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  • Java Nimbus LAF with transparent text fields

    - by Software Monkey
    I have an application that uses disabled JTextFields in several places which are intended to be transparent - allowing the background to show through instead of the text field's normal background. When running the new Nimbus LAF these fields are opaque (despite setting setOpaque(false)), and my UI is broken. It's as if the LAF is ignoring the opaque property. Setting a background color explicitly is both difficult in several places, and less than optimal due to background images actually doesn't work - it still paints it's LAF default background over the top, leaving a border-like appearance (the splash screen below has the background explicitly set to match the image). Any ideas on how I can get Nimbus to not paint the background for a JTextField? Note: I need a JTextField, rather than a JLabel, because I need the thread-safe setText(), and wrapping capability. Note: My fallback position is to continue using the system LAF, but Nimbus does look substantially better. See example images below. Conclusions The surprise at this behavior is due to a misinterpretation of what setOpaque() is meant to do - from the Nimbus bug report: This is a problem the the orginal design of Swing and how it has been confusing for years. The issue is setOpaque(false) has had a side effect in exiting LAFs which is that of hiding the background which is not really what it is ment for. It is ment to say that the component my have transparent parts and swing should paint the parent component behind it. It's unfortunate that the Nimbus components also appear not to honor setBackground(null) which would otherwise be the recommended way to stop the background painting. Setting a fully transparent background seems unintuitive to me. In my opinion, setOpaque()/isOpaque() is a faulty public API choice which should have been only: public boolean isFullyOpaque(); I say this, because isOpaque()==true is a contract with Swing that the component subclass will take responsibility for painting it's entire background - which means the parent can skip painting that region if it wants (which is an important performance enhancement). Something external cannot directly change this contract (legitimately), whose fulfillment may be coded into the component. So the opacity of the component should not have been settable using setOpaque(). Instead something like setBackground(null) should cause many components to "no long have a background" and therefore become not fully opaque. By way of example, in an ideal world most components should have an isOpaque() that looks like this: public boolean isOpaque() { return (background!=null); }

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  • Sensible Way to Pass Web Data in XML to a SQL Server Database

    - by Emtucifor
    After exploring several different ways to pass web data to a database for update purposes, I'm wondering if XML might be a good strategy. The database is currently SQL 2000. In a few months it will move to SQL 2005 and I will be able to change things if needed, but I need a SQL 2000 solution now. First of all, the database in question uses the EAV model. I know that this kind of database is generally highly frowned on, so for the purposes of this question, please just accept that this is not going to change. The current update method has the web server inserting values (that have all been converted first to their correct underlying types, then to sql_variant) to a temp table. A stored procedure is then run which expects the temp table to exist and it takes care of updating, inserting, or deleting things as needed. So far, only a single element has needed to be updated at a time. But now, there is a requirement to be able to edit multiple elements at once, and also to support hierarchical elements, each of which can have its own list of attributes. Here's some example XML I hand-typed to demonstrate what I'm thinking of. Note that in this database the Entity is Element and an ID of 0 signifies "create" aka an insert of a new item. <Elements> <Element ID="1234"> <Attr ID="221">Value</Attr> <Attr ID="225">287</Attr> <Attr ID="234"> <Element ID="99825"> <Attr ID="7">Value1</Attr> <Attr ID="8">Value2</Attr> <Attr ID="9" Action="delete" /> </Element> <Element ID="99826" Action="delete" /> <Element ID="0" Type="24"> <Attr ID="7">Value4</Attr> <Attr ID="8">Value5</Attr> <Attr ID="9">Value6</Attr> </Element> <Element ID="0" Type="24"> <Attr ID="7">Value7</Attr> <Attr ID="8">Value8</Attr> <Attr ID="9">Value9</Attr> </Element> </Attr> <Rel ID="3827" Action="delete" /> <Rel ID="2284" Role="parent"> <Element ID="3827" /> <Element ID="3829" /> <Attr ID="665">1</Attr> </Rel> <Rel ID="0" Type="23" Role="child"> <Element ID="3830" /> <Attr ID="67" </Rel> </Element> <Element ID="0" Type="87"> <Attr ID="221">Value</Attr> <Attr ID="225">569</Attr> <Attr ID="234"> <Element ID="0" Type="24"> <Attr ID="7">Value10</Attr> <Attr ID="8">Value11</Attr> <Attr ID="9">Value12</Attr> </Element> </Attr> </Element> <Element ID="1235" Action="delete" /> </Elements> Some Attributes are straight value types, such as AttrID 221. But AttrID 234 is a special "multi-value" type that can have a list of elements underneath it, and each one can have one or more values. Types only need to be presented when a new item is created, since the ElementID fully implies the type if it already exists. I'll probably support only passing in changed items (as detected by javascript). And there may be an Action="Delete" on Attr elements as well, since NULLs are treated as "unselected"--sometimes it's very important to know if a Yes/No question has intentionally been answered No or if no one's bothered to say Yes yet. There is also a different kind of data, a Relationship. At this time, those are updated through individual AJAX calls as things are edited in the UI, but I'd like to include those so that changes to relationships can be canceled (right now, once you change it, it's done). So those are really elements, too, but they are called Rel instead of Element. Relationships are implemented as ElementID1 and ElementID2, so the RelID 2284 in the XML above is in the database as: ElementID 2284 ElementID1 1234 ElementID2 3827 Having multiple children in one relationship isn't currently supported, but it would be nice later. Does this strategy and the example XML make sense? Is there a more sensible way? I'm just looking for some broad critique to help save me from going down a bad path. Any aspect that you'd like to comment on would be helpful. The web language happens to be Classic ASP, but that could change to ASP.Net at some point. A persistence engine like Linq or nHibernate is probably not acceptable right now--I just want to get this already working application enhanced without a huge amount of development time. I'll choose the answer that shows experience and has a balance of good warnings about what not to do, confirmations of what I'm planning to do, and recommendations about something else to do. I'll make it as objective as possible. P.S. I'd like to handle unicode characters as well as very long strings (10k +). UPDATE I have had this working for some time and I used the ADO Recordset Save-To-Stream trick to make creating the XML really easy. The result seems to be fairly fast, though if speed ever becomes a problem I may revisit this. In the meantime, my code works to handle any number of elements and attributes on the page at once, including updating, deleting, and creating new items all in one go. I settled on a scheme like so for all my elements: Existing data elements Example: input name e12345_a678 (element 12345, attribute 678), the input value is the value of the attribute. New elements Javascript copies a hidden template of the set of HTML elements needed for the type into the correct location on the page, increments a counter to get a new ID for this item, and prepends the number to the names of the form items. var newid = 0; function metadataAdd(reference, nameid, value) { var t = document.createElement('input'); t.setAttribute('name', nameid); t.setAttribute('id', nameid); t.setAttribute('type', 'hidden'); t.setAttribute('value', value); reference.appendChild(t); } function multiAdd(target, parentelementid, attrid, elementtypeid) { var proto = document.getElementById('a' + attrid + '_proto'); var instance = document.createElement('p'); target.parentNode.parentNode.insertBefore(instance, target.parentNode); var thisid = ++newid; instance.innerHTML = proto.innerHTML.replace(/{prefix}/g, 'n' + thisid + '_'); instance.id = 'n' + thisid; instance.className += ' new'; metadataAdd(instance, 'n' + thisid + '_p', parentelementid); metadataAdd(instance, 'n' + thisid + '_c', attrid); metadataAdd(instance, 'n' + thisid + '_t', elementtypeid); return false; } Example: Template input name _a678 becomes n1_a678 (a new element, the first one on the page, attribute 678). all attributes of this new element are tagged with the same prefix of n1. The next new item will be n2, and so on. Some hidden form inputs are created: n1_t, value is the elementtype of the element to be created n1_p, value is the parent id of the element (if it is a relationship) n1_c, value is the child id of the element (if it is a relationship) Deleting elements A hidden input is created in the form e12345_t with value set to 0. The existing controls displaying that attribute's values are disabled so they are not included in the form post. So "set type to 0" is treated as delete. With this scheme, every item on the page has a unique name and can be distinguished properly, and every action can be represented properly. When the form is posted, here's a sample of building one of the two recordsets used (classic ASP code): Set Data = Server.CreateObject("ADODB.Recordset") Data.Fields.Append "ElementID", adInteger, 4, adFldKeyColumn Data.Fields.Append "AttrID", adInteger, 4, adFldKeyColumn Data.Fields.Append "Value", adLongVarWChar, 2147483647, adFldIsNullable Or adFldMayBeNull Data.CursorLocation = adUseClient Data.CursorType = adOpenDynamic Data.Open This is the recordset for values, the other is for the elements themselves. I step through the posted form and for the element recordset use a Scripting.Dictionary populated with instances of a custom Class that has the properties I need, so that I can add the values piecemeal, since they don't always come in order. New elements are added as negative to distinguish them from regular elements (rather than requiring a separate column to indicate if it is new or addresses an existing element). I use regular expression to tear apart the form keys: "^(e|n)([0-9]{1,10})_(a|p|t|c)([0-9]{0,10})$" Then, adding an attribute looks like this. Data.AddNew ElementID.Value = DataID AttrID.Value = Integerize(Matches(0).SubMatches(3)) AttrValue.Value = Request.Form(Key) Data.Update ElementID, AttrID, and AttrValue are references to the fields of the recordset. This method is hugely faster than using Data.Fields("ElementID").Value each time. I loop through the Dictionary of element updates and ignore any that don't have all the proper information, adding the good ones to the recordset. Then I call my data-updating stored procedure like so: Set Cmd = Server.CreateObject("ADODB.Command") With Cmd Set .ActiveConnection = MyDBConn .CommandType = adCmdStoredProc .CommandText = "DataPost" .Prepared = False .Parameters.Append .CreateParameter("@ElementMetadata", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Element)) .Parameters.Append .CreateParameter("@ElementData", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Data)) End With Result.Open Cmd ' previously created recordset object with options set Here's the function that does the xml conversion: Private Function XMLFromRecordset(Recordset) Dim Stream Set Stream = Server.CreateObject("ADODB.Stream") Stream.Open Recordset.Save Stream, adPersistXML Stream.Position = 0 XMLFromRecordset = Stream.ReadText End Function Just in case the web page needs to know, the SP returns a recordset of any new elements, showing their page value and their created value (so I can see that n1 is now e12346 for example). Here are some key snippets from the stored procedure. Note this is SQL 2000 for now, though I'll be able to switch to 2005 soon: CREATE PROCEDURE [dbo].[DataPost] @ElementMetaData ntext, @ElementData ntext AS DECLARE @hdoc int --- snip --- EXEC sp_xml_preparedocument @hdoc OUTPUT, @ElementMetaData, '<xml xmlns:s="uuid:BDC6E3F0-6DA3-11d1-A2A3-00AA00C14882" xmlns:dt="uuid:C2F41010-65B3-11d1-A29F-00AA00C14882" xmlns:rs="urn:schemas-microsoft-com:rowset" xmlns:z="#RowsetSchema" />' INSERT #ElementMetadata (ElementID, ElementTypeID, ElementID1, ElementID2) SELECT * FROM OPENXML(@hdoc, '/xml/rs:data/rs:insert/z:row', 0) WITH ( ElementID int, ElementTypeID int, ElementID1 int, ElementID2 int ) ORDER BY ElementID -- orders negative items (new elements) first so they begin counting at 1 for later ID calculation EXEC sp_xml_removedocument @hdoc --- snip --- UPDATE E SET E.ElementTypeID = M.ElementTypeID FROM Element E INNER JOIN #ElementMetadata M ON E.ElementID = M.ElementID WHERE E.ElementID >= 1 AND M.ElementTypeID >= 1 The following query does the correlation of the negative new element ids to the newly inserted ones: UPDATE #ElementMetadata -- Correlate the new ElementIDs with the input rows SET NewElementID = Scope_Identity() - @@RowCount + DataID WHERE ElementID < 0 Other set-based queries do all the other work of validating that the attributes are allowed, are the correct data type, and inserting, updating, and deleting elements and attributes. I hope this brief run-down is useful to others some day! Converting ADO Recordsets to an XML stream was a huge winner for me as it saved all sorts of time and had a namespace and schema already defined that made the results come out correctly. Using a flatter XML format with 2 inputs was also much easier than sticking to some ideal about having everything in a single XML stream.

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  • Sensible Way to Pass Web Data to Sql Server Database

    - by Emtucifor
    After exploring several different ways to pass web data to a database for update purposes, I'm wondering if XML might be a good strategy. The database is currently SQL 2000. In a few months it will move to SQL 2005 and I will be able to change things if needed, but I need a SQL 2000 solution now. First of all, the database in question uses the EAV model. I know that this kind of database is generally highly frowned on, so for the purposes of this question, please just accept that this is not going to change. The current update method has the web server inserting values (that have all been converted first to their correct underlying types, then to sql_variant) to a temp table. A stored procedure is then run which expects the temp table to exist and it takes care of updating, inserting, or deleting things as needed. So far, only a single element has needed to be updated at a time. But now, there is a requirement to be able to edit multiple elements at once, and also to support hierarchical elements, each of which can have its own list of attributes. Here's some example XML I hand-typed to demonstrate what I'm thinking of. Note that in this database the Entity is Element and an ID of 0 signifies "create" aka an insert of a new item. <Elements> <Element ID="1234"> <Attr ID="221">Value</Attr> <Attr ID="225">287</Attr> <Attr ID="234"> <Element ID="99825"> <Attr ID="7">Value1</Attr> <Attr ID="8">Value2</Attr> <Attr ID="9" Action="delete" /> </Element> <Element ID="99826" Action="delete" /> <Element ID="0" Type="24"> <Attr ID="7">Value4</Attr> <Attr ID="8">Value5</Attr> <Attr ID="9">Value6</Attr> </Element> <Element ID="0" Type="24"> <Attr ID="7">Value7</Attr> <Attr ID="8">Value8</Attr> <Attr ID="9">Value9</Attr> </Element> </Attr> <Rel ID="3827" Action="delete" /> <Rel ID="2284" Role="parent"> <Element ID="3827" /> <Element ID="3829" /> <Attr ID="665">1</Attr> </Rel> <Rel ID="0" Type="23" Role="child"> <Element ID="3830" /> <Attr ID="67" </Rel> </Element> <Element ID="0" Type="87"> <Attr ID="221">Value</Attr> <Attr ID="225">569</Attr> <Attr ID="234"> <Element ID="0" Type="24"> <Attr ID="7">Value10</Attr> <Attr ID="8">Value11</Attr> <Attr ID="9">Value12</Attr> </Element> </Attr> </Element> <Element ID="1235" Action="delete" /> </Elements> Some Attributes are straight value types, such as AttrID 221. But AttrID 234 is a special "multi-value" type that can have a list of elements underneath it, and each one can have one or more values. Types only need to be presented when a new item is created, since the ElementID fully implies the type if it already exists. I'll probably support only passing in changed items (as detected by javascript). And there may be an Action="Delete" on Attr elements as well, since NULLs are treated as "unselected"--sometimes it's very important to know if a Yes/No question has intentionally been answered No or if no one's bothered to say Yes yet. There is also a different kind of data, a Relationship. At this time, those are updated through individual AJAX calls as things are edited in the UI, but I'd like to include those so that changes to relationships can be canceled (right now, once you change it, it's done). So those are really elements, too, but they are called Rel instead of Element. Relationships are implemented as ElementID1 and ElementID2, so the RelID 2284 in the XML above is in the database as: ElementID 2284 ElementID1 1234 ElementID2 3827 Having multiple children in one relationship isn't currently supported, but it would be nice later. Does this strategy and the example XML make sense? Is there a more sensible way? I'm just looking for some broad critique to help save me from going down a bad path. Any aspect that you'd like to comment on would be helpful. The web language happens to be Classic ASP, but that could change to ASP.Net at some point. A persistence engine like Linq or nHibernate is probably not acceptable right now--I just want to get this already working application enhanced without a huge amount of development time. I'll choose the answer that shows experience and has a balance of good warnings about what not to do, confirmations of what I'm planning to do, and recommendations about something else to do. I'll make it as objective as possible. P.S. I'd like to handle unicode characters as well as very long strings (10k +). UPDATE I have had this working for some time and I used the ADO Recordset Save-To-Stream trick to make creating the XML really easy. The result seems to be fairly fast, though if speed ever becomes a problem I may revisit this. In the meantime, my code works to handle any number of elements and attributes on the page at once, including updating, deleting, and creating new items all in one go. I settled on a scheme like so for all my elements: Existing data elements Example: input name e12345_a678 (element 12345, attribute 678), the input value is the value of the attribute. New elements Javascript copies a hidden template of the set of HTML elements needed for the type into the correct location on the page, increments a counter to get a new ID for this item, and prepends the number to the names of the form items. var newid = 0; function metadataAdd(reference, nameid, value) { var t = document.createElement('input'); t.setAttribute('name', nameid); t.setAttribute('id', nameid); t.setAttribute('type', 'hidden'); t.setAttribute('value', value); reference.appendChild(t); } function multiAdd(target, parentelementid, attrid, elementtypeid) { var proto = document.getElementById('a' + attrid + '_proto'); var instance = document.createElement('p'); target.parentNode.parentNode.insertBefore(instance, target.parentNode); var thisid = ++newid; instance.innerHTML = proto.innerHTML.replace(/{prefix}/g, 'n' + thisid + '_'); instance.id = 'n' + thisid; instance.className += ' new'; metadataAdd(instance, 'n' + thisid + '_p', parentelementid); metadataAdd(instance, 'n' + thisid + '_c', attrid); metadataAdd(instance, 'n' + thisid + '_t', elementtypeid); return false; } Example: Template input name _a678 becomes n1_a678 (a new element, the first one on the page, attribute 678). all attributes of this new element are tagged with the same prefix of n1. The next new item will be n2, and so on. Some hidden form inputs are created: n1_t, value is the elementtype of the element to be created n1_p, value is the parent id of the element (if it is a relationship) n1_c, value is the child id of the element (if it is a relationship) Deleting elements A hidden input is created in the form e12345_t with value set to 0. The existing controls displaying that attribute's values are disabled so they are not included in the form post. So "set type to 0" is treated as delete. With this scheme, every item on the page has a unique name and can be distinguished properly, and every action can be represented properly. When the form is posted, here's a sample of building one of the two recordsets used (classic ASP code): Set Data = Server.CreateObject("ADODB.Recordset") Data.Fields.Append "ElementID", adInteger, 4, adFldKeyColumn Data.Fields.Append "AttrID", adInteger, 4, adFldKeyColumn Data.Fields.Append "Value", adLongVarWChar, 2147483647, adFldIsNullable Or adFldMayBeNull Data.CursorLocation = adUseClient Data.CursorType = adOpenDynamic Data.Open This is the recordset for values, the other is for the elements themselves. I step through the posted form and for the element recordset use a Scripting.Dictionary populated with instances of a custom Class that has the properties I need, so that I can add the values piecemeal, since they don't always come in order. New elements are added as negative to distinguish them from regular elements (rather than requiring a separate column to indicate if it is new or addresses an existing element). I use regular expression to tear apart the form keys: "^(e|n)([0-9]{1,10})_(a|p|t|c)([0-9]{0,10})$" Then, adding an attribute looks like this. Data.AddNew ElementID.Value = DataID AttrID.Value = Integerize(Matches(0).SubMatches(3)) AttrValue.Value = Request.Form(Key) Data.Update ElementID, AttrID, and AttrValue are references to the fields of the recordset. This method is hugely faster than using Data.Fields("ElementID").Value each time. I loop through the Dictionary of element updates and ignore any that don't have all the proper information, adding the good ones to the recordset. Then I call my data-updating stored procedure like so: Set Cmd = Server.CreateObject("ADODB.Command") With Cmd Set .ActiveConnection = MyDBConn .CommandType = adCmdStoredProc .CommandText = "DataPost" .Prepared = False .Parameters.Append .CreateParameter("@ElementMetadata", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Element)) .Parameters.Append .CreateParameter("@ElementData", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Data)) End With Result.Open Cmd ' previously created recordset object with options set Here's the function that does the xml conversion: Private Function XMLFromRecordset(Recordset) Dim Stream Set Stream = Server.CreateObject("ADODB.Stream") Stream.Open Recordset.Save Stream, adPersistXML Stream.Position = 0 XMLFromRecordset = Stream.ReadText End Function Just in case the web page needs to know, the SP returns a recordset of any new elements, showing their page value and their created value (so I can see that n1 is now e12346 for example). Here are some key snippets from the stored procedure. Note this is SQL 2000 for now, though I'll be able to switch to 2005 soon: CREATE PROCEDURE [dbo].[DataPost] @ElementMetaData ntext, @ElementData ntext AS DECLARE @hdoc int --- snip --- EXEC sp_xml_preparedocument @hdoc OUTPUT, @ElementMetaData, '<xml xmlns:s="uuid:BDC6E3F0-6DA3-11d1-A2A3-00AA00C14882" xmlns:dt="uuid:C2F41010-65B3-11d1-A29F-00AA00C14882" xmlns:rs="urn:schemas-microsoft-com:rowset" xmlns:z="#RowsetSchema" />' INSERT #ElementMetadata (ElementID, ElementTypeID, ElementID1, ElementID2) SELECT * FROM OPENXML(@hdoc, '/xml/rs:data/rs:insert/z:row', 0) WITH ( ElementID int, ElementTypeID int, ElementID1 int, ElementID2 int ) ORDER BY ElementID -- orders negative items (new elements) first so they begin counting at 1 for later ID calculation EXEC sp_xml_removedocument @hdoc --- snip --- UPDATE E SET E.ElementTypeID = M.ElementTypeID FROM Element E INNER JOIN #ElementMetadata M ON E.ElementID = M.ElementID WHERE E.ElementID >= 1 AND M.ElementTypeID >= 1 The following query does the correlation of the negative new element ids to the newly inserted ones: UPDATE #ElementMetadata -- Correlate the new ElementIDs with the input rows SET NewElementID = Scope_Identity() - @@RowCount + DataID WHERE ElementID < 0 Other set-based queries do all the other work of validating that the attributes are allowed, are the correct data type, and inserting, updating, and deleting elements and attributes. I hope this brief run-down is useful to others some day! Converting ADO Recordsets to an XML stream was a huge winner for me as it saved all sorts of time and had a namespace and schema already defined that made the results come out correctly. Using a flatter XML format with 2 inputs was also much easier than sticking to some ideal about having everything in a single XML stream.

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  • Do you still limit line length in code?

    - by Noldorin
    This is a matter on which I would like to gauge the opinion of the community: Do you still limit the length of lines of code to a fixed maximum? This was certainly a convention of the past for many languages; one would typically cap the number of characters per line to a value such as 80 (and more recnetly 100 or 120 I believe). As far as I understand, the primary reasons for limiting line length are: Readability - You don't have to scroll over horizontally when you want to see the end of some lines. Printing - Admittedly (at least in my experience), most code that you are working on does not get printed out on paper, but by limiting the number of characters you can insure that formatting doesn't get messed up when printed. Past editors (?) - Not sure about this one, but I suspect that at some point in the distant past of programming, (at least some) text editors may have been based on a fixed-width buffer. I'm sure there are points that I am still missing out, so feel free to add to these... Now, when I tend to observe C or C# code nowadays, I often see a number of different styles, the main ones being: Line length capped to 80, 100, or even 120 characters. As far as I understand, 80 is the traditional length, but the longer ones of 100 and 120 have appeared because of the widespread use of high resolutions and widescreen monitors nowadays. No line length capping at all. This tends to be pretty horrible to read, and I don't see it too often, though it's certainly not too rare either. Inconsistent capping of line length. The length of some lines are limited to a fixed maximum (or even a maximum that changes depending on the file/location in code), while others (possibly comments) are not at all. My personal preference here (at least recently) has been to cap the line length to 100 in the Visual Studio editor. This means that in a decently sized window (on a non-widescreen monitor), the ends of lines are still fully visible. I can however see a few disadvantages in this, especially when you end up writing code that's indented 3 or 4 levels and then having to include a long string literal - though I often take this as a sign to refactor my code! In particular, I am curious what the C and C# coders (or anyone who uses Visual Studio for that matter) think about this point, though I would be interested in hearing anyone's thoughts on the subject. Edit Thanks for the all answers - I appreciate the variety of opinions here, all presenting sound reasons. Consensus does seem to be tipping in the direction of always (or almost always) limit the line length. Interestingly, it seems to be in various coding standards to limit the line length. Judging by some of the answers, both the Python and Google CPP guidelines set the limit at 80 chars. I haven't seen anything similar regarding C# or VB.NET, but I would be curious to see if there are ones anywhere.

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  • Is the Scala 2.8 collections library a case of "the longest suicide note in history" ?

    - by oxbow_lakes
    First note the inflammatory subject title is a quotation made about the manifesto of a UK political party in the early 1980s. This question is subjective but it is a genuine question, I've made it CW and I'd like some opinions on the matter. Despite whatever my wife and coworkers keep telling me, I don't think I'm an idiot: I have a good degree in mathematics from the University of Oxford and I've been programming commercially for almost 12 years and in Scala for about a year (also commercially). I have just started to look at the Scala collections library re-implementation which is coming in the imminent 2.8 release. Those familiar with the library from 2.7 will notice that the library, from a usage perspective, has changed little. For example... > List("Paris", "London").map(_.length) res0: List[Int] List(5, 6) ...would work in either versions. The library is eminently useable: in fact it's fantastic. However, those previously unfamiliar with Scala and poking around to get a feel for the language now have to make sense of method signatures like: def map[B, That](f: A => B)(implicit bf: CanBuildFrom[Repr, B, That]): That For such simple functionality, this is a daunting signature and one which I find myself struggling to understand. Not that I think Scala was ever likely to be the next Java (or /C/C++/C#) - I don't believe its creators were aiming it at that market - but I think it is/was certainly feasible for Scala to become the next Ruby or Python (i.e. to gain a significant commercial user-base) Is this going to put people off coming to Scala? Is this going to give Scala a bad name in the commercial world as an academic plaything that only dedicated PhD students can understand? Are CTOs and heads of software going to get scared off? Was the library re-design a sensible idea? If you're using Scala commercially, are you worried about this? Are you planning to adopt 2.8 immediately or wait to see what happens? Steve Yegge once attacked Scala (mistakenly in my opinion) for what he saw as its overcomplicated type-system. I worry that someone is going to have a field day spreading fud with this API (similarly to how Josh Bloch scared the JCP out of adding closures to Java). Note - I should be clear that, whilst I believe that Josh Bloch was influential in the rejection of the BGGA closures proposal, I don't ascribe this to anything other than his honestly-held beliefs that the proposal represented a mistake.

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  • What is the best python module skeleton code?

    - by user213060
    == Subjective Question Warning == Looking for well supported opinions or supporting evidence. Let us assume that skeleton code can be good. If you disagree with the very concept of module skeleton code then fine, but please refrain from repeating that opinion here. Many python IDE's will start you with a template like: print 'hello world' That's not enough... So here's my skeleton code to get this question started: My Module Skeleton, Short Version: #!/usr/bin/env python """ Module Docstring """ # ## Code goes here. # def test(): """Testing Docstring""" pass if __name__=='__main__': test() and, My Module Skeleton, Long Version: #!/usr/bin/env python # -*- coding: ascii -*- """ Module Docstring Docstrings: http://www.python.org/dev/peps/pep-0257/ """ __author__ = 'Joe Author ([email protected])' __copyright__ = 'Copyright (c) 2009-2010 Joe Author' __license__ = 'New-style BSD' __vcs_id__ = '$Id$' __version__ = '1.2.3' #Versioning: http://www.python.org/dev/peps/pep-0386/ # ## Code goes here. # def test(): """ Testing Docstring""" pass if __name__=='__main__': test() Notes: """ ===MODULE TYPE=== Since the vast majority of my modules are "library" types, I have constructed this example skeleton as such. For modules that act as the main entry for running the full application, you would make changes such as running a main() function instead of the test() function in __main__. ===VERSIONING=== The following practice, specified in PEP8, no longer makes sense: __version__ = '$Revision: 1.2.3 $' for two reasons: (1) Distributed version control systems make it neccessary to include more than just a revision number. E.g. author name and revision number. (2) It's a revision number not a version number. Instead, the __vcs_id__ variable is being adopted. This expands to, for example: __vcs_id__ = '$Id: example.py,v 1.1.1.1 2001/07/21 22:14:04 goodger Exp $' ===VCS DATE=== Likewise, the date variable has been removed: __date__ = '$Date: 2009/01/02 20:19:18 $' ===CHARACTER ENCODING=== If the coding is explicitly specified, then it should be set to the default setting of ascii. This can be modified if necessary (rarely in practice). Defaulting to utf-8 can cause anomalies with editors that have poor unicode support. """ There are a lot of PEPs that put forward coding style recommendations. Am I missing any important best practices? What is the best python module skeleton code? Update Show me any kind of "best" that you prefer. Tell us what metrics you used to qualify "best".

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  • Where to put a glossary of important terms and patterns in documentation?

    - by Tetha
    Greetings. I want to document certain patterns in the code in order to build up a consistent terminology (in order to easen communication about the software). I am, however, unsure, where to define the terms given. In order to get on the same level, an example: I have a code generator. This code generator receives a certain InputStructure from the Parser (yes, the name InputStructure might be less than ideal). This InputStructure is then transformed into various subsequent datastructures (like an abstract description of the validation process). Each of these datastructures can be either transformed into another value of the same datastructure or it can be transformed into the next datastructure. This should sound like Pipes and Filters to some degree. Given this, I call an operation which takes a datastructures and constructs a value of the same datastructure a transformation, while I call an operation which takes a datastructure and produces a different follow-up datastructure a derivation. The final step of deriving a string containing code is called emitting. (So, overall, the codegenerator takes the input-structure and transforms, transforms, derives, transforms, derives and finally emits). I think emphasizing these terms will be benefitial in communications, because then it is easy to talk about things. If you hear "transformation", you know "Ok, I only need to think about these two datastructures", if you hear "emitting", you know "Ok, I only need to know this datastructure and the target language.". However, where do I document these patterns? The current code base uses visitors and offers classes called like ValidatorTransformationBase<ResultType> (or InputStructureTransformationBase<ResultType>, and so one and so on). I do not really want to add the definition of such terms to the interfaces, because in that case, I'd have to repeat myself on each and every interface, which clearly violates DRY. I am considering to emphasize the distinction between Transformations and Derivations by adding further interfaces (I would have to think about a better name for the TransformationBase-classes, but then I could do thinks like ValidatorTransformation extends ValidatorTransformationBase<Validator>, or ValidatorDerivationFromInputStructure extends InputStructureTransformation<Validator>). I also think I should add a custom page to the doxygen documentation already existing, as in "Glossary" or "Architecture Principles", which contains such principles. The only disadvantage of this would be that a contributor will need to find this page in order to actually learn about this. Am I missing possibilities or am I judging something wrong here in your opinion? -- Regards, Tetha

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  • Corner Cases, Unexpected and Unusual Matlab

    - by Mikhail
    Over the years, reading others code, I encountered and collected some examples of Matlab syntax which can be at first unusual and counterintuitive. Please, feel free to comment or complement this list. I verified it r2006a. set([], 'Background:Color','red') Matlab is very forgiving sometimes. In this case, setting properties to an array of objects works also with nonsense properties, at least when the array is empty. myArray([1,round(end/2)]) This use of end keyword may seem unclean but is sometimes very handy instead of using length(myArray). any([]) ~= all([]) Surprisigly any([]) returns false and all([]) returns true. And I always thought that all is stronger then any. EDIT: with not empty argument all() returns true for a subset of values for which any() returns true (e.g. truth table). This means that any() false implies all() false. This simple rule is being violated by Matlab with [] as argument. Loren also blogged about it. Select(Range(ExcelComObj)) Procedural style COM object method dispatch. Do not wonder that exist('Select') returns zero! [myString, myCell] Matlab makes in this case an implicit cast of string variable myString to cell type {myString}. It works, also if I would not expect it to do so. [double(1.8), uint8(123)] => 2 123 Another cast example. Everybody would probably expect uint8 value being cast to double but Mathworks have another opinion. a = 5; b = a(); It looks silly but you can call a variable with round brackets. Actually it makes sense because this way you can execute a function given its handle. a = {'aa', 'bb' 'cc', 'dd'}; Surprsisingly this code neither returns a vector nor rises an error but defins matrix, using just code layout. It is probably a relict from ancient times. set(hobj, {'BackgroundColor','ForegroundColor'},{'red','blue'}) This code does what you probably expect it to do. That function set accepts a struct as its second argument is a known fact and makes sense, and this sintax is just a cell2struct away. Equvalence rules are sometimes unexpected at first. For example 'A'==65 returns true (although for C-experts it is self-evident). About which further unexpected/unusual Matlab features are you aware?

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  • What was "The Next Big Thing" when you were just starting out in programming?

    - by Andrew
    I'm at the beginning of my career and there are lots of things which are being touted as "The Next Big Thing". For example: Dependency Injection (Spring, etc) MVC (Struts, ASP.NET MVC) ORMs (Linq To SQL, Hibernate) Agile Software Development These things have probably been around for some time, but I've only just started out. And don't get me wrong, I think these things are great! So, what was "The Next Big Thing" when you were starting out? When was it? Were people sceptical of it at first? Why? Did you think it would catch on? Did it pan out and become widely accepted/used? If not, why not? EDIT It's been nearly a week since I first posted this question and I can safely say that I did not expect such explosive interest. I asked the question so that I could gain a perspective of what kinds of innovations in programming people thought were most important when they were starting out. At the time of writing this I have read ~95% of all answers. To answer a few questions, the "Next Big Things" I listed are ones that I am currently really excited about and that I had not really been exposed to until I started working. I'm hoping to implement some or all of these in the near future at my current workplace. To many people they are probably old news. In regards to the "is this a real question" debate, I can see that obviously hasn't been settled yet. I feel bad whenever I read a comment saying that these kinds of questions take away from the real meaning of SO. I'm not wholly convinced that it doesn't. On the other hand, I have seen a lot of comments saying what a great question it is. Anyway, I have chosen "The Internet!" as my answer to this question. I don't think (in my very humble opinion, and, it seems many SOers opinions) that many things related to programming can compare. Nowadays every business and their dog has a website which can do anything from simply supplying information to purchasing goods halfway around the world to updating your blog. And of course, all these businesses need people like us. Thanks to everyone for all the great answers!

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  • Issues in Ada Concurrency

    - by Arkapravo
    Hi I need some help and also some insight. This is a program in Ada-2005 which has 3 tasks. The output is 'z'. If the 3 tasks do not happen in the order of their placement in the program then output can vary from z = 2, z = 1 to z = 0 ( That is easy to see in the program, mutual exclusion is attempted to make sure output is z = 2). WITH Ada.Text_IO; USE Ada.Text_IO; WITH Ada.Integer_Text_IO; USE Ada.Integer_Text_IO; WITH System; USE System; procedure xyz is x : Integer := 0; y : Integer := 0; z : Integer := 0; task task1 is pragma Priority(System.Default_Priority + 3); end task1; task task2 is pragma Priority(System.Default_Priority + 2); end task2; task task3 is pragma Priority(System.Default_Priority + 1); end task3; task body task1 is begin x := x + 1; end task1; task body task2 is begin y := x + y; end task2; task body task3 is begin z := x + y + z; end task3; begin Put(" z = "); Put(z); end xyz; I first tried this program (a) without pragmas, the result : In 100 tries, occurence of 2: 86, occurence of 1: 10, occurence of 0: 4. Then (b) with pragmas, the result : In 100 tries, occurence of 2: 84, occurence of 1 : 14, occurence of 0: 2. Which is unexpected as the 2 results are nearly identical. Which means pragmas or no pragmas the output has same behavior. Those who are Ada concurrency Gurus please shed some light on this topic. Alternative solutions with semaphores (if possible) is also invited. Further in my opinion for a critical process (that is what we do with Ada), with pragmas the result should be z = 2, 100% at all times, hence or otherwise this program should be termed as 85% critical !!!! (That should not be so with Ada)

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  • How hard programming is? Really. [closed]

    - by Bubba88
    Hi! The question is about your perception of programming activity. How hard/exacting this task is? There is much buzz about programming nowadays, people say that programmers are smart, very technical and abstract at a time, know much about world, psychology etc.. They say, that programmers got really powerful brain thing, cause there is much to keep in consideration simultaneously again with much information folded into each other associatively (up 10 levels of folding they say))) Still, there are some terms to specify at our own.. So that is the question: What do you think about programming in general? Is it hard? Is it 'for everyone' or for the particular kind of people only? How much non-CS background do you need to program (just to program, really; enterprise applications for example)? How long is the learning curve? (again, for programming in general) And another bunch of random questions: - If you were not to like/love programming, would that be a serious trouble bothering your current employment? - If you were to start from the beginning, would you chose that direction this time? - What other areas (jobs or maybe hobbies) are comparable to programming in the way they can explode someone's lovely brain? - Is 'non turing-complete programming' (SQL, XML, etc.) comparable to what we do or is it really way easier, less requiring, cheap and akin to cooking :)? Well, the essence is: How would you describe programming activity WRT to its difficulty? Or, on the other hand: Did you ever catch yourself thinking at some point: OMG, it's sooo hard! I don't know how would I ever program, even carried away this way and doing programming just for fun? It's very interesting to know your opinion, your'e the programmers after all. I mean much people must be exaggerating/speculating about the thing they do not really know about. But that musn't be the case here on SO :) P.S.: I'll try my best to update this post later, and you please edit it too. At least I'll get decent English in my question text :)

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  • WordPress Write Cache Problem with Multiple Sessions

    - by Volomike
    I'm working on a content dripper custom plugin in WordPress that my client asked me to build. He says he wants it to catch a page view event, and if it's the right time of day (24 hours since last post), to pull from a resource file and output another post. He needed it to also raise a flag and prevent other sessions from firing that same snippet of code. So, raise some kind of flag saying, "I'm posting that post, go away other process," and then it makes that post and releases the flag again. However, the strangest thing is occurring when placed under load with multiple sessions hitting the site with page views. It's firing instead of one post -- it's randomly doing like 1, 2, or 3 extra posts, with each one thinking that it was the right time to post because it was 24 hours past the time of the last post. Because it's somewhat random, I'm guessing that the problem is some kind of write caching where the other sessions don't see the raised flag just yet until a couple microseconds pass. The plugin was raising the "flag" by simply writing to the wp_options table with the update_option() API in WordPress. The other user sessions were supposed to read that value with get_option() and see the flag, and then not run that piece of code that creates the post because a given session was already doing it. Then, when done, I lower the flag and the other sessions continue as normal. But what it's doing is letting those other sessions in. To make this work, I was using add_action('loop_start','checkToAddContent'). The odd thing about that function though is that it's called more than once on a page, and in fact some plugins may call it. I don't know if there's a better event to hook. Even still, even if I find an event to hook that only runs once on a page view, I still have multiple sessions to contend with (different users who may view the page at the same time) and I want only one given session to trigger the content post when the post is due on the schedule. I'm wondering if there are any WordPress plugin devs out there who could suggest another event hook to latch on to, and to figure out another way to raise a flag that all sessions would see. I mean, I could use the shared memory API in PHP, but many hosting plans have that disabled. Can't use a cookie or session var because that's only one single session. About the only thing that might work across hosting plans would be to drop a file as a flag, instead. If the file is present, then one session has the flag. If the file is not present, then other sessions can attempt to get the flag. Sure, I could use the file route, but it's kind of immature in my opinion and I was wondering if there's something in WordPress I could do.

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  • HowTo stick QDialog to Screen Borders like Skype do?

    - by mosg
    Hello. A long time ago I tried to find method how to stick QDialog window to screen borders for my small projects like Skype windows do it, but I failed. May be I was looking this code not in the right place, so now I'm looking the solution here, on stack! :) So, does any one have a deal with some kind of such code, links, samples? In my opinion, we have to reimplement QDialog moveEvent function, like below, but that code does not working: void CDialog::moveEvent(QMoveEvent * event) { QRect wndRect; int leftTaskbar = 0, rightTaskbar = 0, topTaskbar = 0, bottomTaskbar = 0; // int top = 0, left = 0, right = 0, bottom = 0; wndRect = this->frameGeometry(); // Screen resolution int screenWidth = QApplication::desktop()->width(); int screenHeight = QApplication::desktop()->height(); int wndWidth = wndRect.right() - wndRect.left(); int wndHeight = wndRect.bottom() - wndRect.top(); int posX = event->pos().x(); int posY = event->pos().y(); // Snap to screen border // Left border if (posX >= -m_nXOffset + leftTaskbar && posX <= leftTaskbar + m_nXOffset) { //left = leftTaskbar; this->move(leftTaskbar, posY); return; } // Top border if (posY >= -m_nYOffset && posY <= topTaskbar + m_nYOffset) { //top = topTaskbar; this->move(posX, topTaskbar); return; } // Right border if (posX + wndWidth <= screenWidth - rightTaskbar + m_nXOffset && posX + wndWidth >= screenWidth - rightTaskbar - m_nXOffset) { //right = screenWidth - rightTaskbar - wndWidth; this->move(screenWidth - rightTaskbar - wndWidth, posY); return; } // Bottom border if (posY + wndHeight <= screenHeight - bottomTaskbar + m_nYOffset && posY + wndHeight >= screenHeight - bottomTaskbar - m_nYOffset) { //bottom = screenHeight - bottomTaskbar - wndHeight; this->move(posX, screenHeight - bottomTaskbar - wndHeight); return; } QDialog::moveEvent(event); } Thanks.

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  • Is it ok to use <strong> in place of <b> blindly ?

    - by metal-gear-solid
    Note: I know <b> is presentational and <span style="font-weight:bold> is better way and <strong> and <em> for emphasis but my question is not regarding this. Should we convert every <b> to <strong> blindly ? many people do this they think <b> is not good as per web standards so they convert every <b> to <strong> upon site redesign, content re-population, new site design and people suggest this to others also. Dreamweaver has also given option to convert all <b> and <i> to <strong> and <em> on code paste in design view and when we use B and I Which people use blindly. And Dreamweaver(if above option is checked) and many online WYSIWYG editor give output in <strong> and <em> while button shows B and I. In my opinion it's creating misconception about <strong> and <b> When we get content from client we don't know where client want to give emphasize and where he just want to use text bold for presentation purpose.What we should do in this condition? no one has time client and we both to give time to think for each bold text, it should be in <b> or in <strong>, <i> or in <em> What are pros and cons to convert every <b> and <i> into <strong> and <em> blindly if we are saying our site is accessible? Update: remember <b> and <i> are not deprecated there are in HTML 5 specification

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  • How build my own Application Setting

    - by adisembiring
    I want to build a ApplicationSetting for my application. The ApplicationSetting can be stored in a properties file or in a database table. The settings are stored in key-value pairs. E.g. ftp.host = blade ftp.username = dummy ftp.pass = pass content.row_pagination = 20 content.title = How to train your dragon. I have designed it as follows: Application settings reader: interface IApplicationSettingReader { read(); } DatabaseApplicationSettingReader { dao appSettingDao; AppSettings read() { List<AppSettingEntity> listEntity = appSettingsDao.findAll(); Map<String, String> map = new HaspMap<String, String>(); foreach (AppSettingEntity entity : listEntity) { map.put(entity.getConfigName(), entity.getConfigValue()); } return new AppSettings(map); } } DatabaseApplicationSettingReader { dao appSettingDao; AppSettings read() { //read from some properties file return new AppSettings(map); } } Application settings class: AppSettings { private static AppSettings instance; private Map map; Public AppSettings(Map map) { this.map = map; } public static AppSettings getInstance() { if (instance == null) { throw new RuntimeException("Object not configure yet"); } return instance; } public static configure(IApplicationSettingReader reader) { instance = reader.read(); } public String getFtpSetting(String param) { return map.get("ftp." + param); } public String getContentSetting(String param) { return map.get("content." + param); } } Test class: AppSettingsTest { IApplicationSettingReader reader; @Before public void setUp() throws Exception { reader = new DatabaseApplicationSettingReader(); } @Test public void getContentSetting_should_get_content_title() { AppSettings.configure(reader); Instance settings = AppSettings.getInstance(); String title = settings.getContentSetting("title"); assertNotNull(title); Sysout(title); } } My questions are: Can you give your opinion about my code, is there something wrong? I configure my application setting once, while the application start, I configure the application setting with appropriate reader (DbReader or PropertiesReader), I make it singleton. The problem is, when some user edit the database or file directly to database or file, I can't get the changed values. Now, I want to implement something like ApplicationSettingChangeListener. So if the data changes, I will refresh my application settings. Do you have any suggestions how this can be implemented?

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  • Why does my ko computed observable not update bound UI elements when its value changes?

    - by Allen
    I'm trying to wrap a cookie in a computed observable (which I'll later turn into a protectedObservable) and I'm having some problems with the computed observable. I was under the opinion that changes to the computed observable would be broadcast to any UI elements that have been bound to it. I've created the following fiddle JavaScript: var viewModel = {}; // simulating a cookie store, this part isnt as important var cookie = function () { // simulating a value stored in cookies var privateZipcode = "12345"; return { 'write' : function (val) { privateZipcode = val; }, 'read': function () { return privateZipcode; } } }(); viewModel.zipcode = ko.computed({ read: function () { return cookie.read(); }, write: function (value) { cookie.write(value); }, owner: viewModel }); ko.applyBindings(viewModel);? HTML: zipcode: <input type='text' data-bind="value: zipcode"> <br /> zipcode: <span data-bind="text: zipcode"></span>? I'm not using an observable to store privateZipcode since that's really just going to be in a cookie. I'm hoping that the ko.computed will provide the notifications and binding functionality that I need, though most of the examples I've seen with ko.computed end up using a ko.observable underneath the covers. Shouldn't the act of writing the value to my computed observable signal the UI elements that are bound to its value? Shouldn't these just update? Workaround I've got a simple workaround where I just use a ko.observable along side of my cookie store and using that will trigger the required updates to my DOM elements but this seems completely unnecessary, unless ko.computed lacks the signaling / dependency type functionality that ko.observable has. My workaround fiddle, you'll notice that the only thing that changes is that I added a seperateObservable that isn't used as a store, its only purpose is to signal to the UI that the underlying data has changed. // simulating a cookie store, this part isnt as important var cookie = function () { // simulating a value stored in cookies var privateZipcode = "12345"; // extra observable that isnt really used as a store, just to trigger updates to the UI var seperateObservable = ko.observable(privateZipcode); return { 'write' : function (val) { privateZipcode = val; seperateObservable(val); }, 'read': function () { seperateObservable(); return privateZipcode; } } }(); This makes sense and works as I'd expect because viewModel.zipcode depends on seperateObservable and updates to that should (and does) signal the UI to update. What I don't understand, is why doesn't a call to the write function on my ko.computed signal the UI to update, since that element is bound to that ko.computed? I suspected that I might have to use something in knockout to manually signal that my ko.computed has been updated, and I'm fine with that, that makes sense. I just haven't been able to find a way to accomplish that.

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  • How does the rsync algorithm correctly identify repeating blocks?

    - by Kai
    I'm on a personal quest to learn how the rsync algorithm works. After some reading and thinking, I've come up with a situation where I think the algorithm fails. I'm trying to figure out how this is resolved in an actual implementation. Consider this example, where A is the receiver and B is the sender. A = abcde1234512345fghij B = abcde12345fghij As you can see, the only change is that 12345 has been removed. Now, to make this example interesting, let's choose a block size of 5 bytes (chars). Hashing the values on the sender's side using the weak checksum gives the following values list. abcde|12345|fghij abcde -> 495 12345 -> 255 fghij -> 520 values = [495, 255, 520] Next we check to see if any hash values differ in A. If there's a matching block we can skip to the end of that block for the next check. If there's a non-matching block then we've found a difference. I'll step through this process. Hash the first block. Does this hash exist in the values list? abcde -> 495 (yes, so skip) Hash the second block. Does this hash exist in the values list? 12345 -> 255 (yes, so skip) Hash the third block. Does this hash exist in the values list? 12345 -> 255 (yes, so skip) Hash the fourth block. Does this hash exist in the values list? fghij -> 520 (yes, so skip) No more data, we're done. Since every hash was found in the values list, we conclude that A and B are the same. Which, in my humble opinion, isn't true. It seems to me this will happen whenever there is more than one block that share the same hash. What am I missing?

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  • What is the best practice for adding persistence to an MVC model?

    - by etheros
    I'm in the process of implementing an ultra-light MVC framework in PHP. It seems to be a common opinion that the loading of data from a database, file etc. should be independent of the Model, and I agree. What I'm unsure of is the best way to link this "data layer" into MVC. Datastore interacts with Model //controller public function update() { $model = $this->loadModel('foo'); $data = $this->loadDataStore('foo', $model); $data->loadBar(9); //loads data and populates Model $model->setBar('bar'); $data->save(); //reads data from Model and saves } Controller mediates between Model and Datastore Seems a bit verbose and requires the model to know that a datastore exists. //controller public function update() { $model = $this->loadModel('foo'); $data = $this->loadDataStore('foo'); $model->setDataStore($data); $model->getDataStore->loadBar(9); //loads data and populates Model $model->setBar('bar'); $model->getDataStore->save(); //reads data from Model and saves } Datastore extends Model What happens if we want to save a Model extending a database datastore to a flatfile datastore? //controller public function update() { $model = $this->loadHybrid('foo'); //get_class == Datastore_Database $model->loadBar(9); //loads data and populates $model->setBar('bar'); $model->save(); //saves } Model extends datastore This allows for Model portability, but it seems wrong to extend like this. Further, the datastore cannot make use of any of the Model's methods. //controller extends model public function update() { $model = $this->loadHybrid('foo'); //get_class == Model $model->loadBar(9); //loads data and populates $model->setBar('bar'); $model->save(); //saves } EDIT: Model communicates with DAO //model public function __construct($dao) { $this->dao = $dao; } //model public function setBar($bar) { //a bunch of business logic goes here $this->dao->setBar($bar); } //controller public function update() { $model = $this->loadModel('foo'); $model->setBar('baz'); $model->save(); } Any input on the "best" option - or alternative - is most appreciated.

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  • Selecting one row when working with typed datasets.

    - by Wodzu
    I have a typed dataset in my project. I would like to populate a datatable with only one row instead of all rows. The selected row must be based on the primary key column. I know I could modify the designer code to achive this functionality however if I change the code in the designer I risk that this code will be deleted when I update my datased via designer in the future. So I wanted to alter the SelectCommand not in the designer but just before firing up MyTypedTableAdapter.Fill method. The strange thing is that the designer does not create a SelectCommand! It creates all other commands but not this one. If it would create SelectCommand I could alter it in this way: this.operatorzyTableAdapter.Adapter.SelectCommand.CommandText += " WHERE MyColumn = 1"; It is far from perfection but atleast I would not have to modify the designer's work. unfortunately as I said earlier the SelectCommand is not created. Instead designer creates something like this: [global::System.Diagnostics.DebuggerNonUserCodeAttribute()] private void InitCommandCollection() { this._commandCollection = new global::System.Data.SqlClient.SqlCommand[1]; this._commandCollection[0] = new global::System.Data.SqlClient.SqlCommand(); this._commandCollection[0].Connection = this.Connection; this._commandCollection[0].CommandText = "SELECT Ope_OpeID, Ope_Kod, Ope_Haslo, Ope_Imie, Ope_Nazwisko FROM dbo.Operatorzy"; this._commandCollection[0].CommandType = global::System.Data.CommandType.Text; } It doesn't make sense in my opinion. Why to create UpdateCommand, InsertCommand and DeleteCommand but do not create SelectCommand? I could bear with this but this._commandCollection is private so I cannot acces it outside of the class code. I don't know how to get into this collection without changing the designer's code. The idea which I have is to expose the collection via partial class definition. However I want to introduce many typed datasets and I really don't want to create partial class definition for each of them. Please note that I am using .NET 3.5. I've found this article about accessing private properties but it concerns .NET 4.0 Thanks for your time.

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  • What does these FindBug messages show?

    - by Hans Klock
    Not every description from from http://findbugs.sourceforge.net/bugDescriptions.html is clear to me. Sure, I can study the implementation but if somebody is more experienced then me, some explanation and examples would be great. Do you have some examples for UI_INHERITANCE_UNSAFE_GETRESOURCE when this is getting a problem? In BX_UNBOXED_AND_COERCED_FOR_TERNARY_OPERATOR I don't see the problem either. If one type is "bigger" then the other, for example int and float, then the result is float. If its Integer and Float its the wrapper Float too. That's what I expect. Does the GC_UNRELATED_TYPES really help to find errors? Isn't it the job of the compiler to check, if--taking the given example--Foo can't go into a Collection<String>. Does HE_SIGNATURE_DECLARES_HASHING_OF_UNHASHABLE_CLASS mean something like bla(Foo f){hashtable.put(f);}, where ´Foo´ is not hashable? Does FingBugs "see" the subclasses too? NP_GUARANTEED_DEREF_ON_EXCEPTION_PATH is stronger "wrong" then NP_ALWAYS_NULL_EXCEPTION? Why two error cases and with NP_NULL_ON_SOME_PATH_EXCEPTION even one more? Sounds very similar to me. What is an example of SIO_SUPERFLUOUS_INSTANCEOF? Something like foo(String s){if (s intenceof String) .... This does a null check too, but this is not the test here... NN_NAKED_NOTIFY. I my opinion the description is not clear. A change of the state is not necessary. If I use new Object() to wait and notify on I don't change the object state. Or is state the lock-state? I don't get it. SP_SPIN_ON_FIELD. Can this really happen that a compiler will move this outside from a loop? This doesn't make sense to me because from outside a Thread can always change the values. And if the variable is volatile the JVM can't cache the value. So what's the meaning? That is the difference between STCAL_STATIC_CALENDAR_INSTANCE and STCAL_INVOKE_ON_STATIC_CALENDAR_INSTANCE or STCAL_INVOKE_ON_STATIC_DATE_FORMAT_INSTANCE/STCAL_STATIC_SIMPLE_DATE_FORMAT_INSTANCE? Why is XXXX.class in WL_USING_GETCLASS_RATHER_THAN_CLASS_LITERAL better then getClass()? A getClass() in a superclass called from the subclass will always return the Class object from the subclass which is good I think. What exactly does EQ_UNUSUAL do? It should check that the argument is of the same type of the class itself but it does't? Did you ever had problems with breaks? Is there real value with SF_SWITCH_FALLTHROUGH? Sounds to strong for me. No idea what TQ_EXPLICIT_UNKNOWN_SOURCE_VALUE_REACHES_ALWAYS_SINK and TQ_EXPLICIT_UNKNOWN_SOURCE_VALUE_REACHES_NEVER_SINK could be.

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  • Why is the W3C box model considered better?

    - by Mel
    Why do most developers consider the W3C box-model to be better than the box-model used by Internet Explorer? I know it's very frustrating developing pages that look the way you want them on Internet Explorer, but I find the W3C box-model to be counter-intuitive. For example, if margins, padding, and border were factored into the width, I could assign fixed width values for all my columns without having to worry about how many columns I have and what changes I make to my padding and margins. Under W3C box model I have to worry about how many columns I have, and develop something akin to a mathematical formula to calculate my values. Changing them would nightmarish, especially for complex layouts. My novice opinion is that it's more restrictive. Consider this small frame-work I wrote: #content { margin:0 auto 30px auto; padding:0 30px 30px 30px; width:900px; } #content .column { float:left; margin:0 20px 20px 20px; } #content .first { margin-left:0; } #content .last { margin-right:0; } .width_1-4 { width:195px; } .width_1-3 { width:273px; } .width_1-2 { width:430px; } .width_3-4 { width:645px; } .width_1-1 { width:900px; } These values I have assigned here will falter unless there are three columns, and thus the margins at 0(first)+20+20+20+20+0(last). It would be a disaster if I wanted to add padding to my columns too, as my entire setup would have to be re calibrated. Now imagine if column width incorporated all the other elements, all I would need to do is change one associated value, and I have my layout. I'm less criticizing it and more hoping to understand why it's better, or why I'm finding it more difficult. Am I doing this whole thing wrong? I don't know very much about this topic, but it seems counter intuitive to use W3C's box-model. Some advice would be really appreciated. Thanks

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  • What would you suggest as a high school first language?

    - by ldigas
    Edit by OA: After reading some answers I'll just update the question a little. At first I put it a little bluntly, but some of those gave me some good arguments which have to be taken into consideration while making a stand on this one. (these are mostly picked up from comments and answers below). A few things to take into account: to many pupils this is a first programming language - at this stage most of them have trouble grasping a difference between data types, variable passing, ... and whatnot, less alone pointers and similar 'low level stuff' :) they will all have to pass this to get into next grade (well, big majority of them anyway) not all of them have computers at home, not all of them are willing to learn this, less alone interested in - so the concepts have to be taught on a finite time scale in school hours (as well as practice on computers) free literature is a bonus - the teacher will make some scripts and handaways, but still ... I wouldn't like to bear the parents with the burden of buying expensive literature (also, english is not a native language here ... and although they are all learning it, their ability to read it fluently is somewhat questionable) somebody gave an argument - "a language which does not get in the way of ideas" - good one accessibility on different platforms in not expecially important at this point - although most of the suggested ones are available on win as well as linux - not many macs in this part of europe (their prices are sky high for anything but specialised usage) I will check what are the licencing issues on ms express editions about using it massively in high schools for purposes like this - if someone has any info about this, please, do not be shy with it :) A friend of mine, informatics teacher - in EU it comes as something as junior cs teacher, in a local high school asked me what I thought about what should be the first language pupils should be taught? It is a technical school (a little more oriented towards mathematics than the gymnasium, but not computer oriented totally). So I'm asking you - what do you think should be the first language pupils are exposed to in highschool? They have been teaching Pascal so far, but she's not sure that's a good course. She thought about switching to C (which I resented; considering not all pupils have interests in programming, to start with, and should be taught something higher level since they are just gripping the idea of a loop and such ... for a start), I suggested python or ruby (preferably py since it handles all paradigms). What is your opinion on this one? I looked, but didn't find a similar question on SO, so if there is one, please just point me towards it. Edit: The assumption is that none of the pupils have been exposed to any programming in junior school. See also: What is the best way to teach young kids some basic programming concepts? Best ways to teach a beginner to program How and when do you teach a kid to code What is the easiest language to start with? High School Programming

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  • approximating log10[x^k0 + k1]

    - by Yale Zhang
    Greetings. I'm trying to approximate the function Log10[x^k0 + k1], where .21 < k0 < 21, 0 < k1 < ~2000, and x is integer < 2^14. k0 & k1 are constant. For practical purposes, you can assume k0 = 2.12, k1 = 2660. The desired accuracy is 5*10^-4 relative error. This function is virtually identical to Log[x], except near 0, where it differs a lot. I already have came up with a SIMD implementation that is ~1.15x faster than a simple lookup table, but would like to improve it if possible, which I think is very hard due to lack of efficient instructions. My SIMD implementation uses 16bit fixed point arithmetic to evaluate a 3rd degree polynomial (I use least squares fit). The polynomial uses different coefficients for different input ranges. There are 8 ranges, and range i spans (64)2^i to (64)2^(i + 1). The rational behind this is the derivatives of Log[x] drop rapidly with x, meaning a polynomial will fit it more accurately since polynomials are an exact fit for functions that have a derivative of 0 beyond a certain order. SIMD table lookups are done very efficiently with a single _mm_shuffle_epi8(). I use SSE's float to int conversion to get the exponent and significand used for the fixed point approximation. I also software pipelined the loop to get ~1.25x speedup, so further code optimizations are probably unlikely. What I'm asking is if there's a more efficient approximation at a higher level? For example: Can this function be decomposed into functions with a limited domain like log2((2^x) * significand) = x + log2(significand) hence eliminating the need to deal with different ranges (table lookups). The main problem I think is adding the k1 term kills all those nice log properties that we know and love, making it not possible. Or is it? Iterative method? don't think so because the Newton method for log[x] is already a complicated expression Exploiting locality of neighboring pixels? - if the range of the 8 inputs fall in the same approximation range, then I can look up a single coefficient, instead of looking up separate coefficients for each element. Thus, I can use this as a fast common case, and use a slower, general code path when it isn't. But for my data, the range needs to be ~2000 before this property hold 70% of the time, which doesn't seem to make this method competitive. Please, give me some opinion, especially if you're an applied mathematician, even if you say it can't be done. Thanks.

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  • How to Work Around Limitations in Generic Type Constraints in C#?

    - by Jose
    Okay I'm looking for some input, I'm pretty sure this is not currently supported in .NET 3.5 but here goes. I want to require a generic type passed into my class to have a constructor like this: new(IDictionary<string,object>) so the class would look like this public MyClass<T> where T : new(IDictionary<string,object>) { T CreateObject(IDictionary<string,object> values) { return new T(values); } } But the compiler doesn't support this, it doesn't really know what I'm asking. Some of you might ask, why do you want to do this? Well I'm working on a pet project of an ORM so I get values from the DB and then create the object and load the values. I thought it would be cleaner to allow the object just create itself with the values I give it. As far as I can tell I have two options: 1) Use reflection(which I'm trying to avoid) to grab the PropertyInfo[] array and then use that to load the values. 2) require T to support an interface like so: public interface ILoadValues { void LoadValues(IDictionary values); } and then do this public MyClass<T> where T:new(),ILoadValues { T CreateObject(IDictionary<string,object> values) { T obj = new T(); obj.LoadValues(values); return obj; } } The problem I have with the interface I guess is philosophical, I don't really want to expose a public method for people to load the values. Using the constructor the idea was that if I had an object like this namespace DataSource.Data { public class User { protected internal User(IDictionary<string,object> values) { //Initialize } } } As long as the MyClass<T> was in the same assembly the constructor would be available. I personally think that the Type constraint in my opinion should ask (Do I have access to this constructor? I do, great!) Anyways any input is welcome.

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  • Best of both worlds: browser and desktop game?

    - by Ricket
    When considering a platform for a game, I've decided on multi-platform (Win/Lin/Mac) but can't make up my mind as far as browser vs. desktop. As I'm not all too far in development, and now having second thoughts, I'd like your opinion! Browser-based games using Java applets: market penetration is reasonably high (for version 6, it's somewhere around 60% I believe?) using JOGL, 3D performance/quality is decent; certainly good enough to render the crappy 3D graphics that I make there's the (small?) possibility of porting something to Android great for an audience of gamers who switch computers often; can sit down at any computer, load a webpage and play it also great for casual gamers or less knowledgeable gamers who are quite happy with playing games in a browser but don't want to install more things to their computer written in a high-level language which I am more familiar with than C++ - but at the same time, I would like to improve my skills with C++ as it is probably where I am headed in the game industry once I get out of school... easier update process: reload the page. Desktop games using good ol' C++ and OpenGL 100% market penetration, assuming complete cross-platform; however, that number reduces when you consider how many people will go through downloading and installing an executable compared to just browsing to a webpage and hitting "yes" to a security warning. more trouble to maintain the cross-platform; but again, for learning purposes I would embrace the challenge and the knowledge I would gain better performance all around true full screen, whereas browser games often struggle with smooth full screen graphics (especially on Linux, in my experience) can take advantage of distribution platforms such as Steam more likely to be considered a "real" game, whereas browser and Java games are often dismissed as not being real games and therefore not played by "hardcore gamers" installer can be large; don't have to worry so much about download times Is there a way to have the best of both worlds? I love Java applets, but I also really like the reasons to write a desktop game. I don't want to constantly port everything between a Java applet project and a C++ project; that would be twice the work! Unity chose to write their own web player plugin. I don't like this, because I am one of the people that will not install their web player for anything, and I don't see myself being able to convince my audience to install a browser plugin. What are my options? Are there other examples out there besides Unity, of games that have browser and desktop versions? Did I leave out anything in the pro/con lists above?

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