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  • Postmortem debugging with WinDBG.

    - by Drazar
    I have an WCF-service running on an server, and occasionally(1-2 times every month) it throws an COMException with the informative message ”Unknown error (0x8005008)”. When i googled for this particular error I only got threads about problems when creating virtual directories in IIS. And the source code hasn’t anything with making a virtual directory in IIS. DirectoryServiceLib.LdapProvider.Directory - CreatePost - Could not create employee for 195001010000,000000000000: System.Runtime.InteropServices.COMException (0x80005008): Unknown error (0x80005008) at System.DirectoryServices.PropertyValueCollection.PopulateList I've taken a memorydump when I catch the Exception for further analysis in WinDBG. After switching to the right thread I executed the !CLRStack command: 000000001b8ab6d8 000000007708671a [NDirectMethodFrameStandalone: 000000001b8ab6d8] Common.MemoryDump.MiniDumpWriteDump(IntPtr, Int32, IntPtr, MINIDUMP_TYPE, IntPtr, IntPtr, IntPtr) 000000001b8ab680 000007ff002808d8 DomainBoundILStubClass.IL_STUB_PInvoke(IntPtr, Int32, IntPtr, MINIDUMP_TYPE, IntPtr, IntPtr, IntPtr) 000000001b8ab780 000007ff00280812 Common.MemoryDump.CreateMiniDump(System.String) 000000001b8ab7e0 000007ff0027b218 DirectoryServiceLib.LdapProvider.Directory.CreatePost(System.String, DirectoryServiceLib.Model.Post, DirectoryServiceLib.Model.Presumptions, Services.Common.SourceEnum, System.String) 000000001b8ad6d8 000007fef8816869 [HelperMethodFrame: 000000001b8ad6d8] 000000001b8ad820 000007feec2b6c6f System.DirectoryServices.PropertyValueCollection.PopulateList() 000000001b8ad860 000007feec225f0f System.DirectoryServices.PropertyValueCollection..ctor(System.DirectoryServices.DirectoryEntry, System.String) 000000001b8ad8a0 000007feec22d023 System.DirectoryServices.PropertyCollection.get_Item(System.String) 000000001b8ad8f0 000007ff00274d34 Common.DirectoryEntryExtension.GetStringAttribute(System.String) 000000001b8ad940 000007ff0027f507 DirectoryServiceLib.LdapProvider.DirectoryPost.Copy(DirectoryServiceLib.LdapProvider.DirectoryPost) 000000001b8ad980 000007ff0027a7cf DirectoryServiceLib.LdapProvider.Directory.CreatePost(System.String, DirectoryServiceLib.Model.Post, DirectoryServiceLib.Model.Presumptions, Services.Common.SourceEnum, System.String) 000000001b8adbe0 000007ff00279532 DirectoryServiceLib.WCFDirectory.CreatePost(System.String, DirectoryServiceLib.Model.Post, DirectoryServiceLib.Model.Presumptions, Services.Common.SourceEnum, System.String) 000000001b8adc60 000007ff001f47bd DynamicClass.SyncInvokeCreatePost(System.Object, System.Object[], System.Object[]) My conclusion is that it fails when the code is calling System.DirectoryServices.PropertyCollection.get_Item(System.String). So after issuing an !CLRStack -a I get this result: 000000001b8ad8a0 000007feec22d023 System.DirectoryServices.PropertyCollection.get_Item(System.String) PARAMETERS: this = <no data> propertyName = <no data> LOCALS: <CLR reg> = 0x0000000001dcef78 <no data> My very first question is why does it display no data on the propertyname? I am kinda new on Windbg. However I executed an dumpobject on = 0x0000000001dcef78: 0:013> !do 0x0000000001dcef78 Name: System.String MethodTable: 000007fef66d6960 EEClass: 000007fef625eec8 Size: 74(0x4a) bytes File: C:\Windows\Microsoft.Net\assembly\GAC_64\mscorlib\v4.0_4.0.0.0__b77a5c561934e089\mscorlib.dll String: personalprescriptioncode Fields: MT Field Offset Type VT Attr Value Name 000007fef66dc848 40000ed 8 System.Int32 1 instance 24 m_stringLength 000007fef66db388 40000ee c System.Char 1 instance 70 m_firstChar 000007fef66d6960 40000ef 10 System.String 0 shared static Empty >> Domain:Value 0000000000174e10:00000000019d1420 000000001a886f50:00000000019d1420 << So when the source code wants to fetch the personalprescriptioncode from Active Directory(what is used for persistence layer) it fails. Looking back at the stack it is when issuing the Copy method. DirectoryServiceLib.LdapProvider.DirectoryPost.Copy(DirectoryServiceLib.LdapProvider.DirectoryPost) So looking in the sourcecode: DirectoryPost postInLimbo = DirectoryPostFactory.Instance().GetDirectoryPost(LdapConfigReader.Instance().GetConfigValue("LimboDN"), idGenPerson.ID.UserId); if (postInLimbo != null) newPost.Copy(postInLimbo); This code is looking for another post in OU=limbo with the same UserId and if it finds one it copies the attributes to the new post. In this case it does and it fails with personalprescriptioncode. I've looked in Active Directory under OU=Limbo and the post exist there with the attribute personalprescriptioncode=31243. Question 1: Why does it display no data for some of the PARAMETERS and LOCALS? Is it the GC who has cleaned up before the memorydump had been created. Question 2: Is there anymore i can do to get to the solution to this problem?

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  • TripleDES in Perl/PHP/ColdFusion

    - by Seidr
    Recently a problem arose regarding hooking up an API with a payment processor who were requesting a string to be encrypted to be used as a token, using the TripleDES standard. Our Applications run using ColdFusion, which has an Encrypt tag - that supports TripleDES - however the result we were getting back was not what the payment processor expected. First of all, here is the resulting token the payment processor were expecting. AYOF+kRtg239Mnyc8QIarw== And below is the snippet of ColdFusion we were using, and the resulting string. <!--- Coldfusion Crypt (here be monsters) ---> <cfset theKey="123412341234123412341234"> <cfset theString = "username=test123"> <cfset strEncodedEnc = Encrypt(theString, theKey, "DESEDE", "Base64")> <!--- resulting string(strEncodedEnc): tc/Jb7E9w+HpU2Yvn5dA7ILGmyNTQM0h ---> As you can see, this was not returning the string we were hoping for. Seeking a solution, we ditched ColdFusion for this process and attempted to reproduce the token in PHP. Now I'm aware that various languages implement encryption in different ways - for example in the past managing encryption between a C# application and PHP back-end, I've had to play about with padding in order to get the two to talk, but my experience has been that PHP generally behaves when it comes to encryption standards. Anyway, on to the PHP source we tried, and the resulting string. /* PHP Circus (here be Elephants) */ $theKey="123412341234123412341234"; $theString="username=test123"; $strEncodedEnc=base64_encode(mcrypt_ecb (MCRYPT_3DES, $theKey, $theString, MCRYPT_ENCRYPT)); /* resulting string(strEncodedEnc): sfiSu4mVggia8Ysw98x0uw== */ As you can plainly see, we've got another string that differs from both the string expected by the payment processor AND the one produced by ColdFusion. Cue head-against-wall integration techniques. After many to-and-fro communications with the payment processor (lots and lots of reps stating 'we can't help with coding issues, you must be doing it incorrectly, read the manual') we were finally escalated to someone with more than a couple of brain-cells to rub together, who was able to step back and actually look at and diagnose the issue. He agreed, our CF and PHP attempts were not resulting in the correct string. After a quick search, he also agreed that it was not neccesarily our source, but rather how the two languages implemented their vision of the TripleDES standard. Coming into the office this morning, we were met by an email with a snippet of source code, in Perl. This is was the code they were directly using on their end to produce the expected token. #!/usr/bin/perl # Perl Crypt Calamity (here be...something) use strict; use CGI; use MIME::Base64; use Crypt::TripleDES; my $cgi = CGI->new(); my $param = $cgi->Vars(); $param->{key} = "123412341234123412341234"; $param->{string} = "username=test123"; my $des = Crypt::TripleDES->new(); my $enc = $des->encrypt3($param->{string}, $param->{key}); $enc = encode_base64($enc); $enc =~ s/\n//gs; # resulting string (enc): AYOF+kRtg239Mnyc8QIarw== So, there we have it. Three languages, three implementations of what they quote in the documentation as TripleDES Standard Encryption, and three totally different resulting strings. My question is, from your experience of these three languages and their implementations of the TripleDES algorithm, have you been able to get any two of them to give the same response, and if so what tweaks to the code did you have to make in order to come to the result? I understand this is a very drawn out question, but I wanted to give clear and precise setting for each stage of testing that we had to perform. I'll also be performing some more investigatory work on this subject later, and will post any findings that I come up with to this question, so that others may avoid this headache.

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  • Disable antialiasing for a specific GDI device context

    - by Jacob Stanley
    I'm using a third party library to render an image to a GDI DC and I need to ensure that any text is rendered without any smoothing/antialiasing so that I can convert the image to a predefined palette with indexed colors. The third party library i'm using for rendering doesn't support this and just renders text as per the current windows settings for font rendering. They've also said that it's unlikely they'll add the ability to switch anti-aliasing off any time soon. The best work around I've found so far is to call the third party library in this way (error handling and prior settings checks ommitted for brevity): private static void SetFontSmoothing(bool enabled) { int pv = 0; SystemParametersInfo(Spi.SetFontSmoothing, enabled ? 1 : 0, ref pv, Spif.None); } // snip Graphics graphics = Graphics.FromImage(bitmap) IntPtr deviceContext = graphics.GetHdc(); SetFontSmoothing(false); thirdPartyComponent.Render(deviceContext); SetFontSmoothing(true); This obviously has a horrible effect on the operating system, other applications flicker from cleartype enabled to disabled and back every time I render the image. So the question is, does anyone know how I can alter the font rendering settings for a specific DC? Even if I could just make the changes process or thread specific instead of affecting the whole operating system, that would be a big step forward! (That would give me the option of farming this rendering out to a separate process- the results are written to disk after rendering anyway) EDIT: I'd like to add that I don't mind if the solution is more complex than just a few API calls. I'd even be happy with a solution that involved hooking system dlls if it was only about a days work. EDIT: Background Information The third-party library renders using a palette of about 70 colors. After the image (which is actually a map tile) is rendered to the DC, I convert each pixel from it's 32-bit color back to it's palette index and store the result as an 8bpp greyscale image. This is uploaded to the video card as a texture. During rendering, I re-apply the palette (also stored as a texture) with a pixel shader executing on the video card. This allows me to switch and fade between different palettes instantaneously instead of needing to regenerate all the required tiles. It takes between 10-60 seconds to generate and upload all the tiles for a typical view of the world. EDIT: Renamed GraphicsDevice to Graphics The class GraphicsDevice in the previous version of this question is actually System.Drawing.Graphics. I had renamed it (using GraphicsDevice = ...) because the code in question is in the namespace MyCompany.Graphics and the compiler wasn't able resolve it properly. EDIT: Success! I even managed to port the PatchIat function below to C# with the help of Marshal.GetFunctionPointerForDelegate. The .NET interop team really did a fantastic job! I'm now using the following syntax, where Patch is an extension method on System.Diagnostics.ProcessModule: module.Patch( "Gdi32.dll", "CreateFontIndirectA", (CreateFontIndirectA original) => font => { font->lfQuality = NONANTIALIASED_QUALITY; return original(font); }); private unsafe delegate IntPtr CreateFontIndirectA(LOGFONTA* lplf); private const int NONANTIALIASED_QUALITY = 3; [StructLayout(LayoutKind.Sequential)] private struct LOGFONTA { public int lfHeight; public int lfWidth; public int lfEscapement; public int lfOrientation; public int lfWeight; public byte lfItalic; public byte lfUnderline; public byte lfStrikeOut; public byte lfCharSet; public byte lfOutPrecision; public byte lfClipPrecision; public byte lfQuality; public byte lfPitchAndFamily; public unsafe fixed sbyte lfFaceName [32]; }

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  • Technology to communicate with someone with expressive aphasia?

    - by rascher
    A family member had a stroke a few years back and now has expressive aphasia. She understands what is said to her, is cognitive of what is going on, but cannot express herself. She is able to respond to yes/no questions (do you want to go shopping? are you looking for your earrings?) She is not, however, able to read (English is not her native language and she hasn't read Hindi for decades.) I am the technologist in the family, and I intend to come up with something to help us communicate. The idea is to have some sort of picture book where she can point to what she wants. My first question: does some sort of assistive technology for people with expressive aphasia already exist? These can be hardware or software devices? If not, then such a software doesn't seem difficult to write. My initial thought is to have an interface with pictures - maybe separated by category (food, shopping) - where she can point to an individual picture to indicate what she needs. We could easily add more items with such a software, and we could have an interface where she (or we) could "flip pages". Which suggests that the best solution would use a touch screen rather than a mouse. It would be really difficult to train her to aim a mouse or find keys on a keyboard. We're thinking of maybe getting a tablet and writing some basic software. But tablets computers are expensive and fragile - I'm not sure if it would be able to stand spills or being knocked about in a nursing home. So my next question: what kind of tablet-like devices are out there which I can program on? I don't know anything about hardware, but if there is something then we could special-order it. What would be safe and durable for such a project? We could do something on an iPod or cell phone, but I feel like that interface would be too small. Finally, does anyone here have experience with this kind of assistive technology? Things I might not anticipate when designing such a system? edit I've added a (pretty hefty!) bounty. I'd kinda like to open this question up to any suggestions, comments, and experiences that people might have. This is a pretty real and important project, so while we will (are working on) a solution, any insights would be particularly helpful. Right now the plan is to mount a screen in her room. We'll either teach her to use a trackball or use a touch-screen panel, after seeing what she is able to use with a simple prototype. Then software akin to an old "hypercard" deck: ---------------------------------------------------------------- | -------------- -------------- | | | Clothes | | Food | ... | | -------------- -------------- | | | | Pic of item 1 Pic of item 2 Pic of item 3 | | | | | | | | | | Pic of item 4 Pic of item 5 Pic of item 6 | | | | | | | | | | <-Back Next-> | ---------------------------------------------------------------- commentcommentcomment!

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  • Export GridView to Excel

    - by nCdy
    using Matt's util code (a bit edited for Unicode text) public class GridViewExportUtil { /// <param name="fileName"></param> /// <param name="gv"></param> public static void Export(string fileName, GridView gv) { HttpContext.Current.Response.Clear(); HttpContext.Current.Response.ContentType = "application/ms-excel"; HttpContext.Current.Response.Cache.SetCacheability(HttpCacheability.NoCache); HttpContext.Current.Response.Charset = System.Text.Encoding.Unicode.EncodingName; HttpContext.Current.Response.ContentEncoding = System.Text.Encoding.Unicode; HttpContext.Current.Response.BinaryWrite(System.Text.Encoding.Unicode.GetPreamble()); HttpContext.Current.Response.AddHeader( "content-disposition", string.Format(//"content-disposition", "attachment; filename=Report.xml"));//, fileName)); // Need .XLS file using (StringWriter sw = new StringWriter()) { using (HtmlTextWriter htw = new HtmlTextWriter(sw)) { // Create a form to contain the grid Table table = new Table(); // add the header row to the table if (gv.HeaderRow != null) { GridViewExportUtil.PrepareControlForExport(gv.HeaderRow); table.Rows.Add(gv.HeaderRow); } // add each of the data rows to the table foreach (GridViewRow row in gv.Rows) { GridViewExportUtil.PrepareControlForExport(row); table.Rows.Add(row); } // add the footer row to the table if (gv.FooterRow != null) { GridViewExportUtil.PrepareControlForExport(gv.FooterRow); table.Rows.Add(gv.FooterRow); } // render the table into the htmlwriter table.RenderControl(htw); // render the htmlwriter into the response HttpContext.Current.Response.Write(sw.ToString()); HttpContext.Current.Response.End(); } } } /// <summary> /// Replace any of the contained controls with literals /// </summary> /// <param name="control"></param> private static void PrepareControlForExport(Control control) { for (int i = 0; i < control.Controls.Count; i++) { Control current = control.Controls[i]; if (current is LinkButton) { control.Controls.Remove(current); control.Controls.AddAt(i, new LiteralControl((current as LinkButton).Text)); } else if (current is ImageButton) { control.Controls.Remove(current); control.Controls.AddAt(i, new LiteralControl((current as ImageButton).AlternateText)); } else if (current is HyperLink) { control.Controls.Remove(current); control.Controls.AddAt(i, new LiteralControl((current as HyperLink).Text)); } else if (current is DropDownList) { control.Controls.Remove(current); control.Controls.AddAt(i, new LiteralControl((current as DropDownList).SelectedItem.Text)); } else if (current is CheckBox) { control.Controls.Remove(current); control.Controls.AddAt(i, new LiteralControl((current as CheckBox).Checked ? "True" : "False")); } if (current.HasControls()) { GridViewExportUtil.PrepareControlForExport(current); } } } Question : How to make downloaded file editable (not Read only) And ... XLS wont opens with Unicode format. When I changing format to UTF8 I can't see Russian words :S Second question : How to make Unicode for .xls Third question : How can I save table lines ? Thank you.

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  • Calculating negative fractions in Objective C

    - by Mark Reid
    I've been coding my way through Steve Kochan's Programming in Objective-C 2.0 book. I'm up to an exercise in chapter 7, ex 4, in case anyone has the book. The question posed by the exercise it will the Fraction class written work with negative fractions such as -1/2 + -2/3? Here's the implementation code in question - @implementation Fraction @synthesize numerator, denominator; -(void) print { NSLog(@"%i/%i", numerator, denominator); } -(void) setTo: (int) n over: (int) d { numerator = n; denominator = d; } -(double) convertToNum { if (denominator != 0) return (double) numerator / denominator; else return 1.0; } -(Fraction *) add: (Fraction *) f { // To add two fractions: // a/b + c/d = ((a * d) + (b * c)) / (b * d) // result will store the result of the addition Fraction *result = [[Fraction alloc] init]; int resultNum, resultDenom; resultNum = (numerator * f.denominator) + (denominator * f.numerator); resultDenom = denominator * f.denominator; [result setTo: resultNum over: resultDenom]; [result reduce]; return result; } -(Fraction *) subtract: (Fraction *) f { // To subtract two fractions: // a/b - c/d = ((a * d) - (b * c)) / (b * d) // result will store the result of the addition Fraction *result = [[Fraction alloc] init]; int resultNum, resultDenom; resultNum = numerator * f.denominator - denominator * f.numerator; resultDenom = denominator * f.denominator; [result setTo: resultNum over: resultDenom]; [result reduce]; return result; } -(Fraction *) multiply: (Fraction *) f { // To multiply two fractions // a/b * c/d = (a*c) / (b*d) // result will store the result of the addition Fraction *result = [[Fraction alloc] init]; int resultNum, resultDenom; resultNum = numerator * f.numerator; resultDenom = denominator * f.denominator; [result setTo: resultNum over: resultDenom]; [result reduce]; return result; } -(Fraction *) divide: (Fraction *) f { // To divide two fractions // a/b / c/d = (a*d) / (b*c) // result will store the result of the addition Fraction *result = [[Fraction alloc] init]; int resultNum, resultDenom; resultNum = numerator * f.denominator; resultDenom = denominator * f.numerator; [result setTo: resultNum over: resultDenom]; [result reduce]; return result; } -(void) reduce { int u = numerator; int v = denominator; int temp; while (v != 0) { temp = u % v; u = v; v = temp; } numerator /= u; denominator /= u; } @end My question to you is will it work with negative fractions and can you explain how you know? Part of the issue is I don't know how to calculate negative fractions myself so I'm not too sure how to know. Many thanks.

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  • Java: how to do fast copy of a BufferedImage's pixels? (include unit test)

    - by WizardOfOdds
    I want to do a copy (of a rectangle area) of the ARGB values from a source BufferedImage into a destination BufferedImage. No compositing should be done: if I copy a pixel with an ARGB value of 0x8000BE50 (alpha value at 128), then the destination pixel must be exactly 0x8000BE50, totally overriding the destination pixel. I've got a very precise question and I made a unit test to show what I need. The unit test is fully functional and self-contained and is passing fine and is doing precisely what I want. However, I want a faster and more memory efficient method to replace copySrcIntoDstAt(...). That's the whole point of my question: I'm not after how to "fill" the image in a faster way (what I did is just an example to have a unit test). All I want is to know what would be a fast and memory efficient way to do it (ie fast and not creating needless objects). The proof-of-concept implementation I've made is obviously very memory efficient, but it is slow (doing one getRGB and one setRGB for every pixel). Schematically, I've got this: (where A indicates corresponding pixels from the destination image before the copy) AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAAAAAAAAA And I want to have this: AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAAAAAAAAA AAAAAAAAAAAAABBBBAAA AAAAAAAAAAAAABBBBAAA AAAAAAAAAAAAAAAAAAAA where 'B' represents the pixels from the src image. I'm looking for an exact replacement of the method, not for an API link/quote. import org.junit.Test; import java.awt.image.BufferedImage; import static org.junit.Assert.*; public class TestCopy { private static final int COL1 = 0x8000BE50; // alpha at 128 private static final int COL2 = 0x1732FE87; // alpha at 23 @Test public void testPixelsCopy() { final BufferedImage src = new BufferedImage( 5, 5, BufferedImage.TYPE_INT_ARGB ); final BufferedImage dst = new BufferedImage( 20, 20, BufferedImage.TYPE_INT_ARGB ); convenienceFill( src, COL1 ); convenienceFill( dst, COL2 ); copySrcIntoDstAt( src, dst, 3, 4 ); for (int x = 0; x < dst.getWidth(); x++) { for (int y = 0; y < dst.getHeight(); y++) { if ( x >= 3 && x <= 7 && y >= 4 && y <= 8 ) { assertEquals( COL1, dst.getRGB(x,y) ); } else { assertEquals( COL2, dst.getRGB(x,y) ); } } } } // clipping is unnecessary private static void copySrcIntoDstAt( final BufferedImage src, final BufferedImage dst, final int dx, final int dy ) { // TODO: replace this by a much more efficient method for (int x = 0; x < src.getWidth(); x++) { for (int y = 0; y < src.getHeight(); y++) { dst.setRGB( dx + x, dy + y, src.getRGB(x,y) ); } } } // This method is just a convenience method, there's // no point in optimizing this method, this is not what // this question is about private static void convenienceFill( final BufferedImage bi, final int color ) { for (int x = 0; x < bi.getWidth(); x++) { for (int y = 0; y < bi.getHeight(); y++) { bi.setRGB( x, y, color ); } } } }

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  • Better, simpler example of 'semantic conflict'?

    - by rhubbarb
    I like to distinguish three different types of conflict from a version control system (VCS): textual syntactic semantic A textual conflict is one that is detected by the merge or update process. This is flagged by the system. A commit of the result is not permitted by the VCS until the conflict is resolved. A syntactic conflict is not flagged by the VCS, but the result will not compile. Therefore this should also be picked up by even a slightly careful programmer. (A simple example might be a variable rename by Left and some added lines using that variable by Right. The merge will probably have an unresolved symbol. Alternatively, this might introduce a semantic conflict by variable hiding.) Finally, a semantic conflict is not flagged by the VCS, the result compiles, but the code may have problems running. In mild cases, incorrect results are produced. In severe cases, a crash could be introduced. Even these should be detected before commit by a very careful programmer, through either code review or unit testing. My example of a semantic conflict uses SVN (Subversion) and C++, but those choices are not really relevant to the essence of the question. The base code is: int i = 0; int odds = 0; while (i < 10) { if ((i & 1) != 0) { odds *= 10; odds += i; } // next ++ i; } assert (odds == 13579) The Left (L) and Right (R) changes are as follows. Left's 'optimisation' (changing the values the loop variable takes): int i = 1; // L int odds = 0; while (i < 10) { if ((i & 1) != 0) { odds *= 10; odds += i; } // next i += 2; // L } assert (odds == 13579) Right's 'optimisation' (changing how the loop variable is used): int i = 0; int odds = 0; while (i < 5) // R { odds *= 10; odds += 2 * i + 1; // R // next ++ i; } assert (odds == 13579) This is the result of a merge or update, and is not detected by SVN (which is correct behaviour for the VCS). int i = 1; // L int odds = 0; while (i < 5) // R { odds *= 10; odds += 2 * i + 1; // R // next i += 2; // L } assert (odds == 13579) The assert fails because odds is 37. So my question is as follows. Is there a simpler example than this? Is there a simple example where the compiled executable has a new crash? As a secondary question, are there cases of this that you have encountered in real code? Again, simple examples are especially welcome.

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  • How to design a C / C++ library to be usable in many client languages?

    - by Brian Schimmel
    I'm planning to code a library that should be usable by a large number of people in on a wide spectrum of platforms. What do I have to consider to design it right? To make this questions more specific, there are four "subquestions" at the end. Choice of language Considering all the known requirements and details, I concluded that a library written in C or C++ was the way to go. I think the primary usage of my library will be in programs written in C, C++ and Java SE, but I can also think of reasons to use it from Java ME, PHP, .NET, Objective C, Python, Ruby, bash scrips, etc... Maybe I cannot target all of them, but if it's possible, I'll do it. Requirements It would be to much to describe the full purpose of my library here, but there are some aspects that might be important to this question: The library itself will start out small, but definitely will grow to enormous complexity, so it is not an option to maintain several versions in parallel. Most of the complexity will be hidden inside the library, though The library will construct an object graph that is used heavily inside. Some clients of the library will only be interested in specific attributes of specific objects, while other clients must traverse the object graph in some way Clients may change the objects, and the library must be notified thereof The library may change the objects, and the client must be notified thereof, if it already has a handle to that object The library must be multi-threaded, because it will maintain network connections to several other hosts While some requests to the library may be handled synchronously, many of them will take too long and must be processed in the background, and notify the client on success (or failure) Of course, answers are welcome no matter if they address my specific requirements, or if they answer the question in a general way that matters to a wider audience! My assumptions, so far So here are some of my assumptions and conclusions, which I gathered in the past months: Internally I can use whatever I want, e.g. C++ with operator overloading, multiple inheritance, template meta programming... as long as there is a portable compiler which handles it (think of gcc / g++) But my interface has to be a clean C interface that does not involve name mangling Also, I think my interface should only consist of functions, with basic/primitive data types (and maybe pointers) passed as parameters and return values If I use pointers, I think I should only use them to pass them back to the library, not to operate directly on the referenced memory For usage in a C++ application, I might also offer an object oriented interface (Which is also prone to name mangling, so the App must either use the same compiler, or include the library in source form) Is this also true for usage in C# ? For usage in Java SE / Java EE, the Java native interface (JNI) applies. I have some basic knowledge about it, but I should definitely double check it. Not all client languages handle multithreading well, so there should be a single thread talking to the client For usage on Java ME, there is no such thing as JNI, but I might go with Nested VM For usage in Bash scripts, there must be an executable with a command line interface For the other client languages, I have no idea For most client languages, it would be nice to have kind of an adapter interface written in that language. I think there are tools to automatically generate this for Java and some others For object oriented languages, it might be possible to create an object oriented adapter which hides the fact that the interface to the library is function based - but I don't know if its worth the effort Possible subquestions is this possible with manageable effort, or is it just too much portability? are there any good books / websites about this kind of design criteria? are any of my assumptions wrong? which open source libraries are worth studying to learn from their design / interface / souce? meta: This question is rather long, do you see any way to split it into several smaller ones? (If you reply to this, do it as a comment, not as an answer)

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  • Appropriate programming design questions.

    - by Edward
    I have a few questions on good programming design. I'm going to first describe the project I'm building so you are better equipped to help me out. I am coding a Remote Assistance Tool similar to TeamViewer, Microsoft Remote Desktop, CrossLoop. It will incorporate concepts like UDP networking (using Lidgren networking library), NAT traversal (since many computers are invisible behind routers nowadays), Mirror Drivers (using DFMirage's Mirror Driver (http://www.demoforge.com/dfmirage.htm) for realtime screen grabbing on the remote computer). That being said, this program has a concept of being a client-server architecture, but I made only one program with both the functionality of client and server. That way, when the user runs my program, they can switch between giving assistance and receiving assistance without having to download a separate client or server module. I have a Windows Form that allows the user to choose between giving assistance and receiving assistance. I have another Windows Form for a file explorer module. I have another Windows Form for a chat module. I have another Windows Form form for a registry editor module. I have another Windows Form for the live control module. So I've got a Form for each module, which raises the first question: 1. Should I process module-specific commands inside the code of the respective Windows Form? Meaning, let's say I get a command with some data that enumerates the remote user's files for a specific directory. Obviously, I would have to update this on the File Explorer Windows Form and add the entries to the ListView. Should I be processing this code inside the Windows Form though? Or should I be handling this in another class (although I have to eventually pass the data to the Form to draw, of course). Or is it like a hybrid in which I process most of the data in another class and pass the final result to the Form to draw? So I've got like 5-6 forms, one for each module. The user starts up my program, enters the remote machine's ID (not IP, ID, because we are registering with an intermediary server to enable NAT traversal), their password, and connects. Now let's suppose the connection is successful. Then the user is presented with a form with all the different modules. So he can open up a File Explorer, or he can mess with the Registry Editor, or he can choose to Chat with his buddy. So now the program is sort of idle, just waiting for the user to do something. If the user opens up Live Control, then the program will be spending most of it's time receiving packets from the remote machine and drawing them to the form to provide a 'live' view. 2. Second design question. A spin off question #1. How would I pass module-specific commands to their respective Windows Forms? What I mean is, I have a class like "NetworkHandler.cs" that checks for messages from the remote machine. NetworkHandler.cs is a static class globally accessible. So let's say I get a command that enumerates the remote user's files for a specific directory. How would I "give" that command to the File Explorer Form. I was thinking of making an OnCommandReceivedEvent inside NetworkHandler, and having each form register to that event. When the NetworkHandler received a command, it would raise the event, all forms would check it to see if it was relevant, and the appropriate form would take action. Is this an appropriate/the best solution available? 3. The networking library I'm using, Lidgren, provides two options for checking networking messages. One can either poll ReadMessage() to return null or a message, or one can use an AutoResetEvent OnMessageReceived (I'm guessing this is like an event). Which one is more appropriate?

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  • [C#][Design] Appropriate programming design questions.

    - by Edward
    I have a few questions on good programming design. I'm going to first describe the project I'm building so you are better equipped to help me out. I am coding a Remote Assistance Tool similar to TeamViewer, Microsoft Remote Desktop, CrossLoop. It will incorporate concepts like UDP networking (using Lidgren networking library), NAT traversal (since many computers are invisible behind routers nowadays), Mirror Drivers (using DFMirage's Mirror Driver (http://www.demoforge.com/dfmirage.htm) for realtime screen grabbing on the remote computer). That being said, this program has a concept of being a client-server architecture, but I made only one program with both the functionality of client and server. That way, when the user runs my program, they can switch between giving assistance and receiving assistance without having to download a separate client or server module. I have a Windows Form that allows the user to choose between giving assistance and receiving assistance. I have another Windows Form for a file explorer module. I have another Windows Form for a chat module. I have another Windows Form form for a registry editor module. I have another Windows Form for the live control module. So I've got a Form for each module, which raises the first question: 1. Should I process module-specific commands inside the code of the respective Windows Form? Meaning, let's say I get a command with some data that enumerates the remote user's files for a specific directory. Obviously, I would have to update this on the File Explorer Windows Form and add the entries to the ListView. Should I be processing this code inside the Windows Form though? Or should I be handling this in another class (although I have to eventually pass the data to the Form to draw, of course). Or is it like a hybrid in which I process most of the data in another class and pass the final result to the Form to draw? So I've got like 5-6 forms, one for each module. The user starts up my program, enters the remote machine's ID (not IP, ID, because we are registering with an intermediary server to enable NAT traversal), their password, and connects. Now let's suppose the connection is successful. Then the user is presented with a form with all the different modules. So he can open up a File Explorer, or he can mess with the Registry Editor, or he can choose to Chat with his buddy. So now the program is sort of idle, just waiting for the user to do something. If the user opens up Live Control, then the program will be spending most of it's time receiving packets from the remote machine and drawing them to the form to provide a 'live' view. 2. Second design question. A spin off question #1. How would I pass module-specific commands to their respective Windows Forms? What I mean is, I have a class like "NetworkHandler.cs" that checks for messages from the remote machine. NetworkHandler.cs is a static class globally accessible. So let's say I get a command that enumerates the remote user's files for a specific directory. How would I "give" that command to the File Explorer Form. I was thinking of making an OnCommandReceivedEvent inside NetworkHandler, and having each form register to that event. When the NetworkHandler received a command, it would raise the event, all forms would check it to see if it was relevant, and the appropriate form would take action. Is this an appropriate/the best solution available? 3. The networking library I'm using, Lidgren, provides two options for checking networking messages. One can either poll ReadMessage() to return null or a message, or one can use an AutoResetEvent OnMessageReceived (I'm guessing this is like an event). Which one is more appropriate?

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  • Code in FOR loop not executed

    - by androniennn
    I have a ProgressDialog that retrieves in background data from database by executing php script. I'm using gson Google library. php script is working well when executed from browser: {"surveys":[{"id_survey":"1","question_survey":"Are you happy with the actual government?","answer_yes":"50","answer_no":"20"}],"success":1} However, ProgressDialog background treatment is not working well: @Override protected Void doInBackground(Void... params) { String url = "http://192.168.1.4/tn_surveys/get_all_surveys.php"; HttpGet getRequest = new HttpGet(url); Log.d("GETREQUEST",getRequest.toString()); try { DefaultHttpClient httpClient = new DefaultHttpClient(); Log.d("URL1",url); HttpResponse getResponse = httpClient.execute(getRequest); Log.d("GETRESPONSE",getResponse.toString()); final int statusCode = getResponse.getStatusLine().getStatusCode(); Log.d("STATUSCODE",Integer.toString(statusCode)); Log.d("HTTPSTATUSOK",Integer.toString(HttpStatus.SC_OK)); if (statusCode != HttpStatus.SC_OK) { Log.w(getClass().getSimpleName(), "Error " + statusCode + " for URL " + url); return null; } HttpEntity getResponseEntity = getResponse.getEntity(); Log.d("RESPONSEENTITY",getResponseEntity.toString()); InputStream httpResponseStream = getResponseEntity.getContent(); Log.d("HTTPRESPONSESTREAM",httpResponseStream.toString()); Reader inputStreamReader = new InputStreamReader(httpResponseStream); Gson gson = new Gson(); this.response = gson.fromJson(inputStreamReader, Response.class); } catch (IOException e) { getRequest.abort(); Log.w(getClass().getSimpleName(), "Error for URL " + url, e); } return null; } @Override protected void onPostExecute(Void result) { super.onPostExecute(result); Log.d("HELLO","HELLO"); StringBuilder builder = new StringBuilder(); Log.d("STRINGBUILDER","STRINGBUILDER"); for (Survey survey : this.response.data) { String x= survey.getQuestion_survey(); Log.d("QUESTION",x); builder.append(String.format("<br>ID Survey: <b>%s</b><br> <br>Question: <b>%s</b><br> <br>Answer YES: <b>%s</b><br> <br>Answer NO: <b>%s</b><br><br><br>", survey.getId_survey(), survey.getQuestion_survey(),survey.getAnswer_yes(),survey.getAnswer_no())); } Log.d("OUT FOR","OUT"); capitalTextView.setText(Html.fromHtml(builder.toString())); progressDialog.cancel(); } HELLO Log is displayed. STRINGBUILDER Log is displayed. QUESTION Log is NOT displayed. OUT FOR Log is displayed. Survey Class: public class Survey { int id_survey; String question_survey; int answer_yes; int answer_no; public Survey() { this.id_survey = 0; this.question_survey = ""; this.answer_yes=0; this.answer_no=0; } public int getId_survey() { return id_survey; } public String getQuestion_survey() { return question_survey; } public int getAnswer_yes() { return answer_yes; } public int getAnswer_no() { return answer_no; } } Response Class: public class Response { ArrayList<Survey> data; public Response() { data = new ArrayList<Survey>(); } } Any help please concerning WHY the FOR loop is not executed. Thank you for helping.

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  • Use component id in Castle Windsor generic object configuration

    - by ChoccyButton
    2 questions in one, but very much related. Is it possible with Castle Windsor to resolve a configuration entry such as - Assembly.Namespace.Object1`2[[${ComponentId1}],[${ComponentId2}]], Assembly Where ComponentId1 and ComponentId2 are defined as components. Castle Windsor doesn't seem to be resolving the ComponentId, it is just looking for ComponentId1 in the Castle.Windsor assembly. The second question comes in to play if you can't do the first question. If you have to use a full assembly reference instead of a ComponentId, how can you pass any parameters to the object being created? eg to set ComponentId1.Field1 = "blah", or pass something to the constructor of ComponentId1 Hope that makes sense Update - Following the request for code I've knocked together the following - Objects public class Wrapper<T, T1> where T : ICollector where T1:IProcessor { private T _collector; private T1 _processor; public Wrapper(T collector, T1 processor) { _collector = collector; _processor = processor; } public void GetData() { _collector.CollectData(); _processor.ProcessData(); } } public class Collector1 : ICollector { public void CollectData() { Console.WriteLine("Collecting data from Collector1 ..."); } } public class Processor1 : IProcessor { public void ProcessData() { Console.WriteLine("Processing data from Processor1 ..."); } } repeated so 3 of each type of object in the example Config <components> <component id="Collector1" service="CastleWindsorPlay.ICollector, CastleWindsorPlay" type="CastleWindsorPlay.Collector1, CastleWindsorPlay"/> <component id="Collector2" service="CastleWindsorPlay.ICollector, CastleWindsorPlay" type="CastleWindsorPlay.Collector2, CastleWindsorPlay"/> <component id="Collector3" service="CastleWindsorPlay.ICollector, CastleWindsorPlay" type="CastleWindsorPlay.Collector3, CastleWindsorPlay"/> <component id="Processor1" service="CastleWindsorPlay.IProcessor, CastleWindsorPlay" type="CastleWindsorPlay.Processor1, CastleWindsorPlay"/> <component id="Processor2" service="CastleWindsorPlay.IProcessor, CastleWindsorPlay" type="CastleWindsorPlay.Processor2, CastleWindsorPlay"/> <component id="Processor3" service="CastleWindsorPlay.IProcessor, CastleWindsorPlay" type="CastleWindsorPlay.Processor3, CastleWindsorPlay"/> <component id="Wrapper1" type="CastleWindsorPlay.Wrapper`2[[CastleWindsorPlay.Collector1, CastleWindsorPlay],[CastleWindsorPlay.Processor3, CastleWindsorPlay]], CastleWindsorPlay" /> </components> Instantiation var wrapper = (Wrapper<ICollector, IProcessor>) container.Resolve("Wrapper1"); wrapper.GetData(); This brief example errors with this error message though - Can't create component 'Wrapper1' as it has dependencies to be satisfied. Wrapper1 is waiting for the following dependencies: Services: - CastleWindsorPlay.Collector1 which was not registered. - CastleWindsorPlay.Processor3 which was not registered. The curious part about this is that I can get it to resolve Collector1 and Processor3 individually before the call to the wrapper, but the wrapper still can't see them. This is a basic example, the next thing I'd like to be able to do is when instantiating the Wrapper, set a property on the collector and/or processor. So it could be something like Collector.Id = 10, but set in the config where the wrapper is defined. Setting against the Collector component definition wouldn't work as I'd want to be able to instantiate multiple copies of each Collector, using different Id's Update 2 What I'm actually trying to do is have - <components> <component id="Wrapper1" type="CastleWindsorPlay.Wrapper`2[${Collector1}(id=1)],[${Processor3}]], CastleWindsorPlay" /> <component id="Wrapper2" type="CastleWindsorPlay.Wrapper`2[${Collector1}(id=3)],[${Processor3}]], CastleWindsorPlay" /> </components> Then have another object defined as <component id="Manager" type="CastleWindsorPlay.Manager,CastleWindsorPlay"> <parameters> <wrappers> <array> <item>${Wrapper1}</item> <item>${Wrapper2}</item> </array> </wrappers> </parameters> Then finally in code just be able to call - var manager = (Manager)container.Resolve("Manager"); This should return the manager object, with an array of wrappers populated and the wrappers configured with the correct Collector and Convertor. I know there are errors in the Castle config here, that's why I'm asking the question, I don't know how to set the config up to do what I'm after, or even if it's possible to do it in Castle Windsor

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  • Jquery autocomplete UI - No results on multiple fields

    - by pjammer
    Andrew's answer to my comment has sparked this question. According to his awesome answer in the link above, the code at the bottom of the question will only work for ONE widget. But it's killer nice code and makes sense... I guess I want the best of both worlds. Nice JS, (if that is possible) and to have the zero results show() just the element that we're using at the time. This code snippet is the main crux of my problem, as I see it: source: function (request, response) { jQuery.ajax({ url: "/autocomplete.json", data: { term: request.term }, success: function (data) { if (data.length == 0) { jQuery('span.guest_investor_email').show(); jQuery('span.investor_field_delete_button').show(); } response(data); } }); Currently: I have a button on my page that says "Add more Information" and each time you click it, a new instance of the autocomplete text field appears, complete with some hidden fields and a display:none; on guest_investor_email. If I use the autocomplete text field, say 3 times, and i have 3 autocomplete instances on the page and the third one finds 0 results: The code will show() all 3 instances of the guest_investor_email text field, instead of just this one that is blank. QUESTION: How do i get something like jQuery(this).siblings(('span.guest_investor_email').show(); to work? this is an Object and not an array of elements to select. If it isn't with this I don't mind, as long as I know how to get at it. Thanks. Full Code: jQuery(".auto_search_complete").live("click", function() { jQuery(this).autocomplete({ minLength: 3, source: function (request, response) { jQuery.ajax({ url: "/autocomplete.json", data: { term: request.term }, success: function (data) { if (data.length == 0) { jQuery('span.guest_investor_email').show(); jQuery('span.investor_field_delete_button').show(); } response(data); } }); }, focus: function(event, ui) { jQuery(this).val(ui.item.user ? ui.item.user.name : ui.item.pitch.name); return false; }, select: function(event, ui) { jQuery(this).val(ui.item.user ? ui.item.user.name : ui.item.pitch.name); jQuery(this).siblings('div.hidden_fields').children('.poly_id').val(ui.item.user ? ui.item.user.id : ui.item.pitch.id); jQuery(this).siblings('div.hidden_fields').children('.poly_type').val(ui.item.user ? "User" : "Pitch"); jQuery(this).siblings('span.guest_investor_email').hide(); jQuery(this).siblings('span.investor_field_delete_button').show(); jQuery(this).attr('readonly','readonly'); jQuery(this).attr('id', "investor-selected"); return false; } }).each(function() { jQuery(this).data( "autocomplete" )._renderItem = function( ul, item ) { return jQuery( "" ) .data( "item.autocomplete", item ) .append("" + (item.user ? item.user.name : item.pitch.name) + "" + (item.user ? item.user.investor_type : item.pitch.investor_type) + " - " + (item.user ? item.user.city : item.pitch.city) + "" ) .appendTo( ul ); }; }); });

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  • Where are the function address literals in c++?

    - by academicRobot
    First of all, maybe literals is not the right term for this concept, but its the closest I could think of (not literals in the sense of functions as first class citizens). <UPDATE> After some reading with help from answer by Chris Dodd, what I'm looking for is literal function addresses as template parameters. Chris' answer indicates how to do this for standard functions, but how can the addresses of member functions be used as template parameters? Since the standard prohibits non-static member function addresses as template parameters (c++03 14.3.2.3), I suspect the work around is quite complicated. Any ideas for a workaround? Below the original form of the question is left as is for context. </UPDATE> The idea is that when you make a conventional function call, it compiles to something like this: callq <immediate address> But if you make a function call using a function pointer, it compiles to something like this: mov <memory location>,%rax callq *%rax Which is all well and good. However, what if I'm writing a template library that requires a callback of some sort with a specified argument list and the user of the library is expected to know what function they want to call at compile time? Then I would like to write my template to accept a function literal as a template parameter. So, similar to template <int int_literal> struct my_template {...};` I'd like to write template <func_literal_t func_literal> struct my_template {...}; and have calls to func_literal within my_template compile to callq <immediate address>. Is there a facility in C++ for this, or a work around to achieve the same effect? If not, why not (e.g. some cataclysmic side effects)? How about C++0x or another language? Solutions that are not portable are fine. Solutions that include the use of member function pointers would be ideal. I'm not particularly interested in being told "You are a <socially unacceptable term for a person of low IQ>, just use function pointers/functors." This is a curiosity based question, and it seems that it might be useful in some (albeit limited) applications. It seems like this should be possible since function names are just placeholders for a (relative) memory address, so why not allow more liberal use (e.g. aliasing) of this placeholder. p.s. I use function pointers and functions objects all the the time and they are great. But this post got me thinking about the don't pay for what you don't use principle in relation to function calls, and it seems like forcing the use of function pointers or similar facility when the function is known at compile time is a violation of this principle, though a small one. Edit The intent of this question is not to implement delegates, rather to identify a pattern that will embed a conventional function call, (in immediate mode) directly into third party code, possibly a template.

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  • "didChangeSection:" NSfetchedResultsController delegate method not being called

    - by robenk
    I have a standard split view controller, with a detail view and a table view. Pressing a button in the detail view can cause the an object to change its placement in the table view's ordering. This works fine, as long as the resulting ordering change doesn't result in a section being added or removed. I.e. an object can change it's ordering in a section or switch from one section to another. Those ordering changes work correctly without problems. But, if the object tries to move to a section that doesn't exist yet, or is the last object to leave a section (therefore requiring the section its leaving to be removed), then the application crashes. NSFetchedResultsControllerDelegate has methods to handle sections being added and removed that should be called in those cases. But those delegate methods aren't being called for some reason. The code in question, is boilerplate: - (void)controllerWillChangeContent:(NSFetchedResultsController *)controller { NSLog(@"willChangeContent"); [self.tableView beginUpdates]; } - (void)controller:(NSFetchedResultsController *)controller didChangeSection:(id <NSFetchedResultsSectionInfo>)sectionInfo atIndex:(NSUInteger)sectionIndex forChangeType:(NSFetchedResultsChangeType)type { NSLog(@"didChangeSection"); switch(type) { case NSFetchedResultsChangeInsert: [self.tableView insertSections:[NSIndexSet indexSetWithIndex:sectionIndex] withRowAnimation:UITableViewRowAnimationFade]; break; case NSFetchedResultsChangeDelete: [self.tableView deleteSections:[NSIndexSet indexSetWithIndex:sectionIndex] withRowAnimation:UITableViewRowAnimationFade]; break; } } - (void)controller:(NSFetchedResultsController *)controller didChangeObject:(id)anObject atIndexPath:(NSIndexPath *)indexPath forChangeType:(NSFetchedResultsChangeType)type newIndexPath:(NSIndexPath *)newIndexPath { NSLog(@"didChangeObject"); UITableView *tableView = self.tableView; switch(type) { case NSFetchedResultsChangeInsert: [tableView insertRowsAtIndexPaths:[NSArray arrayWithObject:newIndexPath] withRowAnimation:UITableViewRowAnimationFade]; break; case NSFetchedResultsChangeDelete: [tableView deleteRowsAtIndexPaths:[NSArray arrayWithObject:indexPath] withRowAnimation:UITableViewRowAnimationFade]; break; case NSFetchedResultsChangeUpdate: [self configureCell:[tableView cellForRowAtIndexPath:indexPath] atIndexPath:indexPath]; break; case NSFetchedResultsChangeMove: [tableView deleteRowsAtIndexPaths:[NSArray arrayWithObject:indexPath] withRowAnimation:UITableViewRowAnimationFade]; [tableView insertRowsAtIndexPaths:[NSArray arrayWithObject:newIndexPath]withRowAnimation:UITableViewRowAnimationFade]; break; } } - (void)controllerDidChangeContent:(NSFetchedResultsController *)controller { NSLog(@"didChangeContent"); [self.tableView endUpdates]; [detailViewController.reminderView update]; } Starting the application, and then causing the last object to leave a section results in the following output: 2011-01-08 23:40:18.910 Reminders[54647:207] willChangeContent 2011-01-08 23:40:18.912 Reminders[54647:207] didChangeObject 2011-01-08 23:40:18.914 Reminders[54647:207] didChangeContent 2011-01-08 23:40:18.915 Reminders[54647:207] *** Assertion failure in -[UITableView _endCellAnimationsWithContext:], /SourceCache/UIKit_Sim/UIKit-1145.66/UITableView.m:825 2011-01-08 23:40:18.917 Reminders[54647:207] Serious application error. Exception was caught during Core Data change processing: Invalid update: invalid number of sections. The number of sections contained in the table view after the update (5) must be equal to the number of sections contained in the table view before the update (6), plus or minus the number of sections inserted or deleted (0 inserted, 0 deleted). with userInfo (null) As you can see, "willChangeContent", "didChangeObject" (moving the object in question), and "didChangeContent" were all called properly. Based on the Apple's NSFetchedResultsControllerDelegate documentation "didChangeSection" should have been called before "didChangeObject", which would have prevented the exception causing the crash. So I guess the question is how do I assure that didChangeSection gets called? Thanks in advance for any help!

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  • What is the best practice when coding math class/functions ?

    - by Isaac Clarke
    Introductory note : I voluntarily chose a wide subject. You know that quote about learning a cat to fish, that's it. I don't need an answer to my question, I need an explanation and advice. I know you guys are good at this ;) Hi guys, I'm currently implementing some algorithms into an existing program. Long story short, I created a new class, "Adder". An Adder is a member of another class representing the physical object actually doing the calculus , which calls adder.calc() with its parameters (merely a list of objects to do the maths on). To do these maths, I need some parameters, which do not exist outside of the class (but can be set, see below). They're neither config parameters nor members of other classes. These parameters are D1 and D2, distances, and three arrays of fixed size : alpha, beta, delta. I know some of you are more comfortable reading code than reading text so here you go : class Adder { public: Adder(); virtual Adder::~Adder(); void set( float d1, float d2 ); void set( float d1, float d2, int alpha[N_MAX], int beta[N_MAX], int delta[N_MAX] ); // Snipped prototypes float calc( List& ... ); // ... inline float get_d1() { return d1_ ;}; inline float get_d2() { return d2_ ;}; private: float d1_; float d2_; int alpha_[N_MAX]; // A #define N_MAX is done elsewhere int beta_[N_MAX]; int delta_[N_MAX]; }; Since this object is used as a member of another class, it is declared in a *.h : private: Adder adder_; By doing that, I couldn't initialize the arrays (alpha/beta/delta) directly in the constructor ( int T[3] = { 1, 2, 3 }; ), without having to iterate throughout the three arrays. I thought of putting them in static const, but I don't think that's the proper way of solving such problems. My second guess was to use the constructor to initialize the arrays Adder::Adder() { int alpha[N_MAX] = { 0, -60, -120, 180, 120, 60 }; int beta[N_MAX] = { 0, 0, 0, 0, 0, 0 }; int delta[N_MAX] = { 0, 0, 180, 180, 180, 0 }; set( 2.5, 0, alpha, beta, delta ); } void Adder::set( float d1, float d2 ) { if (d1 > 0) d1_ = d1; if (d2 > 0) d2_ = d2; } void Adder::set( float d1, float d2, int alpha[N_MAX], int beta[N_MAX], int delta[N_MAX] ) { set( d1, d2 ); for (int i = 0; i < N_MAX; ++i) { alpha_[i] = alpha[i]; beta_[i] = beta[i]; delta_[i] = delta[i]; } } My question is : Would it be better to use another function - init() - which would initialize arrays ? Or is there a better way of doing that ? My bonus question is : Did you see some mistakes or bad practice along the way ?

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  • Override `drop` for a custom sequence

    - by Bruno Reis
    In short: in Clojure, is there a way to redefine a function from the standard sequence API (which is not defined on any interface like ISeq, IndexedSeq, etc) on a custom sequence type I wrote? 1. Huge data files I have big files in the following format: A long (8 bytes) containing the number n of entries n entries, each one being composed of 3 longs (ie, 24 bytes) 2. Custom sequence I want to have a sequence on these entries. Since I cannot usually hold all the data in memory at once, and I want fast sequential access on it, I wrote a class similar to the following: (deftype DataSeq [id ^long cnt ^long i cached-seq] clojure.lang.IndexedSeq (index [_] i) (count [_] (- cnt i)) (seq [this] this) (first [_] (first cached-seq)) (more [this] (if-let [s (next this)] s '())) (next [_] (if (not= (inc i) cnt) (if (next cached-seq) (DataSeq. id cnt (inc i) (next cached-seq)) (DataSeq. id cnt (inc i) (with-open [f (open-data-file id)] ; open a memory mapped byte array on the file ; seek to the exact position to begin reading ; decide on an optimal amount of data to read ; eagerly read and return that amount of data )))))) The main idea is to read ahead a bunch of entries in a list and then consume from that list. Whenever the cache is completely consumed, if there are remaining entries, they are read from the file in a new cache list. Simple as that. To create an instance of such a sequence, I use a very simple function like: (defn ^DataSeq load-data [id] (next (DataSeq. id (count-entries id) -1 []))) ; count-entries is a trivial "open file and read a long" memoized As you can see, the format of the data allowed me to implement count in very simply and efficiently. 3. drop could be O(1) In the same spirit, I'd like to reimplement drop. The format of these data files allows me to reimplement drop in O(1) (instead of the standard O(n)), as follows: if dropping less then the remaining cached items, just drop the same amount from the cache and done; if dropping more than cnt, then just return the empty list. otherwise, just figure out the position in the data file, jump right into that position, and read data from there. My difficulty is that drop is not implemented in the same way as count, first, seq, etc. The latter functions call a similarly named static method in RT which, in turn, calls my implementation above, while the former, drop, does not check if the instance of the sequence it is being called on provides a custom implementation. Obviously, I could provide a function named anything but drop that does exactly what I want, but that would force other people (including my future self) to remember to use it instead of drop every single time, which sucks. So, the question is: is it possible to override the default behaviour of drop? 4. A workaround (I dislike) While writing this question, I've just figured out a possible workaround: make the reading even lazier. The custom sequence would just keep an index and postpone the reading operation, that would happen only when first was called. The problem is that I'd need some mutable state: the first call to first would cause some data to be read into a cache, all the subsequent calls would return data from this cache. There would be a similar logic on next: if there's a cache, just next it; otherwise, don't bother populating it -- it will be done when first is called again. This would avoid unnecessary disk reads. However, this is still less than optimal -- it is still O(n), and it could easily be O(1). Anyways, I don't like this workaround, and my question is still open. Any thoughts? Thanks.

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  • XMLNodes being appended to an XMLNode are "undefined"? Actionscript 2.0 is being unkind

    - by DigitalMercenary
    If anyone can offer an explanation for this one, I'd LOVE to see it! I was required to append a legacy application to display 20 random questions from an XML data source, as opposed to the total of 70 questions that are part of the original XML. No big deal, right? WRONG! I got it to work just fine in the end, but it's a total HACK! For some reason, some of the nodes that I am appending to a dynamically generated XML document are being returned as "undefined". I kept getting between 16 and 20 questions to render until I modified my iteration from a 'for' loop to a 'do while' loop with the appropriate number of XMLNodes as the condition of the 'do while' loop. Can anyone offer an explanation? Below is the code, with some notes for the reader : function editXML(xml:XML):XML { var node:XMLNode = xml.firstChild; var newNode:XMLNode = new XMLNode(); var nodeArray:Array = new Array(); var usedNodes:Array = new Array(); var totalNodes:Number = node.lastChild.childNodes.length - 1; var nextNode:Number; var returnNode:XMLNode = new XMLNode(); var tempNode:XMLNode; var buildNode:XMLNode; var addNode:Boolean = true; var tempXML:XML = new XML(); var pagesNode:XMLNode = tempXML.createElement("pages"); tempXML.appendChild(pagesNode); tempXML.appendChild(node.childNodes[0]); tempXML.appendChild(node.childNodes[1]); tempXML.appendChild(node.childNodes[2]); var questionsNode:XMLNode = tempXML.createElement("pages"); tempXML.firstChild.appendChild(questionsNode); do { nextNode = Math.floor(Math.random()*totalNodes); **//random number to represent random node** //trace(nextNode + " nextNode"); **//check usedNodes Array to look for node.childNodes[nextNode]. If it already exists, skip and reloop.** trace(node.childNodes[1].childNodes[nextNode] + " : pre building Node " + totalNodes); if(usedNodes.length == 0) { buildNode = new XMLNode(); buildNode.nodeName = node.childNodes[1].childNodes[nextNode].nodeName; buildNode.nodeValue = node.childNodes[1].childNodes[nextNode].nodeValue; tempXML.firstChild.lastChild.appendChild(node.childNodes[1].childNodes[nextNode]) usedNodes.push(node.childNodes[1].childNodes[nextNode]); nodeArray.push(node.childNodes[1].childNodes[nextNode]); trace("adding first node : " + nodeArray.length); addNode = false; } else { for(var j:Number = 0; j < usedNodes.length; j++) { if(usedNodes[j] == node.childNodes[1].childNodes[nextNode]) { addNode = false; trace("skipping node : " + nodeArray.length); } } } **//if node not in usedNodes, add node to XML** if(addNode) { trace(node.childNodes[1].childNodes[nextNode] + " : building Node"); **//This trace statement produced a valid node** tempXML.firstChild.lastChild.appendChild(node.childNodes[1].childNodes[nextNode]); **//Before modifying the code from adding nodes to the xml from an Array called 'nodeArray' in a for loop to adding nodes directly to the xml in a do while loop with the length of the xml node used to retrieve data for the questions as the condition, I was not always getting 20 questions. Some of the nodes were being rendered as 'undefined' and not appended to the xml, even though they were traced and proven valid before the attemp to append them to the xml was made** usedNodes.push(node.childNodes[1].childNodes[nextNode]); } addNode = true; } while(tempXML.firstChild.lastChild.childNodes.length <= 19); trace(tempXML.firstChild.lastChild.childNodes.length + " final nodes Length"); courseXML = tempXML; //removes the old question list of 70 and replaces it with the new question list of 20. Question list is the last node. return tempXML; } If I had my choice, I would have rebuilt the whole application in Flex with AS3. I didn't have that choice. If anyone can explain this mystery, PLEASE DO! Thank you in advance!

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  • bulls and cows game -- programming algorithm(python)

    - by IcyFlame
    This is a simulation of the game Cows and Bulls with three digit numbers I am trying to get the number of cows and bulls between two numbers. One of which is generated by the computer and the other is guessed by the user. I have parsed the two numbers I have so that now I have two lists with three elements each and each element is one of the digits in the number. So: 237 will give the list [2,3,7]. And I make sure that the relative indices are maintained.the general pattern is:(hundreds, tens, units). And these two lists are stored in the two lists: machine and person. ALGORITHM 1 So, I wrote the following code, The most intuitive algorithm: cows and bulls are initialized to 0 before the start of this loop. for x in person: if x in machine: if machine.index(x) == person.index(x): bulls += 1 print x,' in correct place' else: print x,' in wrong place' cows += 1 And I started testing this with different type of numbers guessed by the computer. Quite randomly, I decided on 277. And I guessed 447. Here, I got the first clue that this algorithm may not work. I got 1 cow and 0 bulls. Whereas I should have got 1 bull and 1 cow. This is a table of outputs with the first algorithm: Guess Output Expected Output 447 0 bull, 1 cow 1 bull, 1 cow 477 2 bulls, 0 cows 2 bulls, 0 cows 777 0 bulls, 3 cows 2 bulls, 0 cows So obviously this algorithm was not working when there are repeated digits in the number randomly selected by the computer. I tried to understand why these errors are taking place, But I could not. I have tried a lot but I just could not see any mistake in the algorithm(probably because I wrote it!) ALGORITHM 2 On thinking about this for a few days I tried this: cows and bulls are initialized to 0 before the start of this loop. for x in range(3): for y in range(3): if x == y and machine[x] == person[y]: bulls += 1 if not (x == y) and machine[x] == person[y]: cows += 1 I was more hopeful about this one. But when I tested this, this is what I got: Guess Output Expected Output 447 1 bull, 1 cow 1 bull, 1 cow 477 2 bulls, 2 cows 2 bulls, 0 cows 777 2 bulls, 4 cows 2 bulls, 0 cows The mistake I am making is quite clear here, I understood that the numbers were being counted again and again. i.e.: 277 versus 477 When you count for bulls then the 2 bulls come up and thats alright. But when you count for cows: the 7 in 277 at units place is matched with the 7 in 477 in tens place and thus a cow is generated. the 7 in 277 at tens place is matched with the 7 in 477 in units place and thus a cow is generated.' Here the matching is exactly right as I have written the code as per that. But this is not what I want. And I have no idea whatsoever on what to do after this. Furthermore... I would like to stress that both the algorithms work perfectly, if there are no repeated digits in the number selected by the computer. Please help me with this issue. P.S.: I have been thinking about this for over a week, But I could not post a question earlier as my account was blocked(from asking questions) because I asked a foolish question. And did not delete it even though I got 2 downvotes immediately after posting the question.

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  • SQL SERVER – Disable Clustered Index and Data Insert

    - by pinaldave
    Earlier today I received following email. “Dear Pinal, [Removed unrelated content] We looked at your script and found out that in your script of disabling indexes, you have only included non-clustered index during the bulk insert and missed to disabled all the clustered index. Our DBA[name removed] has changed your script a bit and included all the clustered indexes. Since our application is not working. When DBA [name removed] tried to enable clustered indexes again he is facing error incorrect syntax error. We are in deep problem [word replaced] [Removed Identity of organization and few unrelated stuff ]“ I have replied to my client and helped them fixed the problem. What really came to my attention is the concept of disabling clustered index. Let us try to learn a lesson from this experience. In this case, there was no need to disable clustered index at all. I had done necessary work when I was called in to work on tuning project. I had removed unused indexes, created few optimal indexes and wrote a script to disable few selected high cost indexes when bulk insert (and similar) operations are performed. There was another script which rebuild all the indexes as well. The solution worked till they included clustered index in disabling the script. Clustered indexes are in fact original table (or heap) physically ordered (any more things – not scope of this article) according to one or more keys(columns). When clustered index is disabled data rows of the disabled clustered index cannot be accessed. This means there will be no insert possible. When non clustered indexes are disabled all the data related to physically deleted but the definition of the index is kept in the system. Due to the same reason even reorganization of the index is not possible till the clustered index (which was disabled) is rebuild. Now let us come to the second part of the question, regarding receiving the error when clustered index is ‘enabled’. This is very common question I receive on the blog. (The following statement is written keeping the syntax of T-SQL in mind) Clustered indexes can be disabled but can not be enabled, they have to rebuild. It is intuitive to think that something which we have ‘disabled’ can be ‘enabled’ but the syntax for the same is ‘rebuild’. This issue has been explained here: SQL SERVER – How to Enable Index – How to Disable Index – Incorrect syntax near ‘ENABLE’. Let us go over this example where inserting the data is not possible when clustered index is disabled. USE AdventureWorks GO -- Create Table CREATE TABLE [dbo].[TableName]( [ID] [int] NOT NULL, [FirstCol] [varchar](50) NULL, CONSTRAINT [PK_TableName] PRIMARY KEY CLUSTERED ([ID] ASC) ) GO -- Create Nonclustered Index CREATE UNIQUE NONCLUSTERED INDEX [IX_NonClustered_TableName] ON [dbo].[TableName] ([FirstCol] ASC) GO -- Populate Table INSERT INTO [dbo].[TableName] SELECT 1, 'First' UNION ALL SELECT 2, 'Second' UNION ALL SELECT 3, 'Third' GO -- Disable Nonclustered Index ALTER INDEX [IX_NonClustered_TableName] ON [dbo].[TableName] DISABLE GO -- Insert Data should work fine INSERT INTO [dbo].[TableName] SELECT 4, 'Fourth' UNION ALL SELECT 5, 'Fifth' GO -- Disable Clustered Index ALTER INDEX [PK_TableName] ON [dbo].[TableName] DISABLE GO -- Insert Data will fail INSERT INTO [dbo].[TableName] SELECT 6, 'Sixth' UNION ALL SELECT 7, 'Seventh' GO /* Error: Msg 8655, Level 16, State 1, Line 1 The query processor is unable to produce a plan because the index 'PK_TableName' on table or view 'TableName' is disabled. */ -- Reorganizing Index will also throw an error ALTER INDEX [PK_TableName] ON [dbo].[TableName] REORGANIZE GO /* Error: Msg 1973, Level 16, State 1, Line 1 Cannot perform the specified operation on disabled index 'PK_TableName' on table 'dbo.TableName'. */ -- Rebuliding should work fine ALTER INDEX [PK_TableName] ON [dbo].[TableName] REBUILD GO -- Insert Data should work fine INSERT INTO [dbo].[TableName] SELECT 6, 'Sixth' UNION ALL SELECT 7, 'Seventh' GO -- Clean Up DROP TABLE [dbo].[TableName] GO I hope this example is clear enough. There were few additional posts I had written years ago, I am listing them here. SQL SERVER – Enable and Disable Index Non Clustered Indexes Using T-SQL SQL SERVER – Enabling Clustered and Non-Clustered Indexes – Interesting Fact Reference : Pinal Dave (http://blog.SQLAuthority.com) Filed under: Pinal Dave, SQL, SQL Authority, SQL Constraint and Keys, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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  • Which programming idiom to choose for this open source library?

    - by Walkman
    I have an interesting question about which programming idiom is easier to use for beginner developers writing concrete file parsing classes. I'm developing an open source library, which one of the main functionality is to parse plain text files and get structured information from them. All of the files contains the same kind of information, but can be in different formats like XML, plain text (each of them is structured differently), etc. There are a common set of information pieces which is the same in all (e.g. player names, table names, some id numbers) There are formats which are very similar to each other, so it's possible to define a common Base class for them to facilitate concrete format parser implementations. So I can clearly define base classes like SplittablePlainTextFormat, XMLFormat, SeparateSummaryFormat, etc. Each of them hints the kind of structure they aim to parse. All of the concrete classes should have the same information pieces, no matter what. To be useful at all, this library needs to define at least 30-40 of these parsers. A couple of them are more important than others (obviously the more popular formats). Now my question is, which is the best programming idiom to choose to facilitate the development of these concrete classes? Let me explain: I think imperative programming is easy to follow even for beginners, because the flow is fixed, the statements just come one after another. Right now, I have this: class SplittableBaseFormat: def parse(self): "Parses the body of the hand history, but first parse header if not yet parsed." if not self.header_parsed: self.parse_header() self._parse_table() self._parse_players() self._parse_button() self._parse_hero() self._parse_preflop() self._parse_street('flop') self._parse_street('turn') self._parse_street('river') self._parse_showdown() self._parse_pot() self._parse_board() self._parse_winners() self._parse_extra() self.parsed = True So the concrete parser need to define these methods in order in any way they want. Easy to follow, but takes longer to implement each individual concrete parser. So what about declarative? In this case Base classes (like SplittableFormat and XMLFormat) would do the heavy lifting based on regex and line/node number declarations in the concrete class, and concrete classes have no code at all, just line numbers and regexes, maybe other kind of rules. Like this: class SplittableFormat: def parse_table(): "Parses TABLE_REGEX and get information" # set attributes here def parse_players(): "parses PLAYER_REGEX and get information" # set attributes here class SpecificFormat1(SplittableFormat): TABLE_REGEX = re.compile('^(?P<table_name>.*) other info \d* etc') TABLE_LINE = 1 PLAYER_REGEX = re.compile('^Player \d: (?P<player_name>.*) has (.*) in chips.') PLAYER_LINE = 16 class SpecificFormat2(SplittableFormat): TABLE_REGEX = re.compile(r'^Tournament #(\d*) (?P<table_name>.*) other info2 \d* etc') TABLE_LINE = 2 PLAYER_REGEX = re.compile(r'^Seat \d: (?P<player_name>.*) has a stack of (\d*)') PLAYER_LINE = 14 So if I want to make it possible for non-developers to write these classes the way to go seems to be the declarative way, however, I'm almost certain I can't eliminate the declarations of regexes, which clearly needs (senior :D) programmers, so should I care about this at all? Do you think it matters to choose one over another or doesn't matter at all? Maybe if somebody wants to work on this project, they will, if not, no matter which idiom I choose. Can I "convert" non-programmers to help developing these? What are your observations? Other considerations: Imperative will allow any kind of work; there is a simple flow, which they can follow but inside that, they can do whatever they want. It would be harder to force a common interface with imperative because of this arbitrary implementations. Declarative will be much more rigid, which is a bad thing, because formats might change over time without any notice. Declarative will be harder for me to develop and takes longer time. Imperative is already ready to release. I hope a nice discussion will happen in this thread about programming idioms regarding which to use when, which is better for open source projects with different scenarios, which is better for wide range of developer skills. TL; DR: Parsing different file formats (plain text, XML) They contains same kind of information Target audience: non-developers, beginners Regex probably cannot be avoided 30-40 concrete parser classes needed Facilitate coding these concrete classes Which idiom is better?

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  • How to prepare for a telephone interview: ‘Develop an Interview Cheat Sheet’

    - by Maria Sandu
    At Oracle we often do telephone interviews in different stages of the process with candidates, due to the fact that we hire native speakers into other countries. On this blog we already have an article with tips and tricks for phone interviews that can help you during the telephone interviews. To help you prepare even better for a telephone interview we would like to introduce you the basics of developing a cheat sheet. The benefit of a telephone interview is that you will be sitting at home, at your table or desk, during the interview, and not in front of someone. So use this to your advantage. The Monster website has some useful and interesting tips and tricks for developing a cheat sheet. Carole Martin, who wrote this article, says that a cheat sheet will help you feel more prepared and confident when speaking to managers over the phone. Important to keep in mind is that you shouldn't memorise what's on the sheet or check it off during the interview. Only use your cheat sheet to remind you of key facts. Here are some suggestions to include on it: • Divide a piece of paper in 2 by drawing a line. Write on one side of the paper a list of requirements as mentioned in the job description. On the other side list your qualities to fulfill the requirements of the employer. This will help you in answering questions about why you are the best candidate for the job and how you fit the role. • Do research on the company, the industry sector and the competitors, so you will get a feeling for the company’s business and can ask more in-depth questions. • Be prepared for the most used introduction question: “Tell me a bit about yourself”. Prepare a 60-second personal statement or pitch in which you summarise who you are and what you can offer, so you will be able to sell yourself from on the very beginning. • Write down a minimum of 5 good examples to answer behavioral interview questions ("Tell me about a time when..." or "Give me an example of a time..." ). These questions are used by interviewers to see how you deal with similar situations as you might encounter in the job. Interviewers use this question as past behaviour is scientifically proven to be the best predictor for future behaviour. • List five questions to ask the interviewer about the job, the company and the industry to help you get a good understanding if the role and company really fit your needs and wants. To get some inspiration check this article on inc.com • Find out how much you are worth on the job market and determine your needs based on your living expenses, especially when moving abroad. • Ask for permission from the people you plan to use as a reference. Also make sure you have your CV at hand and an overview of your grades. Feel free to comment on this article and let us know what your experience is with developing a cheat sheet for a telephone interview. Good luck with the preparation of your sheet.

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  • Automating XNA Performance Testing?

    - by Grofit
    I was wondering what peoples approaches or thoughts were on automating performance testing in XNA. Currently I am looking at only working in 2d, but that poses many areas where performance can be improved with different implementations. An example would be if you had 2 different implementations of spatial partitioning, one may be faster than another but without doing some actual performance testing you wouldn't be able to tell which one for sure (unless you saw the code was blatantly slow in certain parts). You could write a unit test which for a given time frame kept adding/updating/removing entities for both implementations and see how many were made in each timeframe and the higher one would be the faster one (in this given example). Another higher level example would be if you wanted to see how many entities you can have on the screen roughly without going beneath 60fps. The problem with this is to automate it you would need to use the hidden form trick or some other thing to kick off a mock game and purely test which parts you care about and disable everything else. I know that this isnt a simple affair really as even if you can automate the tests, really it is up to a human to interpret if the results are performant enough, but as part of a build step you could have it run these tests and publish the results somewhere for comparison. This way if you go from version 1.1 to 1.2 but have changed a few underlying algorithms you may notice that generally the performance score would have gone up, meaning you have improved your overall performance of the application, and then from 1.2 to 1.3 you may notice that you have then dropped overall performance a bit. So has anyone automated this sort of thing in their projects, and if so how do you measure your performance comparisons at a high level and what frameworks do you use to test? As providing you have written your code so its testable/mockable for most parts you can just use your tests as a mechanism for getting some performance results... === Edit === Just for clarity, I am more interested in the best way to make use of automated tests within XNA to track your performance, not play testing or guessing by manually running your game on a machine. This is completely different to seeing if your game is playable on X hardware, it is more about tracking the change in performance as your game engine/framework changes. As mentioned in one of the comments you could easily test "how many nodes can I insert/remove/update within QuadTreeA within 2 seconds", but you have to physically look at these results every time to see if it has changed, which may be fine and is still better than just relying on playing it to see if you notice any difference between version. However if you were to put an Assert in to notify you of a fail if it goes lower than lets say 5000 in 2 seconds you have a brittle test as it is then contextual to the hardware, not just the implementation. Although that being said these sort of automated tests are only really any use if you are running your tests as some sort of build pipeline i.e: Checkout - Run Unit Tests - Run Integration Tests - Run Performance Tests - Package So then you can easily compare the stats from one build to another on the CI server as a report of some sort, and again this may not mean much to anyone if you are not used to Continuous Integration. The main crux of this question is to see how people manage this between builds and how they find it best to report upon. As I said it can be subjective but as knowledge will be gained from the answers it seems a worthwhile question.

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  • PHP PSR-0 + several namespaces in one file and autoload

    - by Nemoden
    I've been thinking for a while about defining several namespaces in one php file and so, having several classes inside this file. Suppose, I want to implement something like Doctrine\ORM\Query\Expr: Expr.php Expr |-- Andx.php |-- Base.php |-- Comparison.php |-- Composite.php |-- From.php |-- Func.php |-- GroupBy.php |-- Join.php |-- Literal.php |-- Math.php |-- OrderBy.php |-- Orx.php `-- Select.php It would be nice if I had all of this in one file - Expr.php: namespace Doctrine\ORM\Query; class Expr { // code } namespace Doctrine\ORM\Query\Expr; class Func { // code } // etc... What I'm thinking of is directories naming convention and, unlike PSR-0 having several classes and namespaces in one file. It's best explained by the code: ls Doctrine/orm/query Expr.php that's it - only Expr.php Since Expr.php is somewhat I call a "meta-namespace" for Expr\Func, it make sense to place all the classes inside Expr.php (as shown above). So, the vendor name is still starts with an uppercased letter (Doctrine) and the other parts of namespace start with lowercased letter. We can write an autoload so it would respect this notion: function load_class($class) { if (class_exists($class)) { return true; } $tokenized_path = explode(array("_", "\\"), DIRECTORY_SEPARATOR, $class); // array('Doctrine', 'orm', 'query', 'Expr', 'Func'); // ^^^^ // first, we are looking for first uppercased namespace part // and if it's not last (not the class name), we use it as a filename // and wiping away the rest to compose a path to a file we need to include if (FALSE !== ($meta_class_index = find_meta_class($tokenized_path))) { $new_tokenized_path = array_slice($tokenized_path, 0, $meta_class_index); $path_to_class = implode(DIRECTORY_SEPARATOR, $new_tokenized_path); } else { // no meta class found $path_to_class = implode(DIRECTORY_SEPARATOR, $tokenized_path); } if (file_exists($path_to_class.'.php')) { require_once $path_to_class.'.php'; } return false; } Another reason to do so is to reduce a number of php files scattered among directories. Usually you check file existence before you require a file to fail gracefully: file_exists($path_to_class.'.php'); If you take a look at actual Doctrine\ORM\Query\Expr code, you'll see they use all of the "inner-classes", so you actually do: file_exists("/path/to/Doctrine/ORM/Query/Expr.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/AndX.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Base.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Comparison.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Composite.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/From.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Func.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/GroupBy.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Join.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Literal.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Math.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/OrderBy.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Orx.php"); file_exists("/path/to/Doctrine/ORM/Query/Expr/Select.php"); in your autoload which causes quite a few I/O reads. Isn't it too much to check on each user's hit? I'm just putting this on a discussion. I want to hear from another PHP programmers what do they think of it. And, of course, if you have a silver bullet addressing this problems I've designated here, please share. I also have been thinking if my vogue question fits here and according to the FAQ it seems like this question addresses "software architecture" problem slash proposal. I'm sorry if my scribble may seem a bit clunky :) Thanks.

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