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  • Generic documentation guide-lines for implementation details

    - by mgj
    Hi..:) For documentation and presentation purposes, we often find professionals/students creating SRS, coding guidelines etc. for these things there is some kind of a checklist which one could use to appropriately match what could relate to a specific case and accordingly one does a documentation for each. On those grounds could you please give me some sort of a checklist( any points/guidelines) one could use for going about Implementation( in the form of Implementation Details) in Python and C++ . Although this might sound specific as the query is "Implementation Details" and is different for different cases as one goes about the REAL implementation, I just want a SET of guidelines one should follow ( Preferably In Python, C++ specific, even for any other language is Welcome) if this( Implementation Details ) has to also be documented or presented. Hope the question is clear, I am sorry if it still sounds ambiguous, I guess this is the best I could do to frame my query. Thank you for your time...:)

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  • Release management with a distributed version control system

    - by See Sharp Cheddar
    We're considering a switch from SVN to a distributed VCS at my workplace. I'm familiar with all the reasons for wanting to using a DVCS for day-to-day development: local version control, easier branching and merging, etc., but I haven't seen that much that's compelling in terms of managing software releases. Here's our release process: Discover what changes are available for merging. Run a query to find the defects/tickets associated with these changes. Filter out changes associated with "open" tickets. In our environment, tickets must be in a closed state in order to merged with a release branch. Filter out changes we don't want in the release branch. We are very conservative when it comes to merging changes. If a change isn't absolutely necessary, it doesn't get merged. Merge available changes, preferably in chronological order. We group changes together if they're associated with the same ticket. Block unwanted changes from the release branch (svnmerge block) so we don't have to deal with them again. Sometimes we can be juggling 3-5 different milestones at a time. Some milestones have very different constraints, and the block list can get quite long. I've been messing around with git, mercurial and plastic, and as far as I can tell none of them address this model very well. It seems like they would work very well when you have only one product you're releasing, but I can't imagine using them for juggling multiple, very different products from the same codebase. For example, cherry-picking seems to be an afterthought in mercurial. (You have to use the 'transplant' command). After you cherry-pick a change into a branch it still shows up as an available integration. Cherry-picking breaks the mercurial way of working. DVCS seems to be better suited for feature branches. There's no need for cherry-picking if you merge directly from a feature branch to trunk and the release branch. But who wants to do all that merging all the time? And how do you query for what's available to merge? And how do you make sure all the changes in a feature branch belong together? It sounds like total chaos. I'm torn because the coder in me wants DVCS for day-to-day work. I really want it. But I fear the day when I have to put the release manager hat and sort out what needs to be merged and what doesn't. I want to write code, I don't want to be a merge monkey.

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  • saving appengine mail from spam filters

    - by Fh
    One of my clients uses Trend Micro InterScan Messaging Security to protect their internal mail services. Suddenly InterScan decided to filter out all messages coming from Google App Engine. Unfortunately they haven't been able to whitelist the sender address as each e-mail gets a different one. For example, *3ckihSOVMMHlZHSL.JSMMHlZHSL.JS*@apphosting.bounces.google.com, with everything before the @ being variable. Update I'm including this screenshot of how Interscan sees the incoming e-mail. Notice that all senders are different: If I look into the e-mail headers, the apphosting domain appears inside the Return-Path field: Return-Path: <36kSiSwYIBh0883XL3E7.5EH883XL3E7.5E@apphosting.bounces.google.com> The "From" field looks ok. It says what I set it to say, but the spam filter only looks at the Return-Path. My client sysadmin doesn't want to whitelist the whole apphosting domain, as it wouldn't be only whitelisting my application. How could I bypass this e-mail filters if I can't get an unique sender? Thanks,

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  • (Pathinfo vs fnmatch part 2) Speed benchmark reversed on Windows and Mac

    - by zaf
    On a previous question the pathinfo and fnmatch functions were benchmarked and the answers all came out opposite to my benchmark results. You can read the different results with the benchmark code here: http://stackoverflow.com/questions/2693428/pathinfo-vs-fnmatch I couldn't work it out until I ran the same code on a machine running vista. The results then matched the other users. My main machine is a mac. So, my questions are: Why do we get these two different results? Could this apply to other functions?

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  • Google Maps 'API key' problem

    - by Decbrad
    I finally got this google maps page working however, it seems that everybody except the client can see it? They're saying the following error message appears "This web site needs a different Google Maps API key. A new key can be generated at..." Here's the page: http://www.sportingemporium.com/google-map.htm When I sign-up for a new key Goggle gives me exactly the same one that I am already using! If anyone can shed any light on why I (and colleagues in many different countries) can see the map, but the client can't, it would be greatly appreiciated? Kind regards, Declan Bradley

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  • Does UIActivityIndicator require manual threading on iPhone

    - by Akusete
    I am running creating an iPhone application which performs a costly operation and I wanted to create an activityIndicator to let the user know the application has not frozen. The operation is performed entirely in one event call... so there is no chance for the UI framework to receive control to actually display and animate this indicator. The sample apps which use the UIActivityIndicator (or any other similar animation) start and stop the animation in different events, triggered separately at different stages of the program. Do I need to manually create a separate thread to run my operation in, or is there already default support for this kind of behavior?

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  • Pseudo Transparant images

    - by Samuel
    Hello World! For an assignment at university we program in a pretty unknown language Modula 2, which lacks major graphic support. I was wondering how to achieve a 'transparency' effect on images, i figured it would work like this: Create a 2D array for the background area of the image filled with the colours of the different pixels in that area, create another 2D array of the image with again the colours of every picture and than merge the pixel colours and draw the different "new colours" on their appropriate place. What i was wondering about: how do i merge the colours (hexadecimals) just: ( colour1 + colour2 ) / 2 ? Thanks for your help!!

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  • If I CFRelease() an image in core data, how do I get it back?

    - by Sam
    My iphone app plays a slide show made up of 5 user images.  These images are stored using core data.  I was noticing that memory was building up every time a different slide show was played and it was not releasing any of the previously played slide shows.   These images are showing up in Object Allocations as CFData. So I tried releasing this data in the dealloc method CFRelease(slideshow.image1); CFRelease(slideshow.image2); CFRelease(slideshow.image3); CFRelease(slideshow.image4); CFRelease(slideshow.image5); This releases the previous slideshow great...BUT when I go back to view that same slideshow again, it crashes.   I am guessing that I need to alloc/init these images again, but I am not sure how?  Or maybe I should be managing this memory in a different way?

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  • How to implement multi relationship in SQL Server?

    - by Ethan
    I’m trying to design a database to use with ASP.net MVC application. Here is the scenario: There are three entities and users can post their comments for each of these different entities. I just wonder how just put one table for Comments and link all other entities to it. Obviously, Comments table needs 3 references (foreign key) to those tables but as you know these foreign keys can’t be null and just one of them can be filled for each row. Is there any better way than implementing three different tables for each entity’s comments?

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  • Python / Django : emulating a multidimensionnal layer on a mySql database

    - by Sébastien Piquemal
    Hi, I'm working on a Django project where I need to provide a lot of different visualizations on the same data (for example average of a value for each month, for each year / for a location, etc ...). I have been using OLAP database once in college, and I thought that it would fit my needs, but it appears that it is much to heavy for what I need. Actually the volume of data is not very big, so I don't need any optimization, just a way to present different visualizations of the same data without having to write 1000 times the same code. So let's recap : I need a python library : to emulate a multidimensional database (OLAP style would be nice because I think it is quite convenient : stat structure, and everything) non-intrusive, because I can't modify anything on the existing mysql database easy-to-use, because otherwise there's no point in replacing some overhead by another.

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  • How to extend a website?

    - by eltados
    This is quite a concept idea. I would like to create a website that can be extend by different programmer a bit "a la facebook" Let's me explain i want to develop a very simple core application that for example would store images and i want to develop or allow external developer to develop web app that would be able to act on the image i can take this example of an OS that would store files and you can "install" different program for example to view the files or edit. How can i reproduce the model in the Web / cloud plateform using API ? I hope this question make sense to any body. Thank you by advance

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  • Sharepoint 2010 - AAM - SPSite(SPContext.Current.Site.ID) RootWeb.Url is from wrong zone

    - by user2026343
    I have a sharepoint 2010 web application with 2 different zones, default zone with windows login (for search crawl), internet with Claims (FBA) for users to login. I have custom webparts that uses using (SPSite mySite = new SPSite(SPContext.Current.Site.ID)) using (SPWeb web = mySite.RootWeb) { string url = web.Url I use this url to include to emails etc... Problem is: when user connects to FBA (extended zone), and goes to the webpart,string url in my code returns the url of the default zone(windows auth) where user should not be touching. I have different host headers for these zones, any help would be very appreciated. Update: fixed it with using (SPSite newsite =new SPSite(SPContext.Current.Site.ID,SPContext.Current.Site.Zone)) using (SPWeb web = newsite.RootWeb) { //do your implementation here }

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  • How to retrieve MYSQL records as an INSERT statement.

    - by Aglystas
    I'm trying come up with the best method of synchronizing particular rows of 2 different database tables. So, for example there's 2 product tables in different databases as such... Origin Database product{ merchant_id, product_id, ... additional fields } Destination Database product{ merchant_id product_id ... additional fields } So, the database schema is the same for both. However I'm looking to select records with a particular merchant_id, remove all records from the destination table that have that merchant_id and replace those records with records from the origin database of the same merchant_id. My first thought was using mysqldump, parsing out the create table statements, and only running the Insert Statements. Seems like a pain though. So I was wondering if there is a better technique to do this. I would think mysql has some method of creating INSERT statements as output from a SELECT statement, so you can define how to insert specific record information into a new db. Any help would be appreciated, thank you much.

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  • WCF service reference stopped generating code for one project

    - by Mike Pateras
    I have references to two different WCF services in a project. I updated the reference for one of the services, and now no code is generated for it. The references.cs file just has the "this is genrated code" comment at the top. Updating that same service in other projects and updating the other service both work fine. It's only that one service reference in this one project that's causing the problem, and I'm getting no information from Visual Studio (it just says it failed to generate code and I should look at the other errors, which provide no information). If I uncheck the "reuse types in referenced assemblies", code is generated, but I don't want to have this one project be different from the others. I'd like to solve the problem. Re-checking the reuse type option produces an empty references.cs file, again. The collection type doesn't seem to matter, either. How can I diagnose and solve this problem?

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  • Constructing colours for maximum contrast

    - by Martin
    I want to draw some items on screen, each item is in one of N sets. The number of sets changes all the time, so I need to calculate N different colours which are as different as possible (to make it easy to identify what is in which set). So, for example with N = 2 my results would be black and white. With three I guess I would get all red, all green, all blue. For all four, it's less obvious what the correct answer is, and this is where I'm having trouble.

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  • minimum enclosing rectangle of fixed aspect ratio

    - by Ramya Narasimha
    I have an Image with many rectangles at different positions in the image and of different sizes (both overlapping and non-overlapping). I also have a non-negative scores associated with each of these rectangles. My problem now is to find one larger rectangle *of a fixed (given) aspect ratio* that encloses as many of these rectangles as possible. I am looking for an algorithm to do this, if anyone has a solution, even a partial one it would be helpful. Please note that the positions of the rectangles in the image is fixed and cannot be moved around and there is no orientation issue as all of them are upright.

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  • how to refactor user-permission system?

    - by John
    Sorry for lengthy question. I can't tell if this should be a programming question or a project management question. Any advice will help. I inherited a reasonably large web project (1 year old) from a solo freelancer who architected it then abandoned it. The project was a mess, but I cleaned up what I could, and now the system is more maintainable. I need suggestions on how to extend the user-permission system. As it is now, the database has a t_user table with the column t_user.membership_type. Currently, there are 4 membership types with the following properties: 3 of the membership types are almost functionally the same, except for the different monthly fees each must pay 1 of the membership type is a "fake-user" type which has limited access ( different business logic also applies) With regards to the fake-user type, if you look in the system's business logic files, you will see a lot of hard-coded IF statements that do something like if (fake-user) { // do something } else { // a paid member of type 1,2 or 3 // proceed normally } My client asked me to add 3 more membership types to the system, each of them with unique features to be implemented this month, and substantive "to-be-determined" features next month. My first reaction is that I need to refactor the user-permission system. But it concerns me that I don't have enough information on the "to-be-determined" membership type features for next month. Refactoring the user-permission system will take a substantive amount of time. I don't want to refactor something and throw it out the following month. I get substantive feature requests on a monthly basis that come out of the blue. There is no project road map. I've asked my client to provide me with a roadmap of what they intend to do with the new membership types, but their answer is along the lines of "We just want to do [feature here] this month. We'll think of something new next month." So questions that come to mind are: 1) Is it dangerous for me to refactor the user permission system not knowing what membership type features exist beyond a month from now? 2) Should I refactor the user permission system regardless? Or just continue adding IF statements as needed in all my controller files? Or can you recommend a different approach to user permission systems? Maybe role-based ? 3) Should this project have a road map? For a 1 year old project like mine, how far into the future should this roadmap project? 4) Any general advice on the best way to add 3 new membership types?

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  • Source control Branching needs

    - by Mükremin
    Hello, we are creating hospital information system software. The project will be different hospital to hospital and contain different use cases. But lots of parts will be the same. So we will use branching mechanism of the source control. If we find a bug in one hospital, how can we know the other branches have the same bug or not. Resim The numbers in the picture which we attached show the each hospital software. Do you have a solution about this problem ? Which source control(SVN,Git,Hg) we will be suitable about this problem ? Thank you.!

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  • How do I display a field's hidden characters in the result of a query in Oracle?

    - by Chris Williams
    I have two rows that have a varchar column that are different according to a Java .equals(). I can't easily change or debug the Java code that's running against this particular database but I do have access to do queries directly against the database using SQLDeveloper. The fields look the same to me (they are street addresses with two lines separated by some new line or carriage feed/new line combo). Is there a way to see all of the hidden characters as the result of a query?I'd like to avoid having to use the ascii() function with substr() on each of the rows to figure out which hidden character is different. I'd also accept some query that shows me which character is the first difference between the two fields.

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  • How to define supported BlackBerry OS versions and models for application?

    - by Lyubomyr Dutko
    After company wins a project it is usual to mention in contract what devices are supported and what OS versions are supported. But taking into account BlackBerry it appears sometimes to be tricky, as you can have the same device model, but two and(or) more different OS versions (or within same OS different package versions). And in this situation application may need to be updated. So the main question here is what is expected to be mentioned in contract? Could you please share some your experience of resolving such problems? So as a good example can be case of video playback issue on Storm: some issue exists on 5.0.0.XXX (network provider A) and doesn't exist on 5.0.0.YYY (network provider B), or could be following: 5.0.0.XXX1 (network provider A) - issue exist 5.0.0.XXX2 (network provider A) - issue doesn't exist The point here is to define some boundaries of development company responsibility

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  • How do I configure integration tests using rspec 2?

    - by Jamie Monserrate
    I need to have different settings for my unit tests and different settings for my integration tests. Example For unit tests, I would like to do WebMock.disable_net_connect!(:allow_localhost => true) And for integration tests, I would like to do WebMock.allow_net_connect! Also, before the start of an integration test, I would like to make sure that solr is started. Hence I want to be able to call config.before(:suite) do SunspotStarter.start end BUT, only for integration tests. I do not want to start my solr if its a unit test. How do I keep their configurations separate? Right now, I have solved this by keeping my integration tests in a folder outside the spec folder, which has its own spec_helper. Is there any better way?

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  • Using Tortoise SVN with C++ in Visual Studio 2008

    - by Dr. Monkey
    I have an online repository with some .h and .cpp files that make up part of a project. I'm trying to check these out and use them in a new project, but am getting errors (C4627 and C1010). All the files have been added to the project (with AddExisting Item...), and the subdirectories that contain these files have been added to the "Additional include directories" of the project. Would I be better off having the entire project tree in the repository? My reason for not doing so is that my colleague and I are working on different parts of the code and so want to use different main methods to test things as we go, and I didn't see any need to be passing around any compiled code etc. since I assumed that given the .h and .cpp files (with the correct settings), visual studio would be able to compile the project. What's the best way to make Visual Studio 2008 and TortoiseSVN work well together (without spending any money)?

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  • Oracle/c#: How do i use bind variables with select statements to return multiple records?

    - by twiga
    I have a question regarding Oracle bind variables and select statements. What I would like to achieve is do a select on a number different values for the primary key. I would like to pass these values via an array using bind values. select * from tb_customers where cust_id = :1 int[] cust_id = { 11, 23, 31, 44 , 51 }; I then bind a DataReader to get the values into a table. The problem is that the resulting table only contains a single record (for cust_id=51). Thus it seems that each statement is executed independently (as it should), but I would like the results to be available as a collective (single table). A workaround is to create a temporary table, insert all the values of cust_id and then do a join against tb_customers. The problem with this approach is that I would require temporary tables for every different type of primary key, as I would like to use this against a number of tables (some even have combined primary keys). Is there anything I am missing?

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