy Question - When to create new functions

    - by Eclyps19
    This is a general design question not relating to any language. I'm a bit torn between going for minimum code or optimum organization. I'll use my current project as an example. I have a bunch of tabs on a form that perform different functions. Lets say Tab 1 reads in a file with a specific layout, tab 2 exports a file to a specific location, etc. The problem I'm running into now is that I need these tabs to do something slightly different based on the contents of a variable. If it contains a 1 I may need to use Layout A and perform some extra concatenation, if it contains a 2 I may need to use Layout B and do no concatenation but add two integer fields, etc. There could be 10+ codes that I will be looking at. Is it more preferable to create an individual path for each code early on, or attempt to create a single path that branches out only when absolutely required. Creating an individual path for each code would allow my code to be extremely easy to follow at a glance, which in turn will help me out later on down the road when debugging or making changes. The downside to this is that I will increase the amount of code written by calling some of the same functions in multiple places (for example, steps 3, 5, and 9 for every single code may be exactly the same. Creating a single path that would branch out only when required will be a bit messier and more difficult to follow at a glance, but I would create less code by placing conditionals only at steps that are unique. I realize that this may be a case-by-case decision, but in general, if you were handed a previously built program to work on, which would you prefer?

    Read the article

< Previous Page | 29 30 31 32 33 34 35 36 37 38 39 40  | Next Page >