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  • What is preferred strategies for cross browser and multiple styled table in CSS?

    - by jitendra
    What is preferred strategies for cross browser and multiple styled table in CSS? in default css what should i predefined for <table>, td, th , thead, tbody, tfoot I have to work in a project there are so many tables with different color schemes and different type of alignment like in some table , i will need to horizontally align data of cell to right, sometime left, sometime right. same thing for vertical alignment, top, bottom and middle. some table will have thin border on row , some will have thick (same with column border). Some time i want to give different background color to particular row or column or in multiple row or column. So my question is: What code should i keep in css default for all tables and how to handle table with different style using ID and classes in multiple pages. I want to do every presentational thing with css. How to make ID classes for everything using semantic naming ? Which tags related to table can be useful? How to control whole tables styling from one css class?

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  • Extjs - Loading Grid when call

    - by Oxi
    I have form and grid. the user must enter data in form fields then display related records in the grid. I want to implement a search form, e.g: user will type the name and gender of the student, then will get a grid of all students have the same name and gender. So, I use ajax to send form fields value to PHP and then creat a json_encode wich will be used in grid store. I am really not sure if my idea is good. But I haven't found another way to do that. The problem is when I set autoLoad to true in the store, the grid automatically filled with all data - not just what I asked for - So, I understand that I have to set autoLoad to false, but then the result not shown in the grid even it returned successfully in the firebug! I don't know what to do. My View: { xtype: 'panel', layout: "fit", id: 'searchResult', flex: 7, title: '<div style="text-align:center;"/>SearchResultGrid</div>', items: [ { xtype: 'gridpanel', store: 'advSearchStore', id: 'AdvSearch-grid', columns: [ { xtype: 'gridcolumn', dataIndex: 'name', align: 'right', text: 'name' }, { xtype: 'gridcolumn', dataIndex: 'gender', align: 'right', text: 'gender' } ], viewConfig: { id : 'Arr' ,emptyText: 'noResult' }, requires: ['MyApp.PrintSave_toolbar'], dockedItems: [ { xtype: 'PrintSave_tb', dock: 'bottom', } ] } ] }, My Store and Model: Ext.define('AdvSearchPost', { extend: 'Ext.data.Model', proxy: { type: 'ajax', url: 'AdvSearch.php', reader: { type: 'json', root: 'Arr', totalProperty: 'totalCount' } }, fields: [ { name: 'name'}, { name: 'type_and_cargo'} ] }); Ext.create('Ext.data.Store', { pageSize: 10, autoLoad: false, model: 'AdvSearchPost', storeId: 'AdvSearchPost' });

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  • What is the difference between Inversion of Control and Dependency injection in C++?

    - by rlbond
    I've been reading recently about DI and IoC in C++. I am a little confused (even after reading related questions here on SO) and was hoping for some clarification. It seems to me that being familiar with the STL and Boost leads to use of dependency injection quite a bit. For example, let's say I made a function that found the mean of a range of numbers: template <typename Iter> double mean(Iter first, Iter last) { double sum = 0; size_t number = 0; while (first != last) { sum += *(first++); ++number; } return sum/number; }; Is this dependency injection? Inversion of control? Neither? Let's look at another example. We have a class: class Dice { public: typedef boost::mt19937 Engine; Dice(int num_dice, Engine& rng) : n_(num_dice), eng_(rng) {} int roll() { int sum = 0; for (int i = 0; i < num_dice; ++i) sum += boost::uniform_int<>(1,6)(eng_); return sum; } private: Engine& eng_; int n_; }; This seems like dependency injection. But is it inversion of control? Also, if I'm missing something, can someone help me out?

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  • Macro and array crossing

    - by Thomas
    I am having a problem with a lisp macro. I would like to create a macro which generate a switch case according to an array. Here is the code to generate the switch-case: (defun split-elem(val) `(,(car val) ',(cdr val))) (defmacro generate-switch-case (var opts) `(case ,var ,(mapcar #'split-elem opts))) I can use it with a code like this: (generate-switch-case onevar ((a . A) (b . B))) But when I try to do something like this: (defparameter *operators* '((+ . OPERATOR-PLUS) (- . OPERATOR-MINUS) (/ . OPERATOR-DIVIDE) (= . OPERATOR-EQUAL) (* . OPERATOR-MULT))) (defmacro tokenize (data ops) (let ((sym (string->list data))) (mapcan (lambda (x) (generate-switch-case x ops)) sym))) (tokenize data *operators*) I got this error: *** - MAPCAR: A proper list must not end with OPS. But I don't understand why. When I print the type of ops I get SYMBOL I was expecting CONS, is it related? Also, for my function tokenize how many times the lambda is evaluated (or the macro expanded)?

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  • Open-sourcing a web site with active users?

    - by Lars Yencken
    I currently run several research-related web-sites with active users, and these sites use some personally identifying information about these users (their email address, IP address, and query history). Ideally I'd release the code to these sites as open source, so that other people could easily run similar sites, and more importantly scrutinise and replicate my work, but I haven't been comfortable doing so, since I'm unsure of the security implications. For example, I wouldn't want my users' details to be accessed or distributed by a third party who found some flaw in my site, something which might be easy to do with full source access. I've tried going half-way by refactoring the (Django) site into more independent modules, and releasing those, but this is very time consuming, and in practice I've never gotten around to releasing enough that a third party can replicate the site(s) easily. I also feel that maybe I'm kidding myself, and that this process is really no different to releasing the full source. What would you recommend in cases like this? Would you open-source the site and take the risk? As an alternative, would you advertise the source as "available upon request" to other researchers, so that you at least know who has the code? Or would you just apologise to them and keep it closed in order to protect users?

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  • Type casting in C++ by detecting the current 'this' object type

    - by Elroy
    My question is related to RTTI in C++ where I'm trying to check if an object belongs to the type hierarchy of another object. The BelongsTo() method checks this. I tried using typeid, but it throws an error and I'm not sure about any other way how I can find the target type to convert to at runtime. #include <iostream> #include <typeinfo> class X { public: // Checks if the input type belongs to the type heirarchy of input object type bool BelongsTo(X* p_a) { // I'm trying to check if the current (this) type belongs to the same type // hierarchy as the input type return dynamic_cast<typeid(*p_a)*>(this) != NULL; // error C2059: syntax error 'typeid' } }; class A : public X { }; class B : public A { }; class C : public A { }; int main() { X* a = new A(); X* b = new B(); X* c = new C(); bool test1 = b->BelongsTo(a); // should return true bool test2 = b->BelongsTo(c); // should return false bool test3 = c->BelongsTo(a); // should return true } Making the method virtual and letting derived classes do it seems like a bad idea as I have a lot of classes in the same type hierarchy. Or does anybody know of any other/better way to the do the same thing? Please suggest.

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  • Android SDK not recognizing debug-able device.

    - by kal.zekdor
    I'm new to Android development, and am attempting to run a test application on my actual device. I followed the instructions at http://developer.android.com/guide/developing/device.html (and related links), but the Android Debug Bridge (adb) doesn't recognize my connected device. Some quick background info, I'm running WinXP, developing with Eclipse, with a Motorola Droid running Android 2.1 as my physical device. An overview of the steps I've taken: Installed the Android SDK, downloading all necessary packages. Enabled USB Debugging on my device. Connected Device via USB, installing the driver from the SDK folder. I'll stop here (though I continued to setup my application to be debug-able in Eclipse), because I at this point I noticed a problem. Running "sdk\tools\adb devices" at this point (at least, by my understanding), should list my device as connected. However, running this yields only: List of devices attached My device recognizes that it's connected to a computer in debug mode, and my computer recognizes the device. However, I can't seem to get the sdk to recognize it. I'll leave out the steps I used to setup Eclipse for debugging on a device, as it doesn't seem relevant to the problem. I'll include them if requested. If anyone has any ideas, I'd greatly appreciate some assistance. Thanks in advance for your time.

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  • What is the procedure for debugging a production-only error?

    - by Lord Torgamus
    Let me say upfront that I'm so ignorant on this topic that I don't even know whether this question has objective answers or not. If it ends up being "not," I'll delete or vote to close the post. Here's the scenario: I just wrote a little web service. It works on my machine. It works on my team lead's machine. It works, as far as I can tell, on every machine except for the production server. The exception that the production server spits out upon failure originates from a third-party JAR file, and is skimpy on information. I search the web for hours, but don't come up with anything useful. So what's the procedure for tracking down an issue that occurs only on production machines? Is there a standard methodology, or perhaps category/family of tools, for this? The error that inspired this question has already been fixed, but that was due more to good fortune than a solid approach to debugging. I'm asking this question for future reference. Some related questions: Test accounts and products in a production system Running test on Production Code/Server

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  • Working with libpath with java reflection.

    - by C. Ross
    I'm dynamically loading a class and calling a method on it. This class does JNI. When I call the class, java attempts to load the library. This causes an error because the library is not on the libpath. I'm calling from instead a jar so I can't easily change the libpath (especially since the library is not in the same directory or a sub directory of the jar). I do know the path of the library, but how can I load it before I load the class. Current code: public Class<?> loadClass(String name) throws ClassNotFoundException { if(!CLASS_NAME.equals(name)) return super.loadClass(name); try { URL myUrl = new URL(classFileUrl); URLConnection connection = myUrl.openConnection(); InputStream input = connection.getInputStream(); byte[] classData = readConnectionToArray(input); return defineClass(CLASS_NAME, classData, 0, classData.length); } catch (MalformedURLException e) { throw new UndeclaredThrowableException(e); } catch (IOException e) { throw new UndeclaredThrowableException(e); } } Exception: Can't find library libvcommon.so java.lang.UnsatisfiedLinkError: vcommon (A file or directory in the path name does not exist.) at java.lang.ClassLoader.loadLibraryWithPath(ClassLoader.java:998) at java.lang.ClassLoader.loadLibraryWithClassLoader(ClassLoader.java:962) at java.lang.System.loadLibrary(System.java:465) at vcommon.(vcommon.java:103) at java.lang.J9VMInternals.initializeImpl(Native Method) at java.lang.J9VMInternals.initialize(J9VMInternals.java:200) at sun.reflect.NativeMethodAccessorImpl.invoke0(Native Method) at sun.reflect.NativeMethodAccessorImpl.invoke(NativeMethodAccessorImpl.java:39) at sun.reflect.DelegatingMethodAccessorImpl.invoke(DelegatingMethodAccessorImpl.java:37) at java.lang.reflect.Method.invoke(Method.java:599) at com.fortune500.fin.v.vunit.reflection.ReflectionvProcessor.calculateV(ReflectionvProcessor.java:36) at com.fortune500.fin.v.vunit.UTLTestCase.execute(UTLTestCase.java:42) at com.fortune500.fin.v.vunit.TestSuite.execute(TestSuite.java:15) at com.fortune500.fin.v.vunit.batch.Testvendor.execute(Testvendor.java:101) at com.fortune500.fin.v.vunit.batch.Testvendor.main(Testvendor.java:58) Related: Dynamic loading a class in java with a different package name

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  • changing asp .net web service namespace when already in productive state

    - by eloQ
    by some unfortunate events we published a web service with the tempuri-namespace a couple of months ago and no one did notice (not in our company, not the companies connecting to the web service) even though it's live since that time and lots of companies (~25 i guess) already access this web service. now i'm thinking of correcting that mistake and have the namespace fixed to a proper value. the only problem is: as soon as we would do it, all the programs and services connected to this web service would stop working. i can't really allow that to happen. is there any way to fix the namespace for future purpose or to have the web service operate under two namespaces as one web service? any tip at all what i could do to get rid of the tempuri-namespace and have it fixed without needing to synchronize the change with all the external companies? i'm all out of ideas, so any help would be much appreciated! thanks! I hope this question is alright here, first time user, found this through using search engines on my research and found tempuri.org related posts, just not the right one..

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  • Creating DOM elements on the fly - check if the data is not harmful

    - by user313353
    I already posted a question closely related to the this one. I watched the Mix10 video with P. Haacked and S. Hanselman. I am building an AJAX-powered site whose input forms are created on the fly. All the code to accomplish this is done within a script tag or a javascript file. For example the following DOM elements are created when the page loads and are wrapped into an existing div defined in a view: $('#myform').append('); $('#myform').append(''); When I click the submit button I need to get the values of the input form whose id is 'Name': $("#Name").val() and then I return a Json object: { Name: name }; For this kind of scenario there is no way to use Html.Encode() or AntiXss.HtmlEncode() on the client-side. The only way to check if the input is not harmful is done on the server-side (via a service layer). This seems a limitation. All is fine if and only if a view has a set of predefined inputs. When it is time to create them on the fly, the situation is different. Have you thought of that situation guys? Thanks for the attention you have put on this. Roland Brussels, Belgium

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  • PEAR:DB connection parameters

    - by Markus Ossi
    I just finished my first PHP site and now I have a security-related question. I used PEAR:DB for the database connection and made a separate parameter file for it. How should I hide this parameter file? I found a guide (http://www.kitebird.com/articles/peardb.html) that says: Another way to specify connection parameters is to put them in a separate file that you reference from your main script. ... It also enables you to move the parameter file outside of the web server's document tree, which prevents its contents from being displayed literally if the server becomes misconfigured and starts serving PHP scripts as plain text. I have now put my file in a directory like this /include/db_parameters.inc However, if I go to this URL, the web server shows me the contents of the file including my database username and password. From what I've understood, I should protect this file so, that even though PHP would be served as text, nobody could read this. What does outside of web server's document tree mean here? Put the PHP file out of public_html directory altogether deeper into the server file system? Some CHMOD?

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  • How to select LI exept first and second ?

    - by Wazdesign
    Here is the structure of the content , I want to select all LI except the first two ( ie no-link) jQuery(document).ready(function(){ var nosubnav = jQuery('.first-level li:not(:has(ul))'); var nosubnavsize = jQuery('.first-level li:not(:has(ul))').size(); jQuery(nosubnav).css('border' , '1px solid red'); alert('List item which does not have submenu '+nosubnavsize); }); div class="navigation-container"> <ul class="first-level"> <li><a href="#">No Link</a></li> <li><a href="#">No Link</a></li> <li><a href="#">Link 1</a></li> <li><a href="#">Link 2</a> <ul> <li><a href="#">Link2.1</a></li> <li><a href="#">Link2.2</a> <ul> <li><a href="#">Link 2.2.1</a></li> </ul> </li> </ul> </li> <li><a href="#">Link </a></li> </ul> </div> related Question : http://stackoverflow.com/questions/2771801/how-to-count-li-which-does-not-have-ul

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  • entity framework insert bug

    - by tmfkmoney
    I found a previous question which seemed related but there's no resolution and it's 5 months old so I've opened my own version. http://stackoverflow.com/questions/1545583/entity-framework-inserting-new-entity-via-objectcontext-does-not-use-existing-e When I insert records into my database with the following it works fine for a while and then eventually it starts inserting null values in the referenced field. This typically happens after I do an update on my model from the database although not always after I do an update. I'm using a MySQL database for this. I have debugged the code and the values are being set properly before the save event. They're just not getting inserted properly. I can always fix this issue by re-creating the model without touching any of my code. I have to recreate the entire model, though. I can't just dump the relevant tables and re-add them. This makes me think it doesn't have anything to do with my code but something with the entity framework. Does anyone else have this problem and/or solved it? using (var db = new MyModel()) { var stocks = from record in query let ticker = record.Ticker select new { company = db.Companies.FirstOrDefault(c => c.ticker == ticker), price = Convert.ToDecimal(record.Price), date_stamp = Convert.ToDateTime(record.DateTime) }; foreach (var stock in stocks) { if (stock.company != null) { var price = new StockPrice { Company = stock.company, price = stock.price, date_stamp = stock.date_stamp }; db.AddToStockPrices(price); } } db.SaveChanges(); }

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  • Dangers when deploying Flash/Flex UI test automation hooks to production?

    - by Merlyn Morgan-Graham
    I am interested in doing automated testing against a Flex based UI. I have found out that my best options for UI automation (due to being C# controllable, good licensing conditions, etc) all seem to require that I compile test hooks into my application. Because of this, I am thinking of recommending that these hooks be compiled into our build. I have found a few places on the net that recommend not deploying bits with this instrumentation enabled, and I'd like to know why. Is it a performance drain, or a security risk? If it is a security risk, can you explain how the attack surface is increased? I am not a Flash or Flex developer, though I have some experience with threat modeling. For reference, here's the tools I'm specifically considering: QTP Selenium-Flex API I am having problems finding all the warnings/suggestions I found last night, but here's an example that I can find: http://www.riatest.com/products/getting-started.html Warning! Automation enabled applications expose all properties of all GUI components. This makes them vulnerable to malicious use. Never make automation enabled application publicly available. Always restrict access to such applications and to RIATest Loader to trusted users only. Related question (how to do conditional compilation to insert/remove those hooks): Conditionally including Flex libraries (SWCs) in mxmlc/compc ant tasks

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  • How to manage a single-selection (exclusive) list?

    - by Andy
    I've got a detail view that consists of a table view with a few rows of data. I can fill the rows just fine, and moving back and forth from the parent view to the subview works too. This detail view should allow the user to select a single value, placing a checkmark accessory in the cell and then returning to the parent view (where the selected value becomes the cell.textLabel.text property of the cell from which the detail view was called). This all works as of right now. However, when the user taps the cell in the parent view to go back to the detail view (to change their selection), my checkmark has disappeared and I cannot for the life of me figure out how to make it stay. Here's my cellForRowAtIndexPath: method: - (UITableViewCell *)tableView:(UITableView *)tableView cellForRowAtIndexPath:(NSIndexPath *)indexPath { static NSString *CellIdentifier = @"Cell"; UITableViewCell *cell = [tableView dequeueReusableCellWithIdentifier:CellIdentifier]; if (cell == nil) { cell = [[[UITableViewCell alloc] initWithStyle:UITableViewCellStyleSubtitle reuseIdentifier:CellIdentifier] autorelease]; } NSString *labelText = [[phones objectAtIndex:indexPath.row] valueForKey:@"phoneNumberLabel"]; cell.textLabel.text = labelText; NSString *currentLabel = [ruleBuilder.tableView cellForRowAtIndexPath:selectedIndexPath].textLabel.text; if (labelText == currentLabel) { cell.accessoryType = UITableViewCellAccessoryCheckmark; } NSString *detailText = [[phones objectAtIndex:indexPath.row] valueForKey:@"phoneNumber"]; cell.detailTextLabel.text = detailText; return cell; } I've checked out Apple's sample code for exclusive-list management in Table View Programming Guide, but the snippet seems incomplete, and I can't find the related code in Apple's sample code. This doesn't seem like it ought to be that hard to do.

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  • How to get rid of the 'progress' cursor?

    - by Ivan
    I have an interval that launches an AJAX call to check if there is any update for the page (I imagine that it's similar to the mechanism used by Facebook or StackExchange to check for new notifications). The problem is that this call changes the cursor to the 'progress' or 'busy' cursor (visual problem) and disables to option to click on links (functional problem). I suppose both problems are related. How can get rid of this effect or at least minimize the consequences? Some code: setInterval(function() { try { var mid = $($("ul#alert-messages li.regular")[0]).attr('ref'); call_ajax('/load_alerts', {num:0, id:mid}, function (data) { if (data.ok) { for (var i=0; i<data.result.length; i++) { // .... } // ... } }, function() {}, // Do not show any error for this!! false); // Do not change cursor! } catch (e) {} }, 15000); function call_ajax(url, data, fnSuccess, fnError) { $.ajax({ 'url': url, 'type': 'POST', 'data': data, 'dataType': "json", 'success' : function(data) { if (fnSuccess) { fnSuccess(data); } else { if (typeof data.msg != 'undefined') { topBar(data.msg, typeof data.ok != 'undefined' && data.ok? 'message' : 'error'); } } }, error : function (jqXHR, textStatus, errorThrown) { console.log(errorThrown); if (fnError) { fnError(STR_ERROR_AJAX + textStatus); } else { topBar(STR_ERROR_AJAX + textStatus, 'error'); } } }); }

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  • Loading Dimension Tables - Methodologies

    - by Nev_Rahd
    Hello, Recently I been working on project, where need to populated Dim Tables from EDW Tables. EDW Tables are of type II which does maintain historical data. When comes to load Dim Table, for which source may be multiple EDW Tables or would be single table with multi level pivoting (on attributes). Mean: There would be 10 records - one for each attribute which need to be pivoted on domain_code to make a single row in Dim. Out of these 10 records there would be some attributes with same domain_code but with different sub_domain_code, which needs further pivoting on subdomain code. Ex: if i got domain code: 01,02, 03 = which are straight pivot on domain code I would also have domain code: 10 with subdomain code / version as 2006,2007,2008,2009 That means I need to split my source table with above attributes into two = one for domain code and other for domain_code + version. so far so good. When it comes to load Dim Table: As per design specs for Dimensions (originally written by third party), what they want is: for every single change in EDW (attribute), it should assemble all the related records (for that NK) mean new one with other attribute values which are current = process them to create a new dim record and insert it. That mean if a single extract contains 100 records updated (one for each NK), it should assemble 100 + (100*9) records to insert / update dim table. How good is this approach. Other way I tried to do is just do a lookup into dim table for that NK get the value's of recent records (attributes which not changed) and insert it and update the current one. What would be the better approach assembling records at source side for one attribute change or looking into dim table's recent record and process it. If this doesn't make sense, would like to elaborate it further. Thanks

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  • NHibernate is not connecting to sql server.

    - by user177883
    When i set up a regular connection, it works, however when i try to use nhibernate, hibernate.cfg.xml, i m getting the following error. Message="A network-related or instance-specific error occurred while establishing a connection to SQL Server. The server was not found or was not accessible. Verify that the instance name is correct and that SQL Server is configured to allow remote connections. (provider: SQL Network Interfaces, error: 26 - Error Locating Server/Instance Specified)" Source=".Net SqlClient Data Provider" What would be the reason for this and how can i resolve it ? I doubt that it s a network or sql server configuration error. <?xml version="1.0" ?> <hibernate-configuration xmlns="urn:nhibernate-configuration-2.2" > <session-factory> <property name="connection.provider">NHibernate.Connection.DriverConnectionProvider</property> <property name="dialect">NHibernate.Dialect.MsSql2005Dialect</property> <property name="connection.driver_class">NHibernate.Driver.SqlClientDriver</property> <property name="connection.connection_string">Server=(ServerName\DEV_ENV);Initial Catalog=dbName;User Id=SA;Password=PASS</property> <property name="proxyfactory.factory_class">NHibernate.ByteCode.LinFu.ProxyFactoryFactory, NHibernate.ByteCode.LinFu</property> </session-factory> </hibernate-configuration>

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  • Is it possible to create an Android Service that listens for hardware key presses?

    - by VoteBrian
    I'd like to run an Android background service that will act as a keylistener from the home screen or when the phone is asleep. Is this possible? From semi-related examples online, I put together the following service, but get the error, "onKeyDown is undefined for the type Service". Does this mean it can't be done without rewriting Launcher, or is there something obvious I'm missing? public class ServiceName extends Service { @Override public void onCreate() { //Stuff } public IBinder onBind(Intent intent) { //Stuff return null; } @Override public boolean onKeyDown(int keyCode, KeyEvent event) { if(event.getAction() == KeyEvent.ACTION_DOWN) { switch(keyCode) { case KeyEvent.KEYCODE_A: //Stuff return true; case KeyEvent.KEYCODE_B: //Stuff return true; //etc. } } return super.onKeyDown(keyCode, event); } } I realize Android defaults to the search bar when you type from the home screen, but this really is just for a very particular use. I don't really expect anyone but me to want this. I just think it'd be nice, for example, to use the camera button to wake the phone.

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  • What *is* an IPM.DistList?

    - by Jeremy
    I'm trying to get the recipient addresses within an IPM.DistList that is stored in a public folder (of type contacts) in Exchange 2003. The typeName of the object (once I get hold of it) is a Message (with a parent object being a Messages collection) and the messageType is "IPM.DistList". I can find all sorts of things about IPM.DistListItems, which you would think an IPM.DistList would contain, but there apparently isn't any documentation on the DistList (that I can find) and DistListItems documentation lists no parent possibilities in MSDN. I'll state it another way in case I've left you confused: We have an Exchange 2003 info store with Public Folders. Within those Public Folders is a [sub]folder (that holds items of type "Contact") that has a bunch of distribution lists (IPM.DistList's) that have contact entries, members of the list essentially. I need to get the addresses of the members of the lists in the Public Folder sub-folder using any VB language, because the company I work for hired me as a VB guy and expects me to write VB solutions, even though I could do it in C++... alas, I digress. VB is the language I'm supposed to figure this out in. (.net, script, vba, vb6, it doesn't matter which one. Yes, I know vb.net is not really related to those that came before, but they don't know that.) Anyone ran into anything like this? Am I just not finding the IPM.DistList documentation but it does actually exist somewhere? This isn't a Message.MAPIOBJECT (iUnknown) problem is it? Thanks.... Jeremy

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  • jQuery: Main nav items selected depending on URL or page name

    - by Ricardo
    Ok, I've looked all over for a solution for this but so far I'm unable to find anything related to what I need to accomplish. What I need is very simple as far as logic goes. I have a nav bar like this one: <nav> <ul> <li><a href="download.shtml">Download</a></li> <li><a href="documentation.shtml">Documentation</a></li> <li><a href="contact.shtml">Contact</a></li> <li><a href="about.shtml">About</a></li> </ul> </nav> And the URLs of the site are straightforward: http://domain.net/download.shtml http://domain.net/documentation.shtml http://domain.net/contact.shtml http://domain.net/about.shtml Question: How can I detect which page/URL I'm on and add a class of .active to the corresponding nav item? The end result would be, for example if I'm in the Download page: <nav> <ul> <li><a href="download.shtml" class="active">Download</a></li> <li><a href="documentation.shtml">Documentation</a></li> <li><a href="contact.shtml">Contact</a></li> <li><a href="about.shtml">About</a></li> </ul> </nav> Thanks in advance for any help on this matter.

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  • algorithm - How to sort a 0/1 array with 2n/3 comparisons?

    - by Jackson Tale
    In Algorithm Design Manual, there is such an excise 4-26 Consider the problem of sorting a sequence of n 0’s and 1’s using comparisons. For each comparison of two values x and y, the algorithm learns which of x < y, x = y, or x y holds. (a) Give an algorithm to sort in n - 1 comparisons in the worst case. Show that your algorithm is optimal. (b) Give an algorithm to sort in 2n/3 comparisons in the average case (assuming each of the n inputs is 0 or 1 with equal probability). Show that your algorithm is optimal. For (a), I think it is fairly easy. I can choose a[n-1] as pivot, then do something like in quicksort partition, scan 0 to n - 2, find the middle point where left side is all 0 and right side is all 1, this take n - 1 comparisons. But for (b), I can't get a clue. It says "each of the n inputs is 0 or 1 with equal probability", so I guess I can assume the numbers of 0 and 1 equal? But how can I get a result which is related to 1/3? divide the whole array into 3 groups? Thanks

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  • Converting contents of a byte array to wchar_t*

    - by Christopher MacKinnon
    I seem to be having an issue converting a byte array (containing the text from a word document) to a LPTSTR (wchar_t *) object. Every time the code executes, I am getting a bunch of unwanted Unicode characters returned. I figure it is because I am not making the proper calls somewhere, or not using the variables properly, but not quite sure how to approach this. Hopefully someone here can guide me in the right direction. The first thing that happens in we call into C# code to open up Microsoft Word and convert the text in the document into a byte array. byte document __gc[]; document = word->ConvertToArray(filename); The contents of document are as follows: {84, 101, 115, 116, 32, 68, 111, 99, 117, 109, 101, 110, 116, 13, 10} Which ends up being the following string: "Test Document". Our next step is to allocate the memory to store the byte array into a LPTSTR variable, byte __pin * value; value = &document[0]; LPTSTR image; image = (LPTSTR)malloc( document->Length + 1 ); Once we execute the line where we start allocating the memory, our image variable gets filled with a bunch of unwanted Unicode characters: ????????????????? And then we do a memcpy to transfer over all of the data memcpy(image,value,document->Length); Which just causes more unwanted Unicode characters to appear: ????????????????? I figure the issue that we are having is either related to how we are storing the values in the byte array, or possibly when we are copying the data from the byte array to the LPTSTR variable. Any help with explaining what I'm doing wrong, or anything to point me in the right direction will be greatly appreciated.

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  • Calculating a consecutive streak in data

    - by Jura25
    I’m trying to calculate the maximum winning and losing streak in a dataset (i.e. the highest number of consecutive positive or negative values). I’ve found a somewhat related question here on StackOverflow and even though that gave me some good suggestions, the angle of that question is different, and I’m not (yet) experienced enough to translate and apply that information to this problem. So I was hoping you could help me out, even an suggestion would be great. My data set look like this: > subRes Instrument TradeResult.Currency. 1 JPM -3 2 JPM 264 3 JPM 284 4 JPM 69 5 JPM 283 6 JPM -219 7 JPM -91 8 JPM 165 9 JPM -35 10 JPM -294 11 KFT -8 12 KFT -48 13 KFT 125 14 KFT -150 15 KFT -206 16 KFT 107 17 KFT 107 18 KFT 56 19 KFT -26 20 KFT 189 > split(subRes[,2],subRes[,1]) $JPM [1] -3 264 284 69 283 -219 -91 165 -35 -294 $KFT [1] -8 -48 125 -150 -206 107 107 56 -26 189 In this case, the maximum (winning) streak for JPM is four (namely the 264, 284, 69 and 283 consecutive positive results) and for KFT this value is 3 (107, 107, 56). My goal is to create a function which gives the maximum winning streaks per instrument (i.e. JPM: 4, KFT: 3). To achieve that: R needs to compare the current result with the previous result, and if it is higher then there is a streak of at least 2 consecutive positive results. Then R needs to look at the next value, and if this is also higher: add 1 to the already found value of 2. If this value isn’t higher, R needs to move on to the next value, while remembering 2 as the intermediate maximum. I’ve tried cumsum and cummax in accordance with conditional summing (like cumsum(c(TRUE, diff(subRes[,2]) > 0))), which didn’t work out. Also rle in accordance with lapply (like lapply(rle(subRes$TradeResult.Currency.), function(x) diff(x) > 0)) didn’t work. How can I make this work?

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