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  • Semantic Form Markup for Yes or No Questions

    - by sholsinger
    I frequently receive mock-ups of HTML forms with the following prototype: Some long winded yes or no question?   (o) Yes   ( ) No The (o) and ( ) in this prototype represent radio buttons. My personal view is that if the question has only a true or false value then it should be a check box. That said, I have seen this sort of "layout" from almost every designer I've ever worked with. If I were not to question their decision, or question the client's decision, I'd probably mark it up like this: <p class="pseudo_label">Some long winded yes or no question?</p> <input type="radio" name="the_question" id="the_question_yes" value="1"> <label for="the_question_yes" class="after_radio">Yes</label> <input type="radio" name="the_question" id="the_question_no" value="0"> <label for="the_question_no" class="after_radio">No</label> I really don't want to do that. I want to push back and convince them that this should really be a check box and not two radio buttons. But my question is, if I can't convince them – you're welcome to help me try – how should I code that original design requirement such that it is semantic and at least understandable for screen reader users? If I were able to convince my tormentors to change their minds, I would likely code it in the following fashion: <label for="the_question">Some long winded yes or no question?</label> <input type="checkbox" name="the_question" id="the_question" value="1"> What do you think about this issue? Should I push back? Possibly more importantly is either way semantically correct? UPDATE: I have posted a related question on the UI SE per your suggestions. You can find it here: http://ui.stackexchange.com/q/3335/3493

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  • Best ways to collect location-based user input

    - by user359650
    I'm working on a website where users will be able to register and provide information about their location. In order to prevent users from inputting incorrect data, we don't want users to provide free-text information but instead choose from predefined values as much as possible. We believe there are 2 ways of providing those values: use an API to an external service provider or create your own local database. APIs Some resources: - https://developers.facebook.com/docs/reference/ads-api/get-autocomplete-data/ - http://developer.yahoo.com/geo/geoplanet/ Pros: -accuracy and completeness of data. -no maintenance related to update of data as this it taken care of by API provider. -easier/faster to get started (no need to create local database, just implement API). Cons: -degradation of performance when availability issues with external API. -outage due to changes to the external API (until your code is updated to reflect those changes). -lock-in with external provider. Local database Some resources: - http://developer.yahoo.com/geo/geoplanet/data/ - http://www.maxmind.com/app/geolitecity - http://download.geonames.org/export/dump/ Pros: -no external dependency: improved stability and performance. Cons: -more work to get started (you need to create the database and code to interact with it). -risks of inaccurate/incomplete data, either initially or over time. -more maintenance work to keep database up to date. Assuming the depth information requested from users is as follows: -country: interested in value. also used to narrow down list of regions. -region (state in the US, county in the UK...): not interested in value itself, only used to narrow down list of cities. -city: interested in value (which can be used to work out related region should we need regional statistics). -address: interested in value although OPTIONAL. Which option (whether API or local database) would you choose? What tips you would give for the implementation? What other resources can you share?

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  • Which approach would lead to an API that is easier to use?

    - by Clem
    I'm writing a JavaScript API and for a particular case, I'm wondering which approach is the sexiest. Let's take an example: writing a VideoPlayer, I add a getCurrentTime method which gives the elapsed time since the start. The first approach simply declares getCurrentTime as follows: getCurrentTime():number where number is the native number type. This approach includes a CURRENT_TIME_CHANGED event so that API users can add callbacks to be aware of time changes. Listening to this event would look like the following: myVideoPlayer.addEventListener(CURRENT_TIME_CHANGED, function(evt){ console.log ("current time = "+evt.getDispatcher().getCurrentTime()); }); The second approach declares getCurrentTime differently: getCurrentTime():CustomNumber where CustomNumber is a custom number object, not the native one. This custom object dispatches a VALUE_CHANGED event when its value changes, so there is no need for the CURRENT_TIME_CHANGED event! Just listen to the returned object for value changes! Listening to this event would look like the following: myVideoPlayer.getCurrentTime().addEventListener(VALUE_CHANGED, function(evt){ console.log ("current time = "+evt.getDispatcher().valueOf()); }); Note that CustomNumber has a valueOf method which returns a native number that lets the returned CustomNumber object being used as a number, so: var result = myVideoPlayer.getCurrentTime()+5; will work! So in the first approach, we listen to an object for a change in its property's value. In the second one we directly listen to the property for a change on its value. There are multiple pros and cons for each approach, I just want to know which one the developers would prefer to use!

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  • Choosing Technology To Include In Software Design

    How many of us have been forced to select one technology over another when designing a new system? What factors do we and should we consider? How can we ensure the correct business decision is made? When faced with this type of decision it is important to gather as much information possible regarding each technology being considered as well as the project itself. Additionally, I tend to delay my decision about the technology until it is ultimately necessary to be made. The reason why I tend to delay such an important design decision is due to the fact that as the project progresses requirements and other factors can alter a decision for selecting the best technology for a project. Important factors to consider when making technology decisions: Time to Implement and Maintain Total Cost of Technology (including Implementation and maintenance) Adaptability of Technology Implementation Team’s Skill Sets Complexity of Technology (including Implementation and maintenance) orecasted Return On Investment (ROI) Forecasted Profit on Investment (POI) Of the factors to consider the ROI and POI weigh the heaviest because the take in to consideration the other factors when calculating the profitability and return on investments.For a real world example let us consider developing a web based lead management system for a new company. This system can either be hosted on Microsoft Windows based web server or on a Linux based web server. Important Factors for this Example Implementation Team’s Skill Sets Member 1  Skill Set: Classic ASP, ASP.Net, and MS SQL Server Experience: 10 years Member 2  Skill Set: PHP, MySQL, Photoshop and MS SQL Server Experience: 3 years Member 3  Skill Set: C++, VB6, ASP.Net, and MS SQL Server Experience: 12 years Total Cost of Technology (including Implementation and maintenance) Linux Initial Year: $5,000 (Random Value) Additional Years: $3,000 (Random Value) Windows Initial Year: $10,000 (Random Value) Additional Years: $3,000 (Random Value) Complexity of Technology Linux Large Learning Curve with user driven documentation Estimated learning cost: $30,000 Windows Minimal based on Teams skills with Microsoft based documentation Estimated learning cost: $5,000 ROI Linux Total Cost Initial Total Cost: $35,000 Additional Cost $3,000 per year Windows Total Cost Initial Total Cost: $15,000 Additional Cost $3,000 per year Based on the hypothetical numbers it would make more sense to select windows based web server because the initial investment of the technology is much lower initially compared to the Linux based web server.

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  • Solving Big Problems with Oracle R Enterprise, Part I

    - by dbayard
    Abstract: This blog post will show how we used Oracle R Enterprise to tackle a customer’s big calculation problem across a big data set. Overview: Databases are great for managing large amounts of data in a central place with rigorous enterprise-level controls.  R is great for doing advanced computations.  Sometimes you need to do advanced computations on large amounts of data, subject to rigorous enterprise-level concerns.  This blog post shows how Oracle R Enterprise enables R plus the Oracle Database enabled us to do some pretty sophisticated calculations across 1 million accounts (each with many detailed records) in minutes. The problem: A financial services customer of mine has a need to calculate the historical internal rate of return (IRR) for its customers’ portfolios.  This information is needed for customer statements and the online web application.  In the past, they had solved this with a home-grown application that pulled trade and account data out of their data warehouse and ran the calculations.  But this home-grown application was not able to do this fast enough, plus it was a challenge for them to write and maintain the code that did the IRR calculation. IRR – a problem that R is good at solving: Internal Rate of Return is an interesting calculation in that in most real-world scenarios it is impractical to calculate exactly.  Rather, IRR is a calculation where approximation techniques need to be used.  In this blog post, we will discuss calculating the “money weighted rate of return” but in the actual customer proof of concept we used R to calculate both money weighted rate of returns and time weighted rate of returns.  You can learn more about the money weighted rate of returns here: http://www.wikinvest.com/wiki/Money-weighted_return First Steps- Calculating IRR in R We will start with calculating the IRR in standalone/desktop R.  In our second post, we will show how to take this desktop R function, deploy it to an Oracle Database, and make it work at real-world scale.  The first step we did was to get some sample data.  For a historical IRR calculation, you have a balances and cash flows.  In our case, the customer provided us with several accounts worth of sample data in Microsoft Excel.      The above figure shows part of the spreadsheet of sample data.  The data provides balances and cash flows for a sample account (BMV=beginning market value. FLOW=cash flow in/out of account. EMV=ending market value). Once we had the sample spreadsheet, the next step we did was to read the Excel data into R.  This is something that R does well.  R offers multiple ways to work with spreadsheet data.  For instance, one could save the spreadsheet as a .csv file.  In our case, the customer provided a spreadsheet file containing multiple sheets where each sheet provided data for a different sample account.  To handle this easily, we took advantage of the RODBC package which allowed us to read the Excel data sheet-by-sheet without having to create individual .csv files.  We wrote ourselves a little helper function called getsheet() around the RODBC package.  Then we loaded all of the sample accounts into a data.frame called SimpleMWRRData. Writing the IRR function At this point, it was time to write the money weighted rate of return (MWRR) function itself.  The definition of MWRR is easily found on the internet or if you are old school you can look in an investment performance text book.  In the customer proof, we based our calculations off the ones defined in the The Handbook of Investment Performance: A User’s Guide by David Spaulding since this is the reference book used by the customer.  (One of the nice things we found during the course of this proof-of-concept is that by using R to write our IRR functions we could easily incorporate the specific variations and business rules of the customer into the calculation.) The key thing with calculating IRR is the need to solve a complex equation with a numerical approximation technique.  For IRR, you need to find the value of the rate of return (r) that sets the Net Present Value of all the flows in and out of the account to zero.  With R, we solve this by defining our NPV function: where bmv is the beginning market value, cf is a vector of cash flows, t is a vector of time (relative to the beginning), emv is the ending market value, and tend is the ending time. Since solving for r is a one-dimensional optimization problem, we decided to take advantage of R’s optimize method (http://stat.ethz.ch/R-manual/R-patched/library/stats/html/optimize.html). The optimize method can be used to find a minimum or maximum; to find the value of r where our npv function is closest to zero, we wrapped our npv function inside the abs function and asked optimize to find the minimum.  Here is an example of using optimize: where low and high are scalars that indicate the range to search for an answer.   To test this out, we need to set values for bmv, cf, t, emv, tend, low, and high.  We will set low and high to some reasonable defaults. For example, this account had a negative 2.2% money weighted rate of return. Enhancing and Packaging the IRR function With numerical approximation methods like optimize, sometimes you will not be able to find an answer with your initial set of inputs.  To account for this, our approach was to first try to find an answer for r within a narrow range, then if we did not find an answer, try calling optimize() again with a broader range.  See the R help page on optimize()  for more details about the search range and its algorithm. At this point, we can now write a simplified version of our MWRR function.  (Our real-world version is  more sophisticated in that it calculates rate of returns for 5 different time periods [since inception, last quarter, year-to-date, last year, year before last year] in a single invocation.  In our actual customer proof, we also defined time-weighted rate of return calculations.  The beauty of R is that it was very easy to add these enhancements and additional calculations to our IRR package.)To simplify code deployment, we then created a new package of our IRR functions and sample data.  For this blog post, we only need to include our SimpleMWRR function and our SimpleMWRRData sample data.  We created the shell of the package by calling: To turn this package skeleton into something usable, at a minimum you need to edit the SimpleMWRR.Rd and SimpleMWRRData.Rd files in the \man subdirectory.  In those files, you need to at least provide a value for the “title” section. Once that is done, you can change directory to the IRR directory and type at the command-line: The myIRR package for this blog post (which has both SimpleMWRR source and SimpleMWRRData sample data) is downloadable from here: myIRR package Testing the myIRR package Here is an example of testing our IRR function once it was converted to an installable package: Calculating IRR for All the Accounts So far, we have shown how to calculate IRR for a single account.  The real-world issue is how do you calculate IRR for all of the accounts?This is the kind of situation where we can leverage the “Split-Apply-Combine” approach (see http://www.cscs.umich.edu/~crshalizi/weblog/815.html).  Given that our sample data can fit in memory, one easy approach is to use R’s “by” function.  (Other approaches to Split-Apply-Combine such as plyr can also be used.  See http://4dpiecharts.com/2011/12/16/a-quick-primer-on-split-apply-combine-problems/). Here is an example showing the use of “by” to calculate the money weighted rate of return for each account in our sample data set.  Recap and Next Steps At this point, you’ve seen the power of R being used to calculate IRR.  There were several good things: R could easily work with the spreadsheets of sample data we were given R’s optimize() function provided a nice way to solve for IRR- it was both fast and allowed us to avoid having to code our own iterative approximation algorithm R was a convenient language to express the customer-specific variations, business-rules, and exceptions that often occur in real-world calculations- these could be easily added to our IRR functions The Split-Apply-Combine technique can be used to perform calculations of IRR for multiple accounts at once. However, there are several challenges yet to be conquered at this point in our story: The actual data that needs to be used lives in a database, not in a spreadsheet The actual data is much, much bigger- too big to fit into the normal R memory space and too big to want to move across the network The overall process needs to run fast- much faster than a single processor The actual data needs to be kept secured- another reason to not want to move it from the database and across the network And the process of calculating the IRR needs to be integrated together with other database ETL activities, so that IRR’s can be calculated as part of the data warehouse refresh processes In our next blog post in this series, we will show you how Oracle R Enterprise solved these challenges.

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  • SSIS Send Mail Task and ForceExecutionValue Error

    - by Kevin Shyr
    I tried to use the "ForcedExecutionValue" on several Send Mail Tasks and log the execution into a ExecValueVariable so that at the end of the package I can log into a table to say whether the data check is successful or not (by determine whether an email was sent out) I set up a Boolean variable that is accessible at the package level, then set up my Send Mail Task as the screenshot below with Boolean as my ForcedExecutionValueType.  When I run the package, I got the error described below. Just to make sure this is not another issue of SSIS having with Boolean type ( you also can't set variable value from xp_cmdshell of type Boolean), I used variables of types String, Int32, DateTime with the corresponding ForcedExecutionValueType.  The only way to get around this error, was to set my variable to type Object, but then when you try to get the value out later, the Object is null. I didn't spend enough time on this to see whether it's really a bug in SSIS or not, or is this just how Send Mail Task works.  Just want to log the error and will circle back on this later to narrow down the issue some more.  In the meantime, please share if you have run into the same problem.  The current workaround is to attach a script task at the end. Also, need to note 2 existing limitation: Data check needs to be done serially because every check needs to be inner join to a master table.  The master table has all the data in a single XML column and hence need to be retrieved with XQuery (a fundamental design flaw that needs to be changed) The next iteration will be to change this design into a FOR loop and pull out the checking query from a table somewhere with all the info needed for email task, but is being put to the back of the priority. Error Message: Error: 0xC001F009 at CountCheckBetweenODSAndCleanSchema: The type of the value being assigned to variable "User::WasErrorEmailEverSent" differs from the current variable type. Variables may not change type during execution. Variable types are strict, except for variables of type Object. Error: 0xC0019001 at Send Mail Task on count mismatch: The wrapper was unable to set the value of the variable specified in the ExecutionValueVariable property.   Screenshot of my Send Mail Task setup:

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  • Demantra 7.3.1.3 Controlling MDP_MATRIX Combinations Assigned to Forecasting Tasks Using TargetTaskSize

    - by user702295
    New 7.3.1.3 parameter: TargetTaskSize Old parameter: BranchID  Multiple, deprecated  7.3.1.3 onwards Parameter Location: Parameters > System Parameters > Engine > Proport   Default: 0   Engine Mode: Both   Details: Specifies how many MDP_MATRIX combinations the analytical engine attempts to assign to each forecasting task.  Allocation will be affected by forecsat tree branch size.  TaskTargetSize is automcatically calculated.  It holds the perferred branch size, in number of combinations in the lowest level. This parameter is adjusted to a lower value for smaller schemas, depending on the number of available engines.   - As the forecast is generated the engine goes up the tree using max_fore_level and not top_level -1.  Max_fore_level has     to be less than or equal to top_level -1.  Due to this requirement, combinations falling under the same top level -1     member must be in the same task.  A member of the top level -1 of the forecast tree is known as a branch.  An engine     task is therefore comprised of one or more branches.     - Reveal current task size       go to Engine Administrator --> View --> Branch Information and run the application on your Demantra schema.  This will be deprecated in 7.3.1.3 since there is no longer a means of adjusting the brach size directly.  The focus is now on proper hierarchy / forecast design.     - Control of tasks       The number of tasks created is the lowest of number of branches, as defined by top level -1 members in forecast       tree, and engine sessions and the value of TargetTaskSize.  You are used to using the branch multiplier in this       calculation.  As of 7.3.1.3, the branch ID multiple is deprecated.     - Discovery of current branch size       To resolve this you must review the 2nd highest level in the forecast tree (below highest/highest) as this is the       level which determines the size of the branches.  If a few resulting tasks are too large it is recommended that       the forecast tree level driving branches be revised or at times completely removed from the forecast tree.     - Control of foreacast tree branch size         - Run the following sql to determine how even the branches are being split by the engine:             select count(*),branch_id from mdp_matrix where prediction_status = 1 and do_fore = 1 group by branch_id;             This will give you an understanding if some of the individual branches have an unusually large number of           rows and thus might indicate that the engine is not efficiently dividing up the parallel tasks.         - Based on the results of this sql, we may want to adjust the branch id multiplier and/or the number of engines           (both of these settings are found in the Engine Administrator)           select count(*), level_id from mdp_matrix where prediction_status = 1 and do_fore = 1 group by level_id;           This will give us an understanding at which level of the Forecast tree where the forecast is being generated.            Having a majority of combinations higher on the forecast tree might indicate either a poorly designed forecast           tree and/or engine parameters that are too strict           Based on the results of this we would adjust the Forecast Tree to see if choosing a different hierarchy might           produce a forecast, with more combinations, at a lower level.           For example:             - Review the 2nd highest level in the forecast tree, below highest/highest, as this is the level which               determines the size of the branches.             - If a few resulting tasks are too large it is recommended that the forecast tree level driving branches               be revised or at times completely removed from the forecast tree.               - For example, if the highest level of the forecast tree is set to Brand/All Locations.             - You have 10 brands but 2 of the brands account for 67% and 29% of all combinations.             - There is a distinct possibility that the tasks resulting from these 2 branches will be too large for               a single engine to process.  Some possible solutions could be to remove the Brand level and instead               use a different product grouping which has a more even distribution, possibly Product Group.               - It is also possible to add a location dimension to this forecast tree level, for example Customer.                This will also reduce forecast tree branch size and will deliver a balanced task allocation.             - A correctly configured Forecast Tree is something that is done by the Implementation team and is               not the responsibility of Oracle Support.  Allocation will be affected by forecast tree branch size.  When TargetTaskSize is set to 0, the default value, the system automatically calculates a value for 'TargetTaskSize' depending on the number of engines.   - QUESTION:  Does this mean that if TargetTaskSize is 1, we use tree branch size to allocate branches to tasks instead                of automatically calculating the size?     ANSWER: DEV Strongly recommends that the setting of TargetTaskSize remain at the DEFAULT of ZERO (0).   - How to control the number of engines?     Determine how many CPUs are on the machine(s) that is (are) running the engine.  As mentioned earlier, the general     rule is that you should designate 2 engines per each CPU that is available.  So for example, if you are running the     engine on a machine that has 4 CPU then you can have up to 8 engines designated in the Engine Administrator.  In this     type of architecture then instead of having one 'localhost' in your Engine Settings Screen, you would have 'localhost'     repeated eight times in this field.     Where do I set the number of engines?                 To add multiples computers where engine will run, please do a back-up of Settings.xml file under         Analytical Engines\bin\ folder, then edit it and add there the selected machines.                 Example, this will allow 3 engines to start:         - <Entry>           <Key argument="ComputerNames" />           <Value type="string" argument="localhost,localhost,localhost" />           </Entry Otherwise, if there are no additional engines defined, the calculated value of 'TargetTaskSize' is used. (Oracle does not recommend changing the default value.) The TargetTaskSize holds the engines prefered branch size, in number of level 1 combinations.   - Level 1 combinations, known as group size The engine manager will use this parameter to attempt creating branches with similar size.   * The engine manager will not create engines that do not have a branch. The engine divider algorithm uses the value of 'TargetTaskSize' as a system-preferred branch size to create branches that are more equal in size which improves engine performance.  The engine divider will try to add as many tasks as possible to an existing branch, up to the limit of 'TargetTaskSize' level 1 combinations, before adding new branches. Coming up next: - The engine divider - Group size - Level 1 combinations - MAX_FORE_LEVEL - Engine Parameters  

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  • SEO Keyword Research Help

    - by user5857
    I'm new at SEO and keyword research. I am using Market Samurai as my research tool, and I was wondering if I could ask for your help to identify the best key word to target for my niche. I do plan on incorporating all of them into my site, but I wanted to start with one. If you could give me your input on these keywords, I would appreciate it. This is all new to me :) I'm too new to post pictures, but here are my keywords (Searches, SEO Traffic, and SEO Value / Day): Searches | SEO Traffic | PBR | SEO Value | Average PR/Backlinks of Current Top 10 1: 730 | 307 | 20% | 2311.33 | 1.9 / 7k-60k 2: 325 | 137 | 24% | 822.94 | 2.3 / 7k-60k 3: 398 | 167 | 82% | 589.79 | 1.6 / 7k-60k I'm wondering if the PBR (Phrase-to-broad) value of #1 is too low. It seems like the best value because the SEOV is crazy high. That is like $70k a month. #3 has the highest PBR, but also the lowest SEOV. #2 doesn't seem worth it because of the PR competetion. Might be a little too hard to get into the top page of Google. I'm wondering which keywords to target, and if I should be looking at any other metric to see if this is a profitable niche to jump into. Thanks.

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  • Enable/Disable SSL JSSE in Weblogic Server 11g/12c

    - by Vijaya Moderator -Oracle
    Here is the flag to enable or to disable JSSE.-Dweblogic.ssl.JSSEEnabled=true|false Oracle recommends that you keep this value set to true.  Starting WLS 12c, Even if the above option is set to false , it is ignored. The changes are neither persisted nor the Mbean value is also left unmodified.... Please also be aware of the below changes in SSL implementation in 12c version 1. Certicom has been removed from WebLogic Server 12.1.1 and is no longer supported. 2. JSSE is the only SSL implementation that is supported in WebLogic Server 12.1.1. The following configuration changes have been made to be consistent with this support: The default for JSSEEnabled has been changed to true. Oracle recommends that you keep this value set to true. If JSSEEnabled is set to false, it will be ignored. That is, the MBean value will not be changed either in memory or the persisted config.xml file. WebLogic Server will continue to use JSSE, but will issue a warning. Please refer to the below doc in OTN for more info... Oracle Fusion Middleware What's New in Oracle WebLogic Server - 12c Release 1 (12.1.1)

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  • VCE at the VCS!?!?

    - by John Murphy
    VCE stands for Value Chain Execution, VCS stands for Value Chain Summit and in February in San Francisco, VCE will be fully represented at the VCS. The Value Chain Summit is Oracle's first large scale Supply Chain Management event specifically aimed at both current and prospective users of Oracle Supply Chain Management applications. This inaugural event is Feb 4-6, 2013 in downtown San Francisco.  Over 1000 attendees will meet to discuss and see what's new in product releases, what recent business trends are impacting supply chains, how technology is evolving, where supply chains are headed, and what companies are doing about it.  As the market leader in Value Chain Execution applications, VCE sessions and demonstrations will provide attendees direct access to the most sophisticated logistics applications in the world.  Already a user of VCE applications?   That's all the more reason to attend as sessions are specifically designed to address the latest features in the upcoming 6.3 release.  Detailed content will be shared by development and strategy personnel so you can get all the answers you need to improve your use of the VCE applications you currently have deployed.   Please join us in San Francisco in February!  

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  • Understanding how memory contents map into a struct

    - by user95592
    I am not able to understand how bytes in memory are being mapped into a struct. My machine is a little-endian x86_64. The code was compiled with gcc 4.7.0 from the Win64 mingw32-64 distribution for Win64. These are contents of the relevant memory fragment: ...450002cf9fe5000040115a9fc0a8fe... And this is the struct definition: typedef struct ip4 { unsigned int ihl :4; unsigned int version :4; uint8_t tos; uint16_t tot_len; uint16_t id; uint16_t frag_off; // flags=3 bits, offset=13 bits uint8_t ttl; uint8_t protocol; uint16_t check; uint32_t saddr; uint32_t daddr; /*The options start here. */ } ip4_t; When a pointer to such an structure (let it be *ip4) is initialized to the starting address of the above pasted memory region, this is what the debugger shows for the struct's fields: ip4: address=0x8da36ce ip4->ihl: address=0x8da36ce, value=0x5 ip4->version: address=0x8da36ce, value=0x4 ip4->tos: address=0x8da36d2, value=0x9f ip4->tot_len: address=0x8da36d4, value=0x0 ... I see how ihl and version are mapped: 4 bytes for a long integer, little-endian. But I don't understand how tos and tot_len are mapped; which bytes in memory correspond to each one of them. Thank you in advance.

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  • About shared (static) Members and its behavior

    - by Allende
    I just realized that I can access shared members from instances of classes (probably this is not correct, but compile and run), and also learn/discover that, I can modify shared members, then create a new instance and access the new value of the shared member. My question is, what happens to the shared members, when it comes back to the "default" value (class declaration), how dangerous is it do this ? is it totally bad ? is it valid in some cases ?. If you want to test my point here is the code (console project vb.net) that I used to test shared members, as you can see/compile/run, the shared member "x" of the class "Hello" has default value string "Default", but at runtime it changes it, and after creating a new object of that class, this object has the new value of the shared member. Module Module1 Public Class hello Public Shared x As String = "Default" Public Sub New() End Sub End Class Sub Main() Console.WriteLine("hello.x=" & hello.x) Dim obj As New hello() Console.WriteLine("obj.x=" & obj.x) obj.x = "Default shared memeber, modified in object" Console.WriteLine("obj.x=" & obj.x) hello.x = "Defaul shared member, modified in class" Console.WriteLine("hello.x=" & hello.x) Dim obj2 As New hello() Console.WriteLine("obj2.x=" & obj2.x) Console.ReadLine() End Sub End Module UPDATE: First at all, thanks to everyone, each answer give feedback, I suppose, by respect I should choose one as "the answer", I don't want to be offensive to anyone, so please don't take it so bad if I didn't choose you answer.

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  • Towards Ultra-Reusability for ADF - Adaptive Bindings

    - by Duncan Mills
    The task flow mechanism embodies one of the key value propositions of the ADF Framework, it's primary contribution being the componentization of your applications and implicitly the introduction of a re-use culture, particularly in large applications. However, what if we could do more? How could we make task flows even more re-usable than they are today? Well one great technique is to take advantage of a feature that is already present in the framework, a feature which I will call, for want of a better name, "adaptive bindings". What's an adaptive binding? well consider a simple use case.  I have several screens within my application which display tabular data which are all essentially identical, the only difference is that they happen to be based on different data collections (View Objects, Bean collections, whatever) , and have a different set of columns. Apart from that, however, they happen to be identical; same toolbar, same key functions and so on. So wouldn't it be nice if I could have a single parametrized task flow to represent that type of UI and reuse it? Hold on you say, great idea, however, to do that we'd run into problems. Each different collection that I want to display needs different entries in the pageDef file and: I want to continue to use the ADF Bindings mechanism rather than dropping back to passing the whole collection into the taskflow   If I do use bindings, there is no way I want to have to declare iterators and tree bindings for every possible collection that I might want the flow to handle  Ah, joy! I reply, no need to panic, you can just use adaptive bindings. Defining an Adaptive Binding  It's easiest to explain with a simple before and after use case.  Here's a basic pageDef definition for our familiar Departments table.  <executables> <iterator Binds="DepartmentsView1" DataControl="HRAppModuleDataControl" RangeSize="25"             id="DepartmentsView1Iterator"/> </executables> <bindings> <tree IterBinding="DepartmentsView1Iterator" id="DepartmentsView1">   <nodeDefinition DefName="oracle.demo.model.vo.DepartmentsView" Name="DepartmentsView10">     <AttrNames>       <Item Value="DepartmentId"/>         <Item Value="DepartmentName"/>         <Item Value="ManagerId"/>         <Item Value="LocationId"/>       </AttrNames>     </nodeDefinition> </tree> </bindings>  Here's the adaptive version: <executables> <iterator Binds="${pageFlowScope.voName}" DataControl="HRAppModuleDataControl" RangeSize="25"             id="TableSourceIterator"/> </executables> <bindings> <tree IterBinding="TableSourceIterator" id="GenericView"> <nodeDefinition Name="GenericViewNode"/> </tree> </bindings>  You'll notice three changes here.   Most importantly, you'll see that the hard-coded View Object name  that formally populated the iterator Binds attribute is gone and has been replaced by an expression (${pageFlowScope.voName}). This of course, is key, you can see that we can pass a parameter to the task flow, telling it exactly what VO to instantiate to populate this table! I've changed the IDs of the iterator and the tree binding, simply to reflect that they are now re-usable The tree binding itself has simplified and the node definition is now empty.  Now what this effectively means is that the #{node} map exposed through the tree binding will expose every attribute of the underlying iterator's collection - neat! (kudos to Eugene Fedorenko at this point who reminded me that this was even possible in his excellent "deep dive" session at OpenWorld  this year) Using the adaptive binding in the UI Now we have a parametrized  binding we have to make changes in the UI as well, first of all to reflect the new ID that we've assigned to the binding (of course) but also to change the column list from being a fixed known list to being a generic metadata driven set: <af:table value="#{bindings.GenericView.collectionModel}" rows="#{bindings.GenericView.rangeSize}"         fetchSize="#{bindings.GenericView.rangeSize}"           emptyText="#{bindings.GenericView.viewable ? 'No data to display.' : 'Access Denied.'}"           var="row" rowBandingInterval="0"           selectedRowKeys="#{bindings.GenericView.collectionModel.selectedRow}"           selectionListener="#{bindings.GenericView.collectionModel.makeCurrent}"           rowSelection="single" id="t1"> <af:forEach items="#{bindings.GenericView.attributeDefs}" var="def">   <af:column headerText="#{bindings.GenericView.labels[def.name]}" sortable="true"            sortProperty="#{def.name}" id="c1">     <af:outputText value="#{row[def.name]}" id="ot1"/>     </af:column>   </af:forEach> </af:table> Of course you are not constrained to a simple read only table here.  It's a normal tree binding and iterator that you are using behind the scenes so you can do all the usual things, but you can see the value of using ADFBC as the back end model as you have the rich pantheon of UI hints to use to derive things like labels (and validators and converters...)  One Final Twist  To finish on a high note I wanted to point out that you can take this even further and achieve the ultra-reusability I promised. Here's the new version of the pageDef iterator, see if you can notice the subtle change? <iterator Binds="{pageFlowScope.voName}"  DataControl="${pageFlowScope.dataControlName}" RangeSize="25"           id="TableSourceIterator"/>  Yes, as well as parametrizing the collection (VO) name, we can also parametrize the name of the data control. So your task flow can graduate from being re-usable within an application to being truly generic. So if you have some really common patterns within your app you can wrap them up and reuse then across multiple developments without having to dictate data control names, or connection names. This also demonstrates the importance of interacting with data only via the binding layer APIs. If you keep any code in the task flow generic in that way you can deal with data from multiple types of data controls, not just one flavour. Enjoy!

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  • Single-Click Checkbox in RadGridView

    - by Anthony Trudeau
    Originally posted on: http://geekswithblogs.net/tonyt/archive/2014/06/05/156809.aspxThe Telerik RadGridView for WPF is a flexible visual control for displaying and manipulating tables of data. It’s not without it’s quirks though. I ran into one of those quirks recently. The behavior of the RadGridView requires that you first activate the cell for editing. That enables the editing controls underneath. Although that provides better editing capabilities, it also can be unintuitive. In my case I don’t want my users to have to click a checkbox value twice in order to change the value. This can be solved easily by setting the EditTriggers and AutoSelectOnEdit properties to CellClick and True respectively. Unfortunately, the story doesn’t end there. You would think you could set those properties in a style with a TargetType of GridViewCheckBoxColumn. You’d be wrong. <!-- This works --> <telerik:GridViewCheckBoxColumn Header="Flag #1"       DataMemberBinding="{Binding Flag1}"       EditTriggers="CellClick" AutoSelectOnEdit="True"/> <!-- This doesn’t work --> <Style TargetType="{x:Type telerik:GridViewCheckBoxColumn}">       <Setter Property="EditTriggers" Value="CellClick" />       <Setter Property="AutoSelectOnEdit" Value="True" /> </Style> Telerik told me that is the correct, expected behavior, because the columns in the RadGridView are not visual elements. Their explanation is that the Style property comes from the base class FrameworkContentElement, but the column objects aren’t visual elements. That may be an implementation truth, but that doesn’t make the behavior correct or expected. It’s unintuitive that the GridViewCheckBoxColumn exposes a Style property that cannot be used properly, but there it is. At least there’s a way to get the desired effect.

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  • How are objects modelled in a functional programming language?

    - by Giorgio
    In an answer to this question (written by Pete) there are some considerations about OOP versus FP. In particular, it is suggested that FP languages are not very suitable for modelling (persistent) objects that have an identity and a mutable state. I was wondering if this is true or, in other words, how one would model objects in a functional programming language. From my basic knowledge of Haskell I thought that one could use monads in some way, but I really do not know enough on this topic to come up with a clear answer. So, how are entities with an identity and a mutable persistent state normally modelled in a functional language? EDIT Here are some further details to clarify what I have in mind. Take a typical Java application in which I can (1) read a record from a database table into a Java object, (2) modify the object in different ways, (3) save the modified object to the database. How would this be implemented e.g. in Haskell? I would initially read the record into a record value (defined by a data definition), perform different transformations by applying functions to this initial value (each intermediate value is a new, modified copy of the original record) and then write the final record value to the database. Is this all there is to it? How can I ensure that at each moment in time only one copy of the record is valid / accessible? One does not want to have different immutable values representing different snapshots of the same object to be accessible at the same time.

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  • Jquery calculator

    - by Nemanja
    I want to make calculator for summation. I have this jquery code: <script type="text/javascript"> $(document).ready(function() { $("#calculate").click(function() { if ($("#input").val() != '' && $("#input").val() != undefined) { $("#result").html("Result is: " + parseInt($("#input").val()) * 30 ); } else { $("#result").html("Please enter some value"); } }); }); </script> <div id="calculator"> <br /> <input type="text" style="left:20px;" id="input" /> <div id="result"></div> <input type="button" id="calculate" value="calculate" style="left:20px;" /> </div> I want something like this: I write number 5, then input + from keyboard and write another value. Then to click on summation button and to get value. Can anyone help me with this? Thank you very much!

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  • Storage of leftover values in a situation of having to round down

    - by jt0dd
    I'm writing an app (client and server side) where the number of sales required by each employee must be kept track of in round-number form. Each month, the employees are required to sell a certain number, and this app needs to keep track of how many sales must be made for each 12 hour interval during the work week. Because I have to round the values down to a whole number, I must keep track of leftovers in the rounding process and ensure that they are always carried over. My method must ensure the storage of the leftover value even when client and server side crash, restart, close, etc. Right now, I'm working on doing this by storing the leftovers in a field in the user's account row in the database each time a value is rounded, reading the stored value, removing any portion that is used (when a whole number is reached, most of the leftover is used up), and storing the new value. This practice seems weird because while the leftovers are calculated on the client side, it's the same number for each employee, and every employee using the app is storing a copy of the same leftover data. Alternatively, I could have all clients store the data at once into the same data field on a general table, but this is just as weird. Is there a better way that this can be handled or is my method correct?

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  • Problem manipulating text using grep

    - by moata_u
    I want to search for a line that contains log4j and take 7 lines before and 3 lines after the match. grep -B7 -A3 "log4j" web.xml After that I want to add comment tags before this paragraph and after it. <!-- paragraph that i found by grep --> I wrote this script bellow: search=`find . -name 'web.xml'` text=`grep -B7 -A3 "log4j" $search` sed -i "/$text/c $newparagraph" $search It's not working. Is there any way to just add comment symbol not replace the paragraph? What I want to the script to do: search for the paragraph append append -- at the end Edit: This is the paragraph that am trying manipulate : <context-param> <param-name>log4jConfigLocation</param-name> <param-value>/WEB-INF/classes/log4j.properties</param-value> </context-param> <listener> <listenerclass> org.springframework.web.util.Log4jConfigListener </listener-class> </listener> This paragraph is part of many paragraphs! I want make it like this: <!-- <context-param> <param-name>log4jConfigLocation</param-name> <param-value>/WEB-INF/classes/log4j.properties</param-value> </context-param> <listener> <listenerclass> org.springframework.web.util.Log4jConfigListener </listener-class> </listener> -->

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  • Stop Time Sync Between Host and Guest - VirtualBox

    - by KoopaTroopa
    So I've been googling and I've tried the following commands. I want to stop the virtual machine from having the correct time and just to stick with what time it last recorded. The host operating system is Ubuntu 12.04 and the guest is Windows XP. I've turned time syncing off in XP so it won't do that when I connect to the Internet. However it does appear to take the time from ubuntu and set it as it's own. VBoxManage setextradata XP11 “VBoxInternal/TM/WarpDrivePercentage” 200 vboxmanage setextradata XP11 "VBoxInternal/Devices/VMMDev/0/Config/GetHostTimeDisabled" "1" Both commands haven't work as the time is always set to the exact same as Ubuntu's. I've located the extradata entry in the virtualbox XML file. It states both changes that the commands above are set to make. But of course it still hasn't stopped updating the time. <ExtraData> <ExtraDataItem name="GUI/LastGuestSizeHint" value="1152,864"/> <ExtraDataItem name="GUI/LastNormalWindowPosition" value="74,52,1152,911"/> <ExtraDataItem name="VBoxInternal/Devices/VMMDev/0/Config/GetHostTimeDisabled" value="1"/> <ExtraDataItem name="&#x201C;VBoxInternal/TM/WarpDrivePercentage&#x201D;" value="200"/> </ExtraData>

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  • Quick Fix for GlassFish/MySQL NoPasswordCredential Found

    - by MarkH
    Just the other day, I stood up a GlassFish 3.1.2 server in preparation for a new web app we've developed. Since we're using MySQL as the back-end database, I configured it for MySQL (driver) and created the requisite JDBC resource and supporting connection pool. Pinging the finished pool returned a success, and all was well. Until we fired up the app, that is -- in this case, after a weekend. Funny how things seem to break when you leave them alone for a couple of days. :-) Strangely, the error indicated "No PasswordCredential found". Time to re-check that pool. All the usual properties and values were there (URL, driverClass, serverName, databaseName, portNumber, user, password) and were populated correctly. Yes, the password field, too. And it had pinged successfully. So why the problem? A bit of searching online produced enough relevant material to offer promise. I didn't take notes as I was investigating the cause (note to self), but here were the general steps I took to resolve the issue: First, per some guidance I had found, I tried resetting the password value to nothing (using () for a value). Of course, this didn't fix anything; the database account requires a password. And when I tried to put the value back, GlassFish politely refused. Hmm. I'd seen that some folks created a new pool to replace the "broken" one, and while that did work for them, it seemed to simply side-step the issue. So I deleted the password property - which GlassFish allowed me to do - and restarted the domain. Once I was back in, I re-added the password property and its value, saved it, and pinged...success! But now to the app for the litmus test. The web app worked, and everything and everyone was now happy. Not bad for a Monday.  :-D Hope this helps, Mark

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  • Change the Log Level of Node Manager.

    - by adejuanc
    This is useful to troubleshoot issues related to Node Manager, such as problems starting a Managed Server or reasons a server could be (re)started. To change the Log Level of Node Manager, you need to edit the nodemanager.properties file. This is usually located at: <MIDDLEWARE_HOME>/wlserver_10.3/common/nodemanager What you need to modify is property: ...LogLevel=INFO... Information about the appropriate values for this property is available in the Node Manager Documentation at 10.3 WebLogic Documentation (and in further releases) which states: LogLevel: Severity level of logging used for the Node Manager log. Node Manager uses the same logging levels as WebLogic Server. Default value: INFO However, this is incorrect. WLS has its own implementation of LogLevel, but Node Manager uses the standard Log Level from the java.util.logging.Level class. Therefore, the possible values for Node Manager LogLevel, in descending order are: SEVERE (highest value) WARNING INFO CONFIG FINE FINER FINEST (lowest value) The highest value provides only messages at the severe level. The warning level provides warning messages and severe messages, and so on. Besides those levels, ALL and OFF are also accepted. For example, if you only want Severe messages to be logged, select SEVERE. If you need the most detailed tracing available, select FINEST. For more information on what it will log at each level, please read the Java SE API for LoggingLevel.

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  • Class or Dictionary

    - by user2038134
    I want to create a immutable Scale class in C#. public sealed class Scale { string _Name; string _Description; SomeOrderedCollection _ScaleValueDefinitions; Unit _Unit // properties .... // methods ContainsValue(double value) .... // constructors // all parameters except scalevaluedefinitions are optional // for a Scale to be useful atleast 1 ScaleValueDefinition should exist public Scale(string name, string description, SomeOrderedCollection scaleValueDefinitions, unit) { /* initialize */} } so first a ScaleValueDefinition should be represented by to values: Value (double) Definition (string) these values are known before the Scale class is created and should be unique. so what is the best approach. create a immutable class ScaleValueDefinition with value and definition as properties and use it in a list. use a dictionary. use another way i didn't think of... and how to implement it. for option 1. i can use params ScaleValueDefinition[] ValueDefinitions in the constructor, but how to do it for the other options? and as last at what amount of value's (properties) should i choose one option over the other?

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  • On Developing Web Services with Global State

    - by user74418
    I'm new to web programming. I'm more experienced and comfortable with client-side code. Recently, I've been dabbling in web programming through Python's Google App Engine. I ran into some difficulty while trying to write some simple apps for the purposes of learning, mainly involving how to maintain some kind of consistent universally-accessible state for the application. I tried to write a simple queueing management system, the kind you would expect to be used in a small clinic, or at a cafeteria. Typically, this is done with hardware. You take a number from a ticketing machine, and when your number is displayed or called you approach the counter for service. Alternatively, you could be given a small pager, which will beep or vibrate when it is your turn to receive service. The former is somewhat better in that you have an idea of how many people are still ahead of you in the queue. In this situation, the global state is the last number in queue, which needs to be updated whenever a request is made to the server. I'm not sure how to best to store and maintain this value in a GAE context. The solution I thought of was to keep the value in the Datastore, attempt to query it during a ticket request, update the value, and then re-store it with put. My problem is that I haven't figured out how to lock the resource so that other requests do not check the value while it is in the middle of being updated. I am concerned that I may end up ticket requests that have the same queue number. Also, the whole solution feels awkward to me. I was wondering if there was a more natural way to accomplish this without having to go through the Datastore. Can anyone with more experience in this domain provide some advice on how to approach the design of the above application?

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  • Need help for array when no checkbox is selected [closed]

    - by darlene
    Hi guys I have created a form that has checkboxes, the code works great when a checkbox is selcted however when no checkboxes are selected I get errors such as "Undefined index: onemon in and Warning: Invalid argument supplied for foreach()" Please help:) FORM 1. Had a cold, fever or headache? input type="checkbox" name="onemon[]" value="q1" if(isset($_GET['onemon']) && $_GET['onemon']= "q1") 2. Had dental extractions or teeth cleaning? input type="checkbox" name="onemon[]" value="q2" if(isset($_GET['onemon']) && $_GET['onemon']= "q2") 3. Had minor outpatient sugery? input type="checkbox" name="onemon[]" value="q3" if(isset($_GET['onemon']) && $_GET['onemon']= "q3") 4. Had any vaccines? input type="checkbox" name="onemon[]" value="q4" if(isset($_GET['onemon']) && $_GET['onemon']= "q4") PHP $date = date('Y-m-d'); $onemon = $_POST ['onemon']; { $con = mysql_connect("localhost","root","") or die ("Could not connect to DB Server"); $db_selected = mysql_select_db("nbtsdb", $con) or die("Could not locate the DB"); // You have to loop through the array of checked box values ... $ques=""; foreach($onemon as $entry){ $ques .= $entry.","; } //$addPersonalSql holds the insert SQL query string $query = "INSERT INTO defferal(defid, intdate, onemonth) VALUES('','$date','$ques')"; $addMemberSql = $query or die ("Unable to Insert Data into defferal Table"); mysql_query($addMemberSql); }

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  • Model binding nested collections in ASP.NET MVC

    - by MartinHN
    Hi I'm using Steve Sanderson's BeginCollectionItem helper with ASP.NET MVC 2 to model bind a collection if items. That works fine, as long as the Model of the collection items does not contain another collection. I have a model like this: -Product --Variants ---IncludedAttributes Whenever I render and model bind the Variants collection, it works jusst fine. But with the IncludedAttributes collection, I cannot use the BeginCollectionItem helper because the id and names value won't honor the id and names value that was produced for it's parent Variant: <div class="variant"> <input type="hidden" value="bbd4fdd4-fa22-49f9-8a5e-3ff7e2942126" autocomplete="off" name="Variants.index"> <input type="hidden" value="0" name="Variants[bbd4fdd4-fa22-49f9-8a5e-3ff7e2942126].SlotAmount" id="Variants_bbd4fdd4-fa22-49f9-8a5e-3ff7e2942126__SlotAmount"> <table class="included-attributes"> <input type="hidden" value="0" name="Variants.IncludedAttributes[c5989db5-b1e1-485b-b09d-a9e50dd1d2cb].Id" id="Variants_IncludedAttributes_c5989db5-b1e1-485b-b09d-a9e50dd1d2cb__Id" class="attribute-id"> <tr> <td> <input type="hidden" value="0" name="Variants.IncludedAttributes[c5989db5-b1e1-485b-b09d-a9e50dd1d2cb].Id" id="Variants_IncludedAttributes_c5989db5-b1e1-485b-b09d-a9e50dd1d2cb__Id" class="attribute-id"> </td> </tr> </table> </div> If you look at the name of the first hidden field inside the table, it is Variants.IncludedAttributes - where it should have been Variants[bbd4fdd4-fa22-49f9-8a5e-3ff7e2942126].IncludedAttributes[...]... That is because when I call BeginCollectionItem the second time (On the IncludedAttributes collection) there's given no information about the item index value of it's parent Variant. My code for rendering a Variant looks like this: <div class="product-variant round-content-box grid_6" data-id="<%: Model.AttributeType.Id %>"> <h2><%: Model.AttributeType.AttributeTypeName %></h2> <div class="box-content"> <% using (Html.BeginCollectionItem("Variants")) { %> <div class="slot-amount"> <label class="inline" for="slotAmountSelectList"><%: Text.amountOfThisVariant %>:</label> <select id="slotAmountSelectList"><option value="1">1</option><option value="2">2</option></select> </div> <div class="add-values"> <label class="inline" for="txtProductAttributeSearch"><%: Text.addVariantItems %>:</label> <input type="text" id="txtProductAttributeSearch" class="product-attribute-search" /><span><%: Text.or %> <a class="select-from-list-link" href="#select-from-list" data-id="<%: Model.AttributeType.Id %>"><%: Text.selectFromList.ToLowerInvariant() %></a></span> <div class="clear"></div> </div> <%: Html.HiddenFor(m=>m.SlotAmount) %> <div class="included-attributes"> <table> <thead> <tr> <th><%: Text.name %></th> <th style="width: 80px;"><%: Text.price %></th> <th><%: Text.shipping %></th> <th style="width: 90px;"><%: Text.image %></th> </tr> </thead> <tbody> <% for (int i = 0; i < Model.IncludedAttributes.Count; i++) { %> <tr><%: Html.EditorFor(m => m.IncludedAttributes[i]) %></tr> <% } %> </tbody> </table> </div> <% } %> </div> </div> And the code for rendering an IncludedAttribute: <% using (Html.BeginCollectionItem("Variants.IncludedAttributes")) { %> <td> <%: Model.AttributeName %> <%: Html.HiddenFor(m => m.Id, new { @class = "attribute-id" })%> <%: Html.HiddenFor(m => m.ProductAttributeTypeId) %> </td> <td><%: Model.Price.ToCurrencyString() %></td> <td><%: Html.DropDownListFor(m => m.RequiredShippingTypeId, AppData.GetShippingTypesSelectListItems(Model.RequiredShippingTypeId)) %></td> <td><%: Model.ImageId %></td> <% } %>

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