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  • Analyzing bitmaps produced by NSAffineTransform and CILineOverlay filters

    - by Adam
    I am trying to manipulate an image using a chain of CIFilters, and then examine each byte of the resulting image (bitmap). Long term, I do not need to display the resulting image (bitmap) -- I just need to "analyze" it in memory. But near-term I am displaying it on screen, to help with debugging. I have some "bitmap examination" code that works as expected when examining the NSImage (bitmap representation) I use as my input (loaded from a JPG file into an NSImage). And it SOMETIMES works as expected when I use it on the outputBitmap produced by the code below. More specifically, when I use an NSAffineTransform filter to create outputBitmap, then outputBitmap contains the data I would expect. But if I use a CILineOverlay filter to create the outputBitmap, none of the bytes in the bitmap have any data in them. I believe both of these filters are working as expected, because when I display their results on screen (via outputImageView), they look "correct." Yet when I examine the outputBitmaps, the one created from the CILineOverlay filter is "empty" while the one created from NSAffineTransfer contains data. Furthermore, if I chain the two filters together, the final resulting bitmap only seems to contain data if I run the AffineTransform last. Seems very strange, to me??? My understanding (from reading the CI programming guide) is that the CIImage should be considered an "image recipe" rather than an actual image, because the image isn't actually created until the image is "drawn." Given that, it would make sense that the CIimage bitmap doesn't have data -- but I don't understand why it has data after I run the NSAffineTransform but doesn't have data after running the CILineOverlay transform? Basically, I am trying to determine if creating the NSCIImageRep (ir in the code below) from the CIImage (myResult) is equivalent to "drawing" the CIImage -- in other words if that should force the bitmap to be populated? If someone knows the answer to this please let me know -- it will save me a few hours of trial and error experimenting! Finally, if the answer is "you must draw to a graphics context" ... then I have another question: would I need to do something along the lines of what is described in the Quartz 2D Programming Guide: Graphics Contexts, listing 2-7 and 2-8: drawing to a bitmap graphics context? That is the path down which I am about to head ... but it seems like a lot of code just to force the bitmap data to be dumped into an array where I can get at it. So if there is an easier or better way please let me know. I just want to take the data (that should be) in myResult and put it into a bitmap array where I can access it at the byte level. And since I already have code that works with an NSBitmapImageRep, unless doing it that way is a bad idea for some reason that is not readily apparent to me, then I would prefer to "convert" myResult into an NSBitmapImageRep. CIImage * myResult = [transform valueForKey:@"outputImage"]; NSImage *outputImage; NSCIImageRep *ir = [NSCIImageRep alloc]; ir = [NSCIImageRep imageRepWithCIImage:myResult]; outputImage = [[[NSImage alloc] initWithSize: NSMakeSize(inputImage.size.width, inputImage.size.height)] autorelease]; [outputImage addRepresentation:ir]; [outputImageView setImage: outputImage]; NSBitmapImageRep *outputBitmap = [[NSBitmapImageRep alloc] initWithCIImage: myResult]; Thanks, Adam

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  • Partial generic type inference possible in C#?

    - by Lasse V. Karlsen
    I am working on rewriting my fluent interface for my IoC class library, and when I refactored some code in order to share some common functionality through a base class, I hit upon a snag. Note: This is something I want to do, not something I have to do. If I have to make do with a different syntax, I will, but if anyone has an idea on how to make my code compile the way I want it, it would be most welcome. I want some extension methods to be available for a specific base-class, and these methods should be generic, with one generic type, related to an argument to the method, but the methods should also return a specific type related to the particular descendant they're invoked upon. Better with a code example than the above description methinks. Here's a simple and complete example of what doesn't work: using System; namespace ConsoleApplication16 { public class ParameterizedRegistrationBase { } public class ConcreteTypeRegistration : ParameterizedRegistrationBase { public void SomethingConcrete() { } } public class DelegateRegistration : ParameterizedRegistrationBase { public void SomethingDelegated() { } } public static class Extensions { public static ParameterizedRegistrationBase Parameter<T>( this ParameterizedRegistrationBase p, string name, T value) { return p; } } class Program { static void Main(string[] args) { ConcreteTypeRegistration ct = new ConcreteTypeRegistration(); ct .Parameter<int>("age", 20) .SomethingConcrete(); // <-- this is not available DelegateRegistration del = new DelegateRegistration(); del .Parameter<int>("age", 20) .SomethingDelegated(); // <-- neither is this } } } If you compile this, you'll get: 'ConsoleApplication16.ParameterizedRegistrationBase' does not contain a definition for 'SomethingConcrete' and no extension method 'SomethingConcrete'... 'ConsoleApplication16.ParameterizedRegistrationBase' does not contain a definition for 'SomethingDelegated' and no extension method 'SomethingDelegated'... What I want is for the extension method (Parameter<T>) to be able to be invoked on both ConcreteTypeRegistration and DelegateRegistration, and in both cases the return type should match the type the extension was invoked on. The problem is as follows: I would like to write: ct.Parameter<string>("name", "Lasse") ^------^ notice only one generic argument but also that Parameter<T> returns an object of the same type it was invoked on, which means: ct.Parameter<string>("name", "Lasse").SomethingConcrete(); ^ ^-------+-------^ | | +---------------------------------------------+ .SomethingConcrete comes from the object in "ct" which in this case is of type ConcreteTypeRegistration Is there any way I can trick the compiler into making this leap for me? If I add two generic type arguments to the Parameter method, type inference forces me to either provide both, or none, which means this: public static TReg Parameter<TReg, T>( this TReg p, string name, T value) where TReg : ParameterizedRegistrationBase gives me this: Using the generic method 'ConsoleApplication16.Extensions.Parameter<TReg,T>(TReg, string, T)' requires 2 type arguments Using the generic method 'ConsoleApplication16.Extensions.Parameter<TReg,T>(TReg, string, T)' requires 2 type arguments Which is just as bad. I can easily restructure the classes, or even make the methods non-extension-methods by introducing them into the hierarchy, but my question is if I can avoid having to duplicate the methods for the two descendants, and in some way declare them only once, for the base class. Let me rephrase that. Is there a way to change the classes in the first code example above, so that the syntax in the Main-method can be kept, without duplicating the methods in question? The code will have to be compatible with both C# 3.0 and 4.0. Edit: The reason I'd rather not leave both generic type arguments to inference is that for some services, I want to specify a parameter value for a constructor parameter that is of one type, but pass in a value that is a descendant. For the moment, matching of specified argument values and the correct constructor to call is done using both the name and the type of the argument. Let me give an example: ServiceContainerBuilder.Register<ISomeService>(r => r .From(f => f.ConcreteType<FileService>(ct => ct .Parameter<Stream>("source", new FileStream(...))))); ^--+---^ ^---+----^ | | | +- has to be a descendant of Stream | +- has to match constructor of FileService If I leave both to type inference, the parameter type will be FileStream, not Stream.

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  • Minimum-Waste Print Job Grouping Algorithm?

    - by Matt Mc
    I work at a publishing house and I am setting up one of our presses for "ganging", in other words, printing multiple jobs simultaneously. Given that different print jobs can have different quantities, and anywhere from 1 to 20 jobs might need to be considered at a time, the problem would be to determine which jobs to group together to minimize waste (waste coming from over-printing on smaller-quantity jobs in a given set, that is). Given the following stable data: All jobs are equal in terms of spatial size--placement on paper doesn't come into consideration. There are three "lanes", meaning that three jobs can be printed simultaneously. Ideally, each lane has one job. Part of the problem is minimizing how many lanes each job is run on. If necessary, one job could be run on two lanes, with a second job on the third lane. The "grouping" waste from a given set of jobs (let's say the quantities of them are x, y and z) would be the highest number minus the two lower numbers. So if x is the higher number, the grouping waste would be (x - y) + (x - z). Otherwise stated, waste is produced by printing job Y and Z (in excess of their quantities) up to the quantity of X. The grouping waste would be a qualifier for the given set, meaning it could not exceed a certain quantity or the job would simply be printed alone. So the question is stated: how to determine which sets of jobs are grouped together, out of any given number of jobs, based on the qualifiers of 1) Three similar quantities OR 2) Two quantities where one is approximately double the other, AND with the aim of minimal total grouping waste across the various sets. (Edit) Quantity Information: Typical job quantities can be from 150 to 350 on foreign languages, or 500 to 1000 on English print runs. This data can be used to set up some scenarios for an algorithm. For example, let's say you had 5 jobs: 1000, 500, 500, 450, 250 By looking at it, I can see a couple of answers. Obviously (1000/500/500) is not efficient as you'll have a grouping waste of 1000. (500/500/450) is better as you'll have a waste of 50, but then you run (1000) and (250) alone. But you could also run (1000/500) with 1000 on two lanes, (500/250) with 500 on two lanes and then (450) alone. In terms of trade-offs for lane minimization vs. wastage, we could say that any grouping waste over 200 is excessive. (End Edit) ...Needless to say, quite a problem. (For me.) I am a moderately skilled programmer but I do not have much familiarity with algorithms and I am not fully studied in the mathematics of the area. I'm I/P writing a sort of brute-force program that simply tries all options, neglecting any option tree that seems to have excessive grouping waste. However, I can't help but hope there's an easier and more efficient method. I've looked at various websites trying to find out more about algorithms in general and have been slogging my way through the symbology, but it's slow going. Unfortunately, Wikipedia's articles on the subject are very cross-dependent and it's difficult to find an "in". The only thing I've been able to really find would seem to be a definition of the rough type of algorithm I need: "Exclusive Distance Clustering", one-dimensionally speaking. I did look at what seems to be the popularly referred-to algorithm on this site, the Bin Packing one, but I was unable to see exactly how it would work with my problem. Any help is appreciated. :)

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  • Perl IO modules possibly causing issues in Net::DNS module

    - by Rich
    Hi! I’m porting some software that I wrote for a White Russian OpenWRT system to a new Kamikaze 8.09.1 OpenWRT system but I am having some serious issues that I’m hoping you can help me with. Old system Linux kernel 2.4.34 MIPSEL arch Perl 5.8.7 Net::DNS 0.48 IO 1.21 IO::Socket 1.28 IO::Socket::INET 1.28 New system Linux kernel 2.6.26.8 MIPS arch Perl 5.10.0 Net::DNS 0.66 IO 1.23_01 IO::Socket 1.30_01 IO::Socket::INET 1.31 First, let me provide some background information… I am trying to resolve my server (clearprobe.winbeam.com) from within my Perl program and see the following if I enable debugging in Net::DNS: resolve: Server 'clearprobe-ddns.winbeam.com' ;; query(clearprobe-ddns.winbeam.com) ;; setting up an AF_INET() family type UDP socket ;; send_udp(192.168.88.1:53) ;; send_udp(4.2.2.2:53) ;; send_udp(192.168.88.1:53) ;; send_udp(4.2.2.2:53) resolve: res->errorstring: query timed out Both of these servers resolve clearprobe.winbeam.com fine from the command line: root@cwb-2-11:~# echo “nameserver 192.168.88.1” > /etc/resolv.conf root@cwb-2-11:~# nslookup clearprobe-ddns.winbeam.com Server: 192.168.88.1 Address 1: 192.168.88.1 router Name: clearprobe-ddns.winbeam.com Address 1: 64.13.48.40 64-13-48-40.war.clearwire-dns.net root@cwb-2-11:~# echo “nameserver 4.2.2.2” > /etc/resolv.conf root@cwb-2-11:~# nslookup clearprobe-ddns.winbeam.com Server: 4.2.2.2 Address 1: 4.2.2.2 vnsc-bak.sys.gtei.net Name: clearprobe-ddns.winbeam.com Address 1: 64.13.48.40 64-13-48-40.war.clearwire-dns.net Using Perl’s call to the C gethostbyaddr() function works fine, but I need to do another lookup later in the software which requires that I specify the nameserver (clearprobe-ddns.winbeam.com is the authority for my internal DNS zone), hence my Net::DNS requirement. Now, here is the IO module-specific information: What I am seeing is that the reply is coming back from the nameserver (confirmed via tcpdump – I can send the captures if you’d like), but the UDP packets are sitting in the process’s UDP receive queue pending reception by Net::DNS (the approx 1752 bytes per response stay queued waiting for $sel-can_read()): root@cwb-2-11:~# netstat -una Active Internet connections (servers and established) Proto Recv-Q Send-Q Local Address Foreign Address State udp 1752 0 0.0.0.0:52680 0.0.0.0:* root@cwb-2-11:~# netstat -una Active Internet connections (servers and established) Proto Recv-Q Send-Q Local Address Foreign Address State udp 5256 0 0.0.0.0:52680 0.0.0.0:* If I force $sock[AF_INET]-recv($buf, $self-_packetsz) around line 803 of /usr/lib/perl5/5.10/Net/DNS/Resolver/Base.pm, instead of waiting for IO::Select’s can_read() function ( @ready = $sel-can_read($timeout)) to populate @ready, the response is received and processed. Any idea what could be causing this issue? In a possibly related matter, I noticed in another script that the following code fails in the same manner (network responses stay in the process’s TCP receive queue) with the new system: $sock = new IO::Socket::INET( PeerAddr => "$server", PeerPort => 37, Proto => 'tcp', Timeout => 5 ); Whereas the following code works: $sock = new IO::Socket::INET( PeerAddr => "$server", PeerPort => 37, Proto => 'tcp' ); I have looked through the NET::DNS code and don’t see a timeout passed for the UDP sockets, so I am not sure if that this is related or not. Please let me know if I can provide you with any further information in order to help diagnose this issue. Thanks! -Rich

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  • Help with this code.

    - by karthick6891
    Heading ##Hey guys i need help with this code.The short version is,i have to do match the follwing by using drag and drop in jquery and later i need to show a message whether it is right or wrong. var output = "Wrong"; var old_item ; var new_item ; var newObjArray=[]; $(function() { var $gallery = $('.gallery'), $trash = $('.trash'); $('div',$gallery).draggable({ revert: 'invalid', containment: 'document', helper: 'clone', cursor: 'move', }); // let the trash be droppable, accepting the gallery items $trash.droppable({ //accept: '#gallery div', //activeClass: 'ui-state-highlight', tolerance: 'touch', drop: function(ev, ui) { new_item = ui.draggable; $(this).droppable("option","activeClass",'.ui-state-highlight'); if(contains(newObjArray,ui.draggable)) { newObjArray.pop(ui.draggable); } newObjArray.push(ui.draggable); deleteImage(ui.draggable,$(this)); } }); // let the gallery be droppable as well, accepting items from the trash $gallery.droppable({ //accept: '#trash li', activeClass: 'custom-state-active', drop: function(ev, ui) { recycleImage(ui.draggable); } }); // image deletion function function deleteImage($item,element) { var $list; $item.fadeOut(10,function() { if($(".ui-widget-content", element).length <1){ old_item = $item; $list = $('<div class="gallery ui-helper-reset"/>').appendTo(element); //$('ul',$trash).length ? $('ul',$trash) : $('<ul class="gallery ui-helper-reset"/>').appendTo($trash); $item.appendTo($list).fadeIn(10); } else{ recycleImage($(".ui-widget-content",element)); $list = $('<div class="gallery ui-helper-reset"/>').appendTo(element); $item.appendTo($list).fadeIn(10); old_item = $item; } }); } //check for given answer // image recycle function function recycleImage($item) { $item.fadeOut(10,function() { $item.find("img").end().appendTo($gallery).fadeIn(10); }); } // image preview function, demonstrating the ui.dialog used as a modal window }); function checkOrder(){ if(newObjArray==null){ } else if(newObjArray!=null){ if(newObjArray[0].attr("id")=="5"&& newObjArray[1].attr("id")=="1" && newObjArray[2].attr("id")=="3" && newObjArray[3].attr("id")=="2" && newObjArray[4].attr("id")=="4"){ parent.parent.increaseCorrectA(); } else{ parent.parent.increaseWrongA(); } } } function contains(a, obj) { var i = a.length; while (i--) { if (a[i] === obj) { return true; } } return false; } I am calling the function checkOrder() from the html page after the matching of items is over.What happens here is i have just stored the user responses on the draggable over droppable in an array,based on it's position.It is a bad practice cause,i am saying whether it's right or wrong through its position in the array.The only thing i can do is get the draggable's id present in the droppable.But i dont know how to get that inside the function checkOrder().Any ideas please?

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  • What are good CLI tools for JSON?

    - by jasonmp85
    General Problem Though I may be diagnosing the root cause of an event, determining how many users it affected, or distilling timing logs in order to assess the performance and throughput impact of a recent code change, my tools stay the same: grep, awk, sed, tr, uniq, sort, zcat, tail, head, join, and split. To glue them all together, Unix gives us pipes, and for fancier filtering we have xargs. If these fail me, there's always perl -e. These tools are perfect for processing CSV files, tab-delimited files, log files with a predictable line format, or files with comma-separated key-value pairs. In other words, files where each line has next to no context. XML Analogues I recently needed to trawl through Gigabytes of XML to build a histogram of usage by user. This was easy enough with the tools I had, but for more complicated queries the normal approaches break down. Say I have files with items like this: <foo user="me"> <baz key="zoidberg" value="squid" /> <baz key="leela" value="cyclops" /> <baz key="fry" value="rube" /> </foo> And let's say I want to produce a mapping from user to average number of <baz>s per <foo>. Processing line-by-line is no longer an option: I need to know which user's <foo> I'm currently inspecting so I know whose average to update. Any sort of Unix one liner that accomplishes this task is likely to be inscrutable. Fortunately in XML-land, we have wonderful technologies like XPath, XQuery, and XSLT to help us. Previously, I had gotten accustomed to using the wonderful XML::XPath Perl module to accomplish queries like the one above, but after finding a TextMate Plugin that could run an XPath expression against my current window, I stopped writing one-off Perl scripts to query XML. And I just found out about XMLStarlet which is installing as I type this and which I look forward to using in the future. JSON Solutions? So this leads me to my question: are there any tools like this for JSON? It's only a matter of time before some investigation task requires me to do similar queries on JSON files, and without tools like XPath and XSLT, such a task will be a lot harder. If I had a bunch of JSON that looked like this: { "firstName": "Bender", "lastName": "Robot", "age": 200, "address": { "streetAddress": "123", "city": "New York", "state": "NY", "postalCode": "1729" }, "phoneNumber": [ { "type": "home", "number": "666 555-1234" }, { "type": "fax", "number": "666 555-4567" } ] } And wanted to find the average number of phone numbers each person had, I could do something like this with XPath: fn:avg(/fn:count(phoneNumber)) Questions Are there any command-line tools that can "query" JSON files in this way? If you have to process a bunch of JSON files on a Unix command line, what tools do you use? Heck, is there even work being done to make a query language like this for JSON? If you do use tools like this in your day-to-day work, what do you like/dislike about them? Are there any gotchas? I'm noticing more and more data serialization is being done using JSON, so processing tools like this will be crucial when analyzing large data dumps in the future. Language libraries for JSON are very strong and it's easy enough to write scripts to do this sort of processing, but to really let people play around with the data shell tools are needed. Related Questions Grep and Sed Equivalent for XML Command Line Processing Is there a query language for JSON? JSONPath or other XPath like utility for JSON/Javascript; or Jquery JSON

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  • Increasing speed of python code

    - by Curious2learn
    Hi, I have some python code that has many classes. I used cProfile to find that the total time to run the program is 68 seconds. I found that the following function in a class called Buyers takes about 60 seconds of those 68 seconds. I have to run the program about 100 times, so any increase in speed will help. Can you suggest ways to increase the speed by modifying the code? If you need more information that will help, please let me know. def qtyDemanded(self, timePd, priceVector): '''Returns quantity demanded in period timePd. In addition, also updates the list of customers and non-customers. Inputs: timePd and priceVector Output: count of people for whom priceVector[-1] < utility ''' ## Initialize count of customers to zero ## Set self.customers and self.nonCustomers to empty lists price = priceVector[-1] count = 0 self.customers = [] self.nonCustomers = [] for person in self.people: if person.utility >= price: person.customer = 1 self.customers.append(person) else: person.customer = 0 self.nonCustomers.append(person) return len(self.customers) self.people is a list of person objects. Each person has customer and utility as its attributes. EDIT - responsed added ------------------------------------- Thanks so much for the suggestions. Here is the response to some questions and suggestions people have kindly made. I have not tried them all, but will try others and write back later. (1) @amber - the function is accessed 80,000 times. (2) @gnibbler and others - self.people is a list of Person objects in memory. Not connected to a database. (3) @Hugh Bothwell cumtime taken by the original function - 60.8 s (accessed 80000 times) cumtime taken by the new function with local function aliases as suggested - 56.4 s (accessed 80000 times) (4) @rotoglup and @Martin Thomas I have not tried your solutions yet. I need to check the rest of the code to see the places where I use self.customers before I can make the change of not appending the customers to self.customers list. But I will try this and write back. (5) @TryPyPy - thanks for your kind offer to check the code. Let me first read a little on the suggestions you have made to see if those will be feasible to use. EDIT 2 Some suggested that since I am flagging the customers and noncustomers in the self.people, I should try without creating separate lists of self.customers and self.noncustomers using append. Instead, I should loop over the self.people to find the number of customers. I tried the following code and timed both functions below f_w_append and f_wo_append. I did find that the latter takes less time, but it is still 96% of the time taken by the former. That is, it is a very small increase in the speed. @TryPyPy - The following piece of code is complete enough to check the bottleneck function, in case your offer is still there to check it with other compilers. Thanks again to everyone who replied. import numpy class person(object): def __init__(self, util): self.utility = util self.customer = 0 class population(object): def __init__(self, numpeople): self.people = [] self.cus = [] self.noncus = [] numpy.random.seed(1) utils = numpy.random.uniform(0, 300, numpeople) for u in utils: per = person(u) self.people.append(per) popn = population(300) def f_w_append(): '''Function with append''' P = 75 cus = [] noncus = [] for per in popn.people: if per.utility >= P: per.customer = 1 cus.append(per) else: per.customer = 0 noncus.append(per) return len(cus) def f_wo_append(): '''Function without append''' P = 75 for per in popn.people: if per.utility >= P: per.customer = 1 else: per.customer = 0 numcustomers = 0 for per in popn.people: if per.customer == 1: numcustomers += 1 return numcustomers

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  • RackSpace Cloud Strips $_SESSION if URL Has Certain File Extensions

    - by macinjosh
    The Situation I am creating a video training site for a client on the RackSpace Cloud using the traditional LAMP stack (RackSpace's cloud has both Windows and LAMP stacks). The videos and other media files I'm serving on this site need to be protected as my client charges money for access to them. There is no DRM or funny business like that, essentially we store the files outside of the web root and use PHP to authenticate user's before they are able to access the files by using mod_rewrite to run the request through PHP. So let's say the user requests a file at this URL: http://www.example.com/uploads/preview_image/29.jpg I am using mod_rewrite to rewrite that url to: http://www.example.com/files.php?path=%2Fuploads%2Fpreview_image%2F29.jpg Here is a simplified version of the files.php script: <?php // Setups the environment and sets $logged_in // This part requires $_SESSION require_once('../../includes/user_config.php'); if (!$logged_in) { // Redirect non-authenticated users header('Location: login.php'); } // This user is authenticated, continue $content_type = "image/jpeg"; // getAbsolutePathForRequestedResource() takes // a Query Parameter called path and uses DB // lookups and some string manipulation to get // an absolute path. This part doesn't have // any bearing on the problem at hand $file_path = getAbsolutePathForRequestedResource($_GET['path']); // At this point $file_path looks something like // this: "/path/to/a/place/outside/the/webroot" if (file_exists($file_path) && !is_dir($file_path)) { header("Content-Type: $content_type"); header('Content-Length: ' . filesize($file_path)); echo file_get_contents($file_path); } else { header('HTTP/1.0 404 Not Found'); header('Status: 404 Not Found'); echo '404 Not Found'; } exit(); ?> The Problem Let me start by saying this works perfectly for me. On local test machines it works like a charm. However once deployed to the cloud it stops working. After some debugging it turns out that if a request to the cloud has certain file extensions like .JPG, .PNG, or .SWF (i.e. extensions of typically static media files.) the request is routed to a cache system called Varnish. The end result of this routing is that by the time this whole process makes it to my PHP script the session is not present. If I change the extension in the URL to .PHP or if I even add a query parameter Varnish is bypassed and the PHP script can get the session. No problem right? I'll just add a meaningless query parameter to my requests! Here is the rub: The media files I am serving through this system are being requested through compiled SWF files that I have zero control over. They are generated by third-party software and I have no hope of adding or changing the URLs that they request. Are there any other options I have on this? Update: I should note that I have verified this behavior with RackSpace support and they have said there is nothing they can do about it.

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  • Isn't it better to use a single try catch instead of tons of TryParsing and other error handling sometimes?

    - by Ryan Peschel
    I know people say it's bad to use exceptions for flow control and to only use exceptions for exceptional situations, but sometimes isn't it just cleaner and more elegant to wrap the entire block in a try-catch? For example, let's say I have a dialog window with a TextBox where the user can type input in to be parsed in a key-value sort of manner. This situation is not as contrived as you might think because I've inherited code that has to handle this exact situation (albeit not with farm animals). Consider this wall of code: class Animals { public int catA, catB; public float dogA, dogB; public int mouseA, mouseB, mouseC; public double cow; } class Program { static void Main(string[] args) { string input = "Sets all the farm animals CAT 3 5 DOG 21.3 5.23 MOUSE 1 0 1 COW 12.25"; string[] splitInput = input.Split(' '); string[] animals = { "CAT", "DOG", "MOUSE", "COW", "CHICKEN", "GOOSE", "HEN", "BUNNY" }; Animals animal = new Animals(); for (int i = 0; i < splitInput.Length; i++) { string token = splitInput[i]; if (animals.Contains(token)) { switch (token) { case "CAT": animal.catA = int.Parse(splitInput[i + 1]); animal.catB = int.Parse(splitInput[i + 2]); break; case "DOG": animal.dogA = float.Parse(splitInput[i + 1]); animal.dogB = float.Parse(splitInput[i + 2]); break; case "MOUSE": animal.mouseA = int.Parse(splitInput[i + 1]); animal.mouseB = int.Parse(splitInput[i + 2]); animal.mouseC = int.Parse(splitInput[i + 3]); break; case "COW": animal.cow = double.Parse(splitInput[i + 1]); break; } } } } } In actuality there are a lot more farm animals and more handling than that. A lot of things can go wrong though. The user could enter in the wrong number of parameters. The user can enter the input in an incorrect format. The user could specify numbers too large or too small for the data type to handle. All these different errors could be handled without exceptions through the use of TryParse, checking how many parameters the user tried to use for a specific animal, checking if the parameter is too large or too small for the data type (because TryParse just returns 0), but every one should result in the same thing: A MessageBox appearing telling the user that the inputted data is invalid and to fix it. My boss doesn't want different message boxes for different errors. So instead of doing all that, why not just wrap the block in a try-catch and in the catch statement just display that error message box and let the user try again? Maybe this isn't the best example but think of any other scenario where there would otherwise be tons of error handling that could be substituted for a single try-catch. Is that not the better solution?

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  • Recommended integration mechanism for bi-directional, authenticated, encrypted connection in C clien

    - by rcampbell
    Let me first give an example. Imagine you have a single server running a JVM application. This server keeps a collection of N equations, once for each client: Client #1: 2x Client #2: 1 + y Client #3: z/4 This server includes an HTTP interface so that random visitors can type https://www.acme.com/client/3 int their browsers and see the latest evaluated result of z/4. The tricky part is that either the client or the server may change the variable value at any time, informing the other party immediately. More specifically, Client #3 - a C app - can initially tell the server that z = 20. An hour later that same client informs the server that z = 23. Likewise the server can later inform the client that z = 28. As caf pointed out in the comments, there can be a race condition when values are changed by the client and server simultaneously. The solution would be for both client and server to send the operation performed in their message, which would need to be executed by the other party. To keep things simple, let's limit the operations to (commutative) addition, allowing us to disregard message ordering. For example, the client seeds the server with z = 20: server:z=20, client:z=20 server sends {+3} message (so z=23 locally) & client sends {-2} message (so z=18 locally) at the exact same time server receives {-2} message at some point, adds to his local copy so z=21 client receives {+3} message at some point, adds to his local copy so z=21 As long as all messages are eventually evaluated by both parties, the correct answer will eventually be given to the users of the client and server since we limited ourselves to commutative operations (addition of 3 and -2). This does mean that both client and server can be returning incorrect answers in the time it takes for messages to be exchanged and processed. While undesirable, I believe this is unavoidable. Some possible implementations of this idea include: Open an encrypted, always on TCP socket connection for communication Pros: no additional infrastructure needed, client and server know immediately if there is a problem (disconnect) with the other party, fairly straightforward (except the the encryption), native support from both JVM and C platforms Cons: pretty low-level so you end up writing a lot yourself (protocol, delivery verification, retry-on-failure logic), probably have a lot of firewall headaches during client app installation Asynchronous messaging (ex: ActiveMQ) Pros: transactional, both C & Java integration, free up the client and server apps from needing retry logic or delivery verification, pretty straightforward encryption, easy extensibility via message filters/routers/etc Cons: need additional infrastructure (message server) which must never fail, Database or file system as asynchronous integration point Same pros/cons as above but messier RESTful Web Service Pros: simple, possible reuse of the server's existing REST API, SSL figures out the encryption problem for you (maybe use RSA key a la GitHub for authentication?) Cons: Client now needs to run a C HTTP REST server w/SSL, client and server need retry logic. Axis2 has both a Java and C version, but you may be limited to SOAP. What other techniques should I be evaluating? What real world experiences have you had with these mechanisms? Which do you recommend for this problem and why?

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  • web application with secured sections, sessions and related trouble

    - by spirytus
    I would like to create web application with admin/checkout sections being secured. Assuming I have SSL set up for subdomain.mydomain.com I would like to make sure that all that top-secret stuff ;) like checkout pages and admin section is transferred securely. Would it be ok to structure my application as below? subdomain.mydomain.com adminSectionFolder adminPage1.php adminPage2.php checkoutPagesFolder checkoutPage1.php checkoutPage2.php checkoutPage3.php homepage.php loginPage.php someOtherPage.php someNonSecureFolder nonSecurePage1.php nonSecurePage2.php nonSecurePage3.php imagesFolder image1.jpg image2.jpg image3.jpg Users would access my web application via http as there is no need for SSL for homepage and similar. Checkout/admin pages would have to be accessed via https though (that I would ensure via .htaccess redirects). I would also like to have login form on every page of the site, including non-secure pages. Now my questions are: if I have form on non-secure page e.g http://subdomain.mydomain.com/homepage.php and that form sends data to http://subdomain.mydomain.com/loginPage.php, is data being send encrypted as if it were sent from https://subdomain.mydomain.com/homepage.php? I do realize users will not see padlock, but browser still should encrypt it, is it right? If on secure page loginPage.php (or any other accessed via https for that instance) I created session, session ID would be assigned, and in case of my web app. something like username of the logged in user. Would I be able to access these session variable from http://subdomain.mydomain.com/homepage.php to for example display greeting message? If session ID is stored in cookies then it would be trouble I assume, but could someone clarify how it should be done? It seems important to have username and password send over SSL. Related to above question I think.. would it actually make any sense to have login secured via SSL so usenrame/password would be transferred securely, and then session ID being transferred with no SSL? I mean wouldnt it be the same really if someone caught username and password being transferred, or caught session ID? Please let me know if I make sense here cause it feels like I'm missing something important. EDIT: I came up with idea but again please let me know if that would work. Having above, so assuming that sharing session between http and https is as secure as login in user via plain http (not https), I guess on all non secure pages, like homepage etc. I could check if user is already logged in, and if so from php redirect to https version of same page. So user fills in login form from homepage.php, over ssl details are send to backend so probably https://.../homepage.php. Trying to access http://.../someOtherPage.php script would always check if session is created and if so redirect user to https version of this page so https://.../someOtherPage.php. Would that work? 4.To avoid browser popping message "this page contains non secure items..." my links to css, images and all assets, e.g. in case of http://subdomain.mydomain.com/checkoutPage1.php should be absolute so "/images/image1.jpg" or relative so "../images/image1.jpg"? I guess one of those would have to work :) wow that's long post, thanks for your patience if you got that far and any answers :) oh yeh and I use php/apache on shared hosting

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  • ANT: ways to include libraries and license issues

    - by Eric Tobias
    I have been trying to use Ant to compile and ready a project for distribution. I have encountered several problems along the way that I have been finally able to solve but the solution leaves me very unsatisfied. First, let me explain the set-up of the project and its dependencies. I have a project, lets call it Primary which depends on a couple of libraries such as the fantastic Guava. It also depends on another project of mine, lets call it Secondary. The Secondary project also features some dependencies, for example, JDOM2. I have referenced the Jar I build with Ant in Primary. Let me give you the interesting bits of the build.xml so you can get a picture of what I am doing: <project name="Primary" default="all" basedir="."> <property name='build' location='dist' /> <property name='application.version' value='1.0'/> <property name='application.name' value='Primary'/> <property name='distribution' value='${application.name}-${application.version}'/> <path id='compile.classpath'> <fileset dir='libs'> <include name='*.jar'/> </fileset> </path> <target name='compile' description='Compile source files.'> <javac includeantruntime="false" srcdir="src" destdir="bin"> <classpath refid='compile.classpath'/> </javac> <target> <target name='jar' description='Create a jar file for distribution.' depends="compile"> <jar destfile='${build}/${distribution}.jar'> <fileset dir="bin"/> <zipgroupfileset dir="libs" includes="*.jar"/> </jar> </target> The Secodnary project's build.xml is nearly identical except that it features a manifest as it needs to run: <target name='jar' description='Create a jar file for distribution.' depends="compile"> <jar destfile='${dist}/${distribution}.jar' basedir="${build}" > <fileset dir="${build}"/> <zipgroupfileset dir="libs" includes="*.jar"/> <manifest> <attribute name="Main-Class" value="lu.tudor.ssi.kiss.climate.ClimateChange"/> </manifest> </jar> </target> After I got it working, trying for many hours to not include that dependencies as class files but as Jars, I don't have the time or insight to go back and try to figure out what I did wrong. Furthermore, I believe that including these libraries as class files is bad practice as it could give rise to licensing issues while not packaging them and merely including them in a directory along the build Jar would most probably not (And if it would you could choose not to distribute them yourself). I think my inability to correctly assemble the class path, I always received NoClassDefFoundError for classes or libraries in the Primary project when launching Second's Jar, is that I am not very experienced with Ant. Would I require to specify a class path for both projects? Specifying the class path as . should have allowed me to simply add all dependencies to the same folder as Secondary's Jar, should it not?

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  • Display problem after deletion in linked list in C

    - by LuckySlevin
    Hi, actually this was another problem but it changed so I decided to open a new question. My code is typedef struct inner_list { int count; char word[100]; inner_list*next; } inner_list; typedef struct outer_list { char word [100]; inner_list * head; int count; outer_list * next; } outer_list; void delnode(outer_list **head,char num[100])//thanks to both Nir Levy and Jeremy P. { outer_list *temp, *m; m=temp=*head; /*FIX #1*/ while(temp!=NULL) { if(strcmp(temp->word,num)==0) { if(temp==*head) { delinner(temp->head); /* FIX#2 */ *head=temp->next; free(temp); return; } else { delinner(temp->head); /* FIX#2 */ m->next=temp->next; free(temp); return; } } else { m=temp; temp= temp->next; } } printf(" ELEMENT %s NOT FOUND ", num); } void delinner(inner_list *head) { /* FIX#2 */ inner_list *temp; temp=head; while(temp!=NULL) { head=temp->next; free(temp); temp=head; } } void delnode2(outer_list *up,inner_list **head,char num[100]) { inner_list *temp2,*temp, *m; outer_list *p; p = up; while(p!=NULL){m=temp=temp2=p->head; while(temp!=NULL) { if(strcmp(temp->word,num)==0) { if(temp==(*head)) { *head=temp->next; free(temp); return; } else { m->next=temp->next; free(temp); return; } } else { m=temp; temp= temp->next; } } p=p->next; } printf(" ELEMENT %s NOT FOUND ", num); } void print_node(outer_list *parent_node) { while(parent_node!=NULL){ printf("%s\t%d\t", parent_node->word, parent_node->count); inner_list *child_node = parent_node->head; printf("list: "); if(child_node ==NULL){printf("BUARADA");} while (child_node != NULL) { printf("%s-%d", child_node->word,child_node->count); child_node = child_node->next; if (child_node != NULL) { printf("->"); } } printf("\n"); parent_node = parent_node->next; } } While deleting an element from outer list I am also trying the delete the same element from inner_list too. For example: - Let's say aaa is an element of outer_list linked list and let's point it with outer_list *p - This aaa can also be in an inner_list linked list too. (it can be in p-head or another innerlist.) Now, the tricky part again. I tried to apply the same rules with outer_list deletion but whenever i delete the head element of inner_list it gives an error. Where is the wrong thing in print_node or delnode2?

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  • where is the error in this C code , and how to get rid of the warnings?

    - by mekasperasky
    #include<stdio.h> #include<string.h> //This program is a sorting application that reads a sequence of numbers from a file and prints them on the screen . The reading from the file here , is a call back function . typedef int (*CompFunc)(const char* , const char* ); typedef int (*ReadCheck)(char nullcheck); char array[100]; //Let this fucntion be done in the library itself . It doesnt care as to where the compare function and how is it implemented . Meaning suppose the function wants to do sort in ascending order or in descending order then the changes have to be done by the client code in the "COMPARE" function who will be implementing the lib code . void ReadFile(FILE *fp,ReadCheck rc) { char a; char d[100]; int count = 0,count1=0; a=fgetc(fp); while(1 != (*rc)(a)) { if(a=='\0') { strcpy(array[count],d); count=count+1; } else { d[count1]=a; count1=count1+1; } } } void Bubblesort(int* array , int size , int elem_size , CompFunc cf) { int i,j; int *temp; for( i=0;i < size ;i++) { for ( j=0;j < size -1 ; j++) { // make the callback to the comparision function if(1 == (*cf)(array+j*elem_size,array+ (j+1)*elem_size)) { //interchanging of elements temp = malloc(sizeof(int *) * elem_size); memcpy(temp , array+j*elem_size,elem_size); memcpy(array+j*elem_size,array+(j+1)*elem_size,elem_size); memcpy(array + (j+1)*elem_size , temp , elem_size); free(temp); } } } } //Let these functions be done at the client side int Compare(const char* el1 , const char* el2) { int element1 = *(int*)el1; int element2 = *(int*)el2; if(element1 < element2 ) return -1; if(element1 > element2) return 1 ; return 0; } int ReadChecked(char nullcheck) { if (nullcheck=='\n') return 1; else return 0; } int main() { FILE fp1; int k; fp1=fopen("readdata.txt","r"); Readfile(fp1,&ReadChecked); Bubblesort((char*)array,5,sizeof(array[0]),&Compare); printf("after sorting \n"); for (k=0;k<5;k++) printf("%d",array[k]); return 0; } The error i get is fsc1.c: In function ‘ReadFile’: fsc1.c:19: warning: passing argument 1 of ‘strcpy’ makes pointer from integer without a cast fsc1.c: In function ‘Bubblesort’: fsc1.c:40: warning: passing argument 1 of ‘cf’ from incompatible pointer type fsc1.c:40: warning: passing argument 2 of ‘cf’ from incompatible pointer type fsc1.c:43: warning: incompatible implicit declaration of built-in function ‘malloc’ fsc1.c:47: warning: incompatible implicit declaration of built-in function ‘free’ fsc1.c: In function ‘main’: fsc1.c:80: error: incompatible types in assignment fsc1.c:82: warning: passing argument 1 of ‘Bubblesort’ from incompatible pointer type

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  • Data Warehouse ETL slow - change primary key in dimension?

    - by Jubbles
    I have a working MySQL data warehouse that is organized as a star schema and I am using Talend Open Studio for Data Integration 5.1 to create the ETL process. I would like this process to run once per day. I have estimated that one of the dimension tables (dimUser) will have approximately 2 million records and 23 columns. I created a small test ETL process in Talend that worked, but given the amount of data that may need to be updated daily, the current performance will not cut it. It takes the ETL process four minutes to UPDATE or INSERT 100 records to dimUser. If I assumed a linear relationship between the count of records and the amount of time to UPDATE or INSERT, then there is no way the ETL can finish in 3-4 hours (my hope), let alone one day. Since I'm unfamiliar with Java, I wrote the ETL as a Python script and ran into the same problem. Although, I did discover that if I did only INSERT, the process went much faster. I am pretty sure that the bottleneck is caused by the UPDATE statements. The primary key in dimUser is an auto-increment integer. My friend suggested that I scrap this primary key and replace it with a multi-field primary key (in my case, 2-3 fields). Before I rip the test data out of my warehouse and change the schema, can anyone provide suggestions or guidelines related to the design of the data warehouse the ETL process how realistic it is to have an ETL process INSERT or UPDATE a few million records each day will my friend's suggestion significantly help If you need any further information, just let me know and I'll post it. UPDATE - additional information: mysql> describe dimUser; Field Type Null Key Default Extra user_key int(10) unsigned NO PRI NULL auto_increment id_A int(10) unsigned NO NULL id_B int(10) unsigned NO NULL field_4 tinyint(4) unsigned NO 0 field_5 varchar(50) YES NULL city varchar(50) YES NULL state varchar(2) YES NULL country varchar(50) YES NULL zip_code varchar(10) NO 99999 field_10 tinyint(1) NO 0 field_11 tinyint(1) NO 0 field_12 tinyint(1) NO 0 field_13 tinyint(1) NO 1 field_14 tinyint(1) NO 0 field_15 tinyint(1) NO 0 field_16 tinyint(1) NO 0 field_17 tinyint(1) NO 1 field_18 tinyint(1) NO 0 field_19 tinyint(1) NO 0 field_20 tinyint(1) NO 0 create_date datetime NO 2012-01-01 00:00:00 last_update datetime NO 2012-01-01 00:00:00 run_id int(10) unsigned NO 999 I used a surrogate key because I had read that it was good practice. Since, from a business perspective, I want to keep aware of potential fraudulent activity (say for 200 days a user is associated with state X and then the next day they are associated with state Y - they could have moved or their account could have been compromised), so that is why geographic data is kept. The field id_B may have a few distinct values of id_A associated with it, but I am interested in knowing distinct (id_A, id_B) tuples. In the context of this information, my friend suggested that something like (id_A, id_B, zip_code) be the primary key. For the large majority of daily ETL processes (80%), I only expect the following fields to be updated for existing records: field_10 - field_14, last_update, and run_id (this field is a foreign key to my etlLog table and is used for ETL auditing purposes).

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  • Haskell: monadic takeWhile?

    - by Mark Rushakoff
    I have some functions written in C that I call from Haskell. These functions return IO (CInt). Sometimes I want to run all of the functions regardless of what any of them return, and this is easy. For sake of example code, this is the general idea of what's happening currently: Prelude> let f x = print x >> return x Prelude> mapM_ f [0..5] 0 1 2 3 4 5 Prelude> I get my desired side effects, and I don't care about the results. But now I need to stop execution immediately after the first item that doesn't return my desired result. Let's say a return value of 4 or higher requires execution to stop - then what I want to do is this: Prelude> takeWhile (<4) $ mapM f [0..5] Which gives me this error: <interactive:1:22: Couldn't match expected type `[b]' against inferred type `IO a' In the first argument of `mapM', namely `f' In the second argument of `($)', namely `mapM f ([0 .. 5])' In the expression: takeWhile (< 4) $ mapM f ([0 .. 5]) And that makes sense to me - the result is still contained in the IO monad, and I can't just compare two values contained in the IO monad. I know this is precisely the purpose of monads -- chaining results together and discarding operations when a certain condition is met -- but is there an easy way to "wrap up" the IO monad in this case to stop executing the chain upon a condition of my choosing, without writing an instance of MonadPlus? Can I just "unlift" the values from f, for the purposes of the takeWhile? Is this a solution where functors fit? Functors haven't "clicked" with me yet, but I sort of have the impression that this might be a good situation to use them. Update: @sth has the closest answer to what I want - in fact, that's almost exactly what I was going for, but I'd still like to see whether there is a standard solution that isn't explicitly recursive -- this is Haskell, after all! Looking back on how I worded my question, now I can see that I wasn't clear enough about my desired behavior. The f function I used above for an example was merely an example. The real functions are written in C and used exclusively for their side effects. I can't use @Tom's suggestion of mapM_ f (takeWhile (&lt;4) [0..5]) because I have no idea whether any input will really result in success or failure until executed. I don't actually care about the returned list, either -- I just want to call the C functions until either the list is exhausted or the first C function returns a failure code. In C-style pseudocode, my behavior would be: do { result = function_with_side_effects(input_list[index++]); } while (result == success && index < max_index); So again, @sth's answer performs the exact behavior that I want, except that the results may (should?) be discarded. A dropWhileM_ function would be equivalent for my purposes. Why isn't there a function like that or takeWhileM_ in Control.Monad? I see that there was a similar discussion on a mailing list, but it appears that nothing has come of that.

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  • What's my best approach on this simple hierarchy Java Problem?

    - by Nazgulled
    First, I'm sorry for the question title but I can't think of a better one to describe my problem. Feel free to change it :) Let's say I have this abstract class Box which implements a couple of constructors, methods and whatever on some private variables. Then I have a couple of sub classes like BoxA and BoxB. Both of these implement extra things. Now I have another abstract class Shape and a few sub classes like Square and Circle. For both BoxA and BoxB I need to have a list of Shape objects but I need to make sure that only Square objects go into BoxA's list and only Circle objects go into BoxB's list. For that list (on each box), I need to have a get() and set() method and also a addShape() and removeShape() methods. Another important thing to know is that for each box created, either BoxA or BoxB, each respectively Shape list is exactly the same. Let's say I create a list of Square's named ls and two BoxA objects named boxA1 and boxA2. No matter what, both boxA1 and boxA2 must have the same ls list. This is my idea: public abstract class Box { // private instance variables public Box() { // constructor stuff } // public instance methods } public class BoxA extends Box { // private instance variables private static List<Shape> list; public BoxA() { // constructor stuff } // public instance methods public static List<Square> getList() { List<Square> aux = new ArrayList<Square>(); for(Square s : list.values()) { aux.add(s.clone()); // I know what I'm doing with this clone, don't worry about it } return aux; } public static void setList(List<Square> newList) { list = new ArrayList<Square>(newList); } public static void addShape(Square s) { list.add(s); } public static void removeShape(Square s) { list.remove(list.indexOf(s)); } } As the list needs to be the same for that type of object, I declared as static and all methods that work with that list are also static. Now, for BoxB the class would be almost the same regarding the list stuff. I would only replace Square by Triangle and the problem was solved. So, for each BoxA object created, the list would be only one and the same for each BoxB object created, but a different type of list of course. So, what's my problem you ask? Well, I don't like the code... The getList(), setList(), addShape() and removeShape() methods are basically repeated for BoxA and BoxB, only the type of the objects that the list will hold is different. I can't think of way to do it in the super class Box instead. Doing it statically too, using Shape instead of Square and Triangle, wouldn't work because the list would be only one and I need it to be only one but for each sub class of Box. How could I do this differently and better? P.S: I could not describe my real example because I don't know the correct words in English for the stuff I'm doing, so I just used a box and shapes example, but it's basically the same.

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  • Please clarify how create/update happens against child entities of an aggregate root

    - by christian
    After much reading and thinking as I begin to get my head wrapped around DDD, I am a bit confused about the best practices for dealing with complex hierarchies under an aggregate root. I think this is a FAQ but after reading countless examples and discussions, no one is quite talking about the issue I'm seeing. If I am aligned with the DDD thinking, entities below the aggregate root should be immutable. This is the crux of my trouble, so if that isn't correct, that is why I'm lost. Here is a fabricated example...hope it holds enough water to discuss. Consider an automobile insurance policy (I'm not in insurance, but this matches the language I hear when on the phone w/ my insurance company). Policy is clearly an entity. Within the policy, let's say we have Auto. Auto, for the sake of this example, only exists within a policy (maybe you could transfer an Auto to another policy, so this is potential for an aggregate as well, which changes Policy...but assume it simpler than that for now). Since an Auto cannot exist without a Policy, I think it should be an Entity but not a root. So Policy in this case is an aggregate root. Now, to create a Policy, let's assume it has to have at least one auto. This is where I get frustrated. Assume Auto is fairly complex, including many fields and maybe a child for where it is garaged (a Location). If I understand correctly, a "create Policy" constructor/factory would have to take as input an Auto or be restricted via a builder to not be created without this Auto. And the Auto's creation, since it is an entity, can't be done beforehand (because it is immutable? maybe this is just an incorrect interpretation). So you don't get to say new Auto and then setX, setY, add(Z). If Auto is more than somewhat trivial, you end up having to build a huge hierarchy of builders and such to try to manage creating an Auto within the context of the Policy. One more twist to this is later, after the Policy is created and one wishes to add another Auto...or update an existing Auto. Clearly, the Policy controls this...fine...but Policy.addAuto() won't quite fly because one can't just pass in a new Auto (right!?). Examples say things like Policy.addAuto(VIN, make, model, etc.) but are all so simple that that looks reasonable. But if this factory method approach falls apart with too many parameters (the entire Auto interface, conceivably) I need a solution. From that point in my thinking, I'm realizing that having a transient reference to an entity is OK. So, maybe it is fine to have a entity created outside of its parent within the aggregate in a transient environment, so maybe it is OK to say something like: auto = AutoFactory.createAuto(); auto.setX auto.setY or if sticking to immutability, AutoBuilder.new().setX().setY().build() and then have it get sorted out when you say Policy.addAuto(auto) This insurance example gets more interesting if you add Events, such as an Accident with its PolicyReports or RepairEstimates...some value objects but most entities that are all really meaningless outside the policy...at least for my simple example. The lifecycle of Policy with its growing hierarchy over time seems the fundamental picture I must draw before really starting to dig in...and it is more the factory concept or how the child entities get built/attached to an aggregate root that I haven't seen a solid example of. I think I'm close. Hope this is clear and not just a repeat FAQ that has answers all over the place.

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  • Replacing innertext of XML node using PHP DOMDocument

    - by Rohan Kumar
    I want to replace innertext of a XML node my XML file named test.xml is <?xml version="1.0" encoding="utf-8"?> <ads> <loop>no</loop> <item> <description>Description 1</description> </item> <item> <description>Text in item2</description> </item> <item> <description>Let play with this XML</description> </item> </ads> I want to change the value of loop and description tag both, and it should be saved in test.xml like: <?xml version="1.0" encoding="utf-8"?> <ads> <loop>yes</loop> <item> <description>Description Changing Here</description> </item> <item> <description>Changing text in item2</description> </item> <item> <description>We will play later</description> </item> </ads> I tried code in PHP: <? $file = "test.xml"; $fp = fopen($file, "rb") or die("cannot open file"); $str = fread($fp, filesize($file)); $dom=new DOMDocument(); $dom->formatOutput = true; $dom->preserveWhiteSpace = false; $dom->loadXML($str) or die("Error"); //$dom->load("items.xml"); $root=$dom->documentElement; // This can differ (I am not sure, it can be only documentElement or documentElement->firstChild or only firstChild) $loop=$root->getElementsByTagName('loop')->item(0);//->textContent; //echo $loop; if(trim($loop->textContent)=='no') { echo 'ok'; $root->getElementsByTagName('loop')->item(0)->nodeValue ='yes'; } echo "<xmp>NEW:\n". $dom->saveXML() ."</xmp>"; ?> I tried only for loop tag.I don't know how to replace nodevalue in description tag. When I run this page it shows output like: ok NEW: <?xml version="1.0" encoding="utf-8"?> <ads> <loop>yes</loop> <item> <description>Description 1</description> </item> <item> <description>Changing text in item2</description> </item> <item> <description>Let play with this XML</description> </item> </ads> It gives the value yes in browser but don't save it in test.xml any reason?

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  • Testing for Adjacent Cells In a Multi-level Grid

    - by Steve
    I'm designing an algorithm to test whether cells on a grid are adjacent or not. The catch is that the cells are not on a flat grid. They are on a multi-level grid such as the one drawn below. Level 1 (Top Level) | - - - - - | | A | B | C | | - - - - - | | D | E | F | | - - - - - | | G | H | I | | - - - - - | Level 2 | -Block A- | -Block B- | | 1 | 2 | 3 | 1 | 2 | 3 | | - - - - - | - - - - - | | 4 | 5 | 6 | 4 | 5 | 6 | ... | - - - - - | - - - - - | | 7 | 8 | 9 | 7 | 8 | 9 | | - - - - - | - - - - - | | -Block D- | -Block E- | | 1 | 2 | 3 | 1 | 2 | 3 | | - - - - - | - - - - - | | 4 | 5 | 6 | 4 | 5 | 6 | ... | - - - - - | - - - - - | | 7 | 8 | 9 | 7 | 8 | 9 | | - - - - - | - - - - - | . . . . . . This diagram is simplified from my actual need but the concept is the same. There is a top level block with many cells within it (level 1). Each block is further subdivided into many more cells (level 2). Those cells are further subdivided into level 3, 4 and 5 for my project but let's just stick to two levels for this question. I'm receiving inputs for my function in the form of "A8, A9, B7, D3". That's a list of cell Ids where each cell Id has the format (level 1 id)(level 2 id). Let's start by comparing just 2 cells, A8 and A9. That's easy because they are in the same block. private static RelativePosition getRelativePositionInTheSameBlock(String v1, String v2) { RelativePosition relativePosition; if( v1-v2 == -1 ) { relativePosition = RelativePosition.LEFT_OF; } else if (v1-v2 == 1) { relativePosition = RelativePosition.RIGHT_OF; } else if (v1-v2 == -BLOCK_WIDTH) { relativePosition = RelativePosition.TOP_OF; } else if (v1-v2 == BLOCK_WIDTH) { relativePosition = RelativePosition.BOTTOM_OF; } else { relativePosition = RelativePosition.NOT_ADJACENT; } return relativePosition; } An A9 - B7 comparison could be done by checking if A is a multiple of BLOCK_WIDTH and whether B is (A-BLOCK_WIDTH+1). Either that or just check naively if the A/B pair is 3-1, 6-4 or 9-7 for better readability. For B7 - D3, they are not adjacent but D3 is adjacent to A9 so I can do a similar adjacency test as above. So getting away from the little details and focusing on the big picture. Is this really the best way to do it? Keeping in mind the following points: I actually have 5 levels not 2, so I could potentially get a list like "A8A1A, A8A1B, B1A2A, B1A2B". Adding a new cell to compare still requires me to compare all the other cells before it (seems like the best I could do for this step is O(n)) The cells aren't all 3x3 blocks, they're just that way for my example. They could be MxN blocks with different M and N for different levels. In my current implementation above, I have separate functions to check adjacency if the cells are in the same blocks, if they are in separate horizontally adjacent blocks or if they are in separate vertically adjacent blocks. That means I have to know the position of the two blocks at the current level before I call one of those functions for the layer below. Judging by the complexity of having to deal with mulitple functions for different edge cases at different levels and having 5 levels of nested if statements. I'm wondering if another design is more suitable. Perhaps a more recursive solution, use of other data structures, or perhaps map the entire multi-level grid to a single-level grid (my quick calculations gives me about 700,000+ atomic cell ids). Even if I go that route, mapping from multi-level to single level is a non-trivial task in itself.

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  • MPMoviePlayerController and status bar in iPad

    - by hgpc
    I want to show a MPMoviePlayerController in a view controller and let the user toggle full screen with the default controls. I'm using the following code in a bare-bones example: - (void)viewDidLoad { [super viewDidLoad]; self.player = [[MPMoviePlayerController alloc] init]; self.player.contentURL = theURL; self.player.view.frame = self.viewForMovie.bounds; self.player.view.autoresizingMask = UIViewAutoresizingFlexibleWidth | UIViewAutoresizingFlexibleHeight; [self.viewForMovie addSubview:player.view]; [self.player play]; } This works well until the user makes the video full screen, rotates the device and taps on the screen. The status bar is shown in the wrong position, as shown in the screenshot below. http://www.freeimagehosting.net/image.php?be371fe3e8.png What am I doing wrong?

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  • Using JSON.NET for dynamic JSON parsing

    - by Rick Strahl
    With the release of ASP.NET Web API as part of .NET 4.5 and MVC 4.0, JSON.NET has effectively pushed out the .NET native serializers to become the default serializer for Web API. JSON.NET is vastly more flexible than the built in DataContractJsonSerializer or the older JavaScript serializer. The DataContractSerializer in particular has been very problematic in the past because it can't deal with untyped objects for serialization - like values of type object, or anonymous types which are quite common these days. The JavaScript Serializer that came before it actually does support non-typed objects for serialization but it can't do anything with untyped data coming in from JavaScript and it's overall model of extensibility was pretty limited (JavaScript Serializer is what MVC uses for JSON responses). JSON.NET provides a robust JSON serializer that has both high level and low level components, supports binary JSON, JSON contracts, Xml to JSON conversion, LINQ to JSON and many, many more features than either of the built in serializers. ASP.NET Web API now uses JSON.NET as its default serializer and is now pulled in as a NuGet dependency into Web API projects, which is great. Dynamic JSON Parsing One of the features that I think is getting ever more important is the ability to serialize and deserialize arbitrary JSON content dynamically - that is without mapping the JSON captured directly into a .NET type as DataContractSerializer or the JavaScript Serializers do. Sometimes it isn't possible to map types due to the differences in languages (think collections, dictionaries etc), and other times you simply don't have the structures in place or don't want to create them to actually import the data. If this topic sounds familiar - you're right! I wrote about dynamic JSON parsing a few months back before JSON.NET was added to Web API and when Web API and the System.Net HttpClient libraries included the System.Json classes like JsonObject and JsonArray. With the inclusion of JSON.NET in Web API these classes are now obsolete and didn't ship with Web API or the client libraries. I re-linked my original post to this one. In this post I'll discus JToken, JObject and JArray which are the dynamic JSON objects that make it very easy to create and retrieve JSON content on the fly without underlying types. Why Dynamic JSON? So, why Dynamic JSON parsing rather than strongly typed parsing? Since applications are interacting more and more with third party services it becomes ever more important to have easy access to those services with easy JSON parsing. Sometimes it just makes lot of sense to pull just a small amount of data out of large JSON document received from a service, because the third party service isn't directly related to your application's logic most of the time - and it makes little sense to map the entire service structure in your application. For example, recently I worked with the Google Maps Places API to return information about businesses close to me (or rather the app's) location. The Google API returns a ton of information that my application had no interest in - all I needed was few values out of the data. Dynamic JSON parsing makes it possible to map this data, without having to map the entire API to a C# data structure. Instead I could pull out the three or four values I needed from the API and directly store it on my business entities that needed to receive the data - no need to map the entire Maps API structure. Getting JSON.NET The easiest way to use JSON.NET is to grab it via NuGet and add it as a reference to your project. You can add it to your project with: PM> Install-Package Newtonsoft.Json From the Package Manager Console or by using Manage NuGet Packages in your project References. As mentioned if you're using ASP.NET Web API or MVC 4 JSON.NET will be automatically added to your project. Alternately you can also go to the CodePlex site and download the latest version including source code: http://json.codeplex.com/ Creating JSON on the fly with JObject and JArray Let's start with creating some JSON on the fly. It's super easy to create a dynamic object structure with any of the JToken derived JSON.NET objects. The most common JToken derived classes you are likely to use are JObject and JArray. JToken implements IDynamicMetaProvider and so uses the dynamic  keyword extensively to make it intuitive to create object structures and turn them into JSON via dynamic object syntax. Here's an example of creating a music album structure with child songs using JObject for the base object and songs and JArray for the actual collection of songs:[TestMethod] public void JObjectOutputTest() { // strong typed instance var jsonObject = new JObject(); // you can explicitly add values here using class interface jsonObject.Add("Entered", DateTime.Now); // or cast to dynamic to dynamically add/read properties dynamic album = jsonObject; album.AlbumName = "Dirty Deeds Done Dirt Cheap"; album.Artist = "AC/DC"; album.YearReleased = 1976; album.Songs = new JArray() as dynamic; dynamic song = new JObject(); song.SongName = "Dirty Deeds Done Dirt Cheap"; song.SongLength = "4:11"; album.Songs.Add(song); song = new JObject(); song.SongName = "Love at First Feel"; song.SongLength = "3:10"; album.Songs.Add(song); Console.WriteLine(album.ToString()); } This produces a complete JSON structure: { "Entered": "2012-08-18T13:26:37.7137482-10:00", "AlbumName": "Dirty Deeds Done Dirt Cheap", "Artist": "AC/DC", "YearReleased": 1976, "Songs": [ { "SongName": "Dirty Deeds Done Dirt Cheap", "SongLength": "4:11" }, { "SongName": "Love at First Feel", "SongLength": "3:10" } ] } Notice that JSON.NET does a nice job formatting the JSON, so it's easy to read and paste into blog posts :-). JSON.NET includes a bunch of configuration options that control how JSON is generated. Typically the defaults are just fine, but you can override with the JsonSettings object for most operations. The important thing about this code is that there's no explicit type used for holding the values to serialize to JSON. Rather the JSON.NET objects are the containers that receive the data as I build up my JSON structure dynamically, simply by adding properties. This means this code can be entirely driven at runtime without compile time restraints of structure for the JSON output. Here I use JObject to create a album 'object' and immediately cast it to dynamic. JObject() is kind of similar in behavior to ExpandoObject in that it allows you to add properties by simply assigning to them. Internally, JObject values are stored in pseudo collections of key value pairs that are exposed as properties through the IDynamicMetaObject interface exposed in JSON.NET's JToken base class. For objects the syntax is very clean - you add simple typed values as properties. For objects and arrays you have to explicitly create new JObject or JArray, cast them to dynamic and then add properties and items to them. Always remember though these values are dynamic - which means no Intellisense and no compiler type checking. It's up to you to ensure that the names and values you create are accessed consistently and without typos in your code. Note that you can also access the JObject instance directly (not as dynamic) and get access to the underlying JObject type. This means you can assign properties by string, which can be useful for fully data driven JSON generation from other structures. Below you can see both styles of access next to each other:// strong type instance var jsonObject = new JObject(); // you can explicitly add values here jsonObject.Add("Entered", DateTime.Now); // expando style instance you can just 'use' properties dynamic album = jsonObject; album.AlbumName = "Dirty Deeds Done Dirt Cheap"; JContainer (the base class for JObject and JArray) is a collection so you can also iterate over the properties at runtime easily:foreach (var item in jsonObject) { Console.WriteLine(item.Key + " " + item.Value.ToString()); } The functionality of the JSON objects are very similar to .NET's ExpandObject and if you used it before, you're already familiar with how the dynamic interfaces to the JSON objects works. Importing JSON with JObject.Parse() and JArray.Parse() The JValue structure supports importing JSON via the Parse() and Load() methods which can read JSON data from a string or various streams respectively. Essentially JValue includes the core JSON parsing to turn a JSON string into a collection of JsonValue objects that can be then referenced using familiar dynamic object syntax. Here's a simple example:public void JValueParsingTest() { var jsonString = @"{""Name"":""Rick"",""Company"":""West Wind"", ""Entered"":""2012-03-16T00:03:33.245-10:00""}"; dynamic json = JValue.Parse(jsonString); // values require casting string name = json.Name; string company = json.Company; DateTime entered = json.Entered; Assert.AreEqual(name, "Rick"); Assert.AreEqual(company, "West Wind"); } The JSON string represents an object with three properties which is parsed into a JObject class and cast to dynamic. Once cast to dynamic I can then go ahead and access the object using familiar object syntax. Note that the actual values - json.Name, json.Company, json.Entered - are actually of type JToken and I have to cast them to their appropriate types first before I can do type comparisons as in the Asserts at the end of the test method. This is required because of the way that dynamic types work which can't determine the type based on the method signature of the Assert.AreEqual(object,object) method. I have to either assign the dynamic value to a variable as I did above, or explicitly cast ( (string) json.Name) in the actual method call. The JSON structure can be much more complex than this simple example. Here's another example of an array of albums serialized to JSON and then parsed through with JsonValue():[TestMethod] public void JsonArrayParsingTest() { var jsonString = @"[ { ""Id"": ""b3ec4e5c"", ""AlbumName"": ""Dirty Deeds Done Dirt Cheap"", ""Artist"": ""AC/DC"", ""YearReleased"": 1976, ""Entered"": ""2012-03-16T00:13:12.2810521-10:00"", ""AlbumImageUrl"": ""http://ecx.images-amazon.com/images/I/61kTaH-uZBL._AA115_.jpg"", ""AmazonUrl"": ""http://www.amazon.com/gp/product/…ASIN=B00008BXJ4"", ""Songs"": [ { ""AlbumId"": ""b3ec4e5c"", ""SongName"": ""Dirty Deeds Done Dirt Cheap"", ""SongLength"": ""4:11"" }, { ""AlbumId"": ""b3ec4e5c"", ""SongName"": ""Love at First Feel"", ""SongLength"": ""3:10"" }, { ""AlbumId"": ""b3ec4e5c"", ""SongName"": ""Big Balls"", ""SongLength"": ""2:38"" } ] }, { ""Id"": ""7b919432"", ""AlbumName"": ""End of the Silence"", ""Artist"": ""Henry Rollins Band"", ""YearReleased"": 1992, ""Entered"": ""2012-03-16T00:13:12.2800521-10:00"", ""AlbumImageUrl"": ""http://ecx.images-amazon.com/images/I/51FO3rb1tuL._SL160_AA160_.jpg"", ""AmazonUrl"": ""http://www.amazon.com/End-Silence-Rollins-Band/dp/B0000040OX/ref=sr_1_5?ie=UTF8&qid=1302232195&sr=8-5"", ""Songs"": [ { ""AlbumId"": ""7b919432"", ""SongName"": ""Low Self Opinion"", ""SongLength"": ""5:24"" }, { ""AlbumId"": ""7b919432"", ""SongName"": ""Grip"", ""SongLength"": ""4:51"" } ] } ]"; JArray jsonVal = JArray.Parse(jsonString) as JArray; dynamic albums = jsonVal; foreach (dynamic album in albums) { Console.WriteLine(album.AlbumName + " (" + album.YearReleased.ToString() + ")"); foreach (dynamic song in album.Songs) { Console.WriteLine("\t" + song.SongName); } } Console.WriteLine(albums[0].AlbumName); Console.WriteLine(albums[0].Songs[1].SongName); } JObject and JArray in ASP.NET Web API Of course these types also work in ASP.NET Web API controller methods. If you want you can accept parameters using these object or return them back to the server. The following contrived example receives dynamic JSON input, and then creates a new dynamic JSON object and returns it based on data from the first:[HttpPost] public JObject PostAlbumJObject(JObject jAlbum) { // dynamic input from inbound JSON dynamic album = jAlbum; // create a new JSON object to write out dynamic newAlbum = new JObject(); // Create properties on the new instance // with values from the first newAlbum.AlbumName = album.AlbumName + " New"; newAlbum.NewProperty = "something new"; newAlbum.Songs = new JArray(); foreach (dynamic song in album.Songs) { song.SongName = song.SongName + " New"; newAlbum.Songs.Add(song); } return newAlbum; } The raw POST request to the server looks something like this: POST http://localhost/aspnetwebapi/samples/PostAlbumJObject HTTP/1.1User-Agent: FiddlerContent-type: application/jsonHost: localhostContent-Length: 88 {AlbumName: "Dirty Deeds",Songs:[ { SongName: "Problem Child"},{ SongName: "Squealer"}]} and the output that comes back looks like this: {  "AlbumName": "Dirty Deeds New",  "NewProperty": "something new",  "Songs": [    {      "SongName": "Problem Child New"    },    {      "SongName": "Squealer New"    }  ]} The original values are echoed back with something extra appended to demonstrate that we're working with a new object. When you receive or return a JObject, JValue, JToken or JArray instance in a Web API method, Web API ignores normal content negotiation and assumes your content is going to be received and returned as JSON, so effectively the parameter and result type explicitly determines the input and output format which is nice. Dynamic to Strong Type Mapping You can also map JObject and JArray instances to a strongly typed object, so you can mix dynamic and static typing in the same piece of code. Using the 2 Album jsonString shown earlier, the code below takes an array of albums and picks out only a single album and casts that album to a static Album instance.[TestMethod] public void JsonParseToStrongTypeTest() { JArray albums = JArray.Parse(jsonString) as JArray; // pick out one album JObject jalbum = albums[0] as JObject; // Copy to a static Album instance Album album = jalbum.ToObject<Album>(); Assert.IsNotNull(album); Assert.AreEqual(album.AlbumName,jalbum.Value<string>("AlbumName")); Assert.IsTrue(album.Songs.Count > 0); } This is pretty damn useful for the scenario I mentioned earlier - you can read a large chunk of JSON and dynamically walk the property hierarchy down to the item you want to access, and then either access the specific item dynamically (as shown earlier) or map a part of the JSON to a strongly typed object. That's very powerful if you think about it - it leaves you in total control to decide what's dynamic and what's static. Strongly typed JSON Parsing With all this talk of dynamic let's not forget that JSON.NET of course also does strongly typed serialization which is drop dead easy. Here's a simple example on how to serialize and deserialize an object with JSON.NET:[TestMethod] public void StronglyTypedSerializationTest() { // Demonstrate deserialization from a raw string var album = new Album() { AlbumName = "Dirty Deeds Done Dirt Cheap", Artist = "AC/DC", Entered = DateTime.Now, YearReleased = 1976, Songs = new List<Song>() { new Song() { SongName = "Dirty Deeds Done Dirt Cheap", SongLength = "4:11" }, new Song() { SongName = "Love at First Feel", SongLength = "3:10" } } }; // serialize to string string json2 = JsonConvert.SerializeObject(album,Formatting.Indented); Console.WriteLine(json2); // make sure we can serialize back var album2 = JsonConvert.DeserializeObject<Album>(json2); Assert.IsNotNull(album2); Assert.IsTrue(album2.AlbumName == "Dirty Deeds Done Dirt Cheap"); Assert.IsTrue(album2.Songs.Count == 2); } JsonConvert is a high level static class that wraps lower level functionality, but you can also use the JsonSerializer class, which allows you to serialize/parse to and from streams. It's a little more work, but gives you a bit more control. The functionality available is easy to discover with Intellisense, and that's good because there's not a lot in the way of documentation that's actually useful. Summary JSON.NET is a pretty complete JSON implementation with lots of different choices for JSON parsing from dynamic parsing to static serialization, to complex querying of JSON objects using LINQ. It's good to see this open source library getting integrated into .NET, and pushing out the old and tired stock .NET parsers so that we finally have a bit more flexibility - and extensibility - in our JSON parsing. Good to go! Resources Sample Test Project http://json.codeplex.com/© Rick Strahl, West Wind Technologies, 2005-2012Posted in .NET  Web Api  AJAX   Tweet !function(d,s,id){var js,fjs=d.getElementsByTagName(s)[0];if(!d.getElementById(id)){js=d.createElement(s);js.id=id;js.src="//platform.twitter.com/widgets.js";fjs.parentNode.insertBefore(js,fjs);}}(document,"script","twitter-wjs"); (function() { var po = document.createElement('script'); po.type = 'text/javascript'; po.async = true; po.src = 'https://apis.google.com/js/plusone.js'; var s = document.getElementsByTagName('script')[0]; s.parentNode.insertBefore(po, s); })();

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  • WCF Maximum message size quota exceeded problem - Guru needed

    - by Rire1979
    The maximum message size quota for incoming messages (65536) has been exceeded. To increase the quota, use the MaxReceivedMessageSize property on the appropriate binding element. Let me begin by saying that I can fix the problem by increasing the size of MaxReceivedMessageSize and the appropriate buffer. However it looks to me that this solution is not ideal because it's impossible to establish an upper bound to the size of the message as data changes daily. Setting it to the maximum size of two gigs feels like the wrong approach ... It may matter... or not: I'm using the MSN ad center API v6. Can an experienced WCF professional confirm this is indeed the approach we'll have to make do with? Is it as bad as it looks? Thank you.

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  • encodingStyle usage in XmlSerializer.Serialize

    - by Vishal Seth
    Can somebody please explain the use of 4th parameter of public void Serialize( XmlWriter xmlWriter, Object o, XmlSerializerNamespaces namespaces, string encodingStyle ) My issue is this: I've following string in one of the fields of my object: "reviewed ?" // music notation When I serialize it, it becomes & # x E; // see it as one word, w/o spaces it won't let me type And it fails when I try to transform this .NET generated XML through another XSL file Is it happening because its serializing using UTF-16? Is there any way I can make it transform using UTF-8 and make this "error" go away? **

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  • Android page Curl animation

    - by Meymann
    Hi... Two questions: Is there a simple way to do the Curl page flipping animation? A Curl animation is animation of pages flipping, including the page above rolling and the shadows over the lower page. What is the recommended way to do a "gallery" that displays two pages at a time (just like a book)? Is it: Letting the adapter display a linear layout of two images at a time? (it won't let me show a page flipping over the other like a book) Using two pages, placing somehow one near the other, and then when it's time to animate -move the next two pages over? What is the better way that would enable displaying the left page flipping over the right page? Thanks Meymann

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