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  • Round-twice error in .NET's Double.ToString method

    - by Jeppe Stig Nielsen
    Mathematically, consider for this question the rational number 8725724278030350 / 2**48 where ** in the denominator denotes exponentiation, i.e. the denominator is 2 to the 48th power. (The fraction is not in lowest terms, reducible by 2.) This number is exactly representable as a System.Double. Its decimal expansion is 31.0000000000000'49'73799150320701301097869873046875 (exact) where the apostrophes do not represent missing digits but merely mark the boudaries where rounding to 15 resp. 17 digits is to be performed. Note the following: If this number is rounded to 15 digits, the result will be 31 (followed by thirteen 0s) because the next digits (49...) begin with a 4 (meaning round down). But if the number is first rounded to 17 digits and then rounded to 15 digits, the result could be 31.0000000000001. This is because the first rounding rounds up by increasing the 49... digits to 50 (terminates) (next digits were 73...), and the second rounding might then round up again (when the midpoint-rounding rule says "round away from zero"). (There are many more numbers with the above characteristics, of course.) Now, it turns out that .NET's standard string representation of this number is "31.0000000000001". The question: Isn't this a bug? By standard string representation we mean the String produced by the parameterles Double.ToString() instance method which is of course identical to what is produced by ToString("G"). An interesting thing to note is that if you cast the above number to System.Decimal then you get a decimal that is 31 exactly! See this Stack Overflow question for a discussion of the surprising fact that casting a Double to Decimal involves first rounding to 15 digits. This means that casting to Decimal makes a correct round to 15 digits, whereas calling ToSting() makes an incorrect one. To sum up, we have a floating-point number that, when output to the user, is 31.0000000000001, but when converted to Decimal (where 29 digits are available), becomes 31 exactly. This is unfortunate. Here's some C# code for you to verify the problem: static void Main() { const double evil = 31.0000000000000497; string exactString = DoubleConverter.ToExactString(evil); // Jon Skeet, http://csharpindepth.com/Articles/General/FloatingPoint.aspx Console.WriteLine("Exact value (Jon Skeet): {0}", exactString); // writes 31.00000000000004973799150320701301097869873046875 Console.WriteLine("General format (G): {0}", evil); // writes 31.0000000000001 Console.WriteLine("Round-trip format (R): {0:R}", evil); // writes 31.00000000000005 Console.WriteLine(); Console.WriteLine("Binary repr.: {0}", String.Join(", ", BitConverter.GetBytes(evil).Select(b => "0x" + b.ToString("X2")))); Console.WriteLine(); decimal converted = (decimal)evil; Console.WriteLine("Decimal version: {0}", converted); // writes 31 decimal preciseDecimal = decimal.Parse(exactString, CultureInfo.InvariantCulture); Console.WriteLine("Better decimal: {0}", preciseDecimal); // writes 31.000000000000049737991503207 } The above code uses Skeet's ToExactString method. If you don't want to use his stuff (can be found through the URL), just delete the code lines above dependent on exactString. You can still see how the Double in question (evil) is rounded and cast.

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  • Are there any suggestions for these new assembly mnemonics?

    - by Noctis Skytower
    Greetings! Last semester in college, my teacher in the Computer Languages class taught us the esoteric language named Whitespace. In the interest of learning the language better with a very busy schedule (midterms), I wrote an interpreter and assembler in Python. An assembly language was designed to facilitate writing programs easily, and a sample program was written with the given assembly mnemonics. Now that it is summer, a new project has begun with the objective being to rewrite the interpreter and assembler for Whitespace 0.3, with further developments coming afterwards. Since there is so much extra time than before to work on its design, you are presented here with an outline that provides a revised set of mnemonics for the assembly language. This post is marked as a wiki for their discussion. Have you ever had any experience with assembly languages in the past? Were there some instructions that you thought should have been renamed to something different? Did you find yourself thinking outside the box and with a different paradigm than in which the mnemonics were named? If you can answer yes to any of those questions, you are most welcome here. Subjective answers are appreciated! Stack Manipulation (IMP: [Space]) Stack manipulation is one of the more common operations, hence the shortness of the IMP [Space]. There are four stack instructions. hold N Push the number onto the stack copy Duplicate the top item on the stack copy N Copy the nth item on the stack (given by the argument) onto the top of the stack swap Swap the top two items on the stack drop Discard the top item on the stack drop N Slide n items off the stack, keeping the top item Arithmetic (IMP: [Tab][Space]) Arithmetic commands operate on the top two items on the stack, and replace them with the result of the operation. The first item pushed is considered to be left of the operator. add Addition sub Subtraction mul Multiplication div Integer Division mod Modulo Heap Access (IMP: [Tab][Tab]) Heap access commands look at the stack to find the address of items to be stored or retrieved. To store an item, push the address then the value and run the store command. To retrieve an item, push the address and run the retrieve command, which will place the value stored in the location at the top of the stack. save Store load Retrieve Flow Control (IMP: [LF]) Flow control operations are also common. Subroutines are marked by labels, as well as the targets of conditional and unconditional jumps, by which loops can be implemented. Programs must be ended by means of [LF][LF][LF] so that the interpreter can exit cleanly. L: Mark a location in the program call L Call a subroutine goto L Jump unconditionally to a label if=0 L Jump to a label if the top of the stack is zero if<0 L Jump to a label if the top of the stack is negative return End a subroutine and transfer control back to the caller halt End the program I/O (IMP: [Tab][LF]) Finally, we need to be able to interact with the user. There are IO instructions for reading and writing numbers and individual characters. With these, string manipulation routines can be written. The read instructions take the heap address in which to store the result from the top of the stack. print chr Output the character at the top of the stack print int Output the number at the top of the stack input chr Read a character and place it in the location given by the top of the stack input int Read a number and place it in the location given by the top of the stack Question: How would you redesign, rewrite, or rename the previous mnemonics and for what reasons?

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  • Android Activity ClassNotFoundException - tried everything

    - by Matthew Rathbone
    I've just refactored an app into a framework library and an application, but now when I try and start the app in the emulator I get the following error stack trace: 06-02 18:22:35.529: E/AndroidRuntime(586): FATAL EXCEPTION: main 06-02 18:22:35.529: E/AndroidRuntime(586): java.lang.RuntimeException: Unable to instantiate activity ComponentInfo{com.matthewrathbone.eastersays/com.matthewrathbone.eastersays.EasterSimonSaysActivity}: java.lang.ClassNotFoundException: com.matthewrathbone.eastersays.EasterSimonSaysActivity in loader dalvik.system.PathClassLoader[/data/app/com.matthewrathbone.eastersays-1.apk] 06-02 18:22:35.529: E/AndroidRuntime(586): at android.app.ActivityThread.performLaunchActivity(ActivityThread.java:2585) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.app.ActivityThread.handleLaunchActivity(ActivityThread.java:2679) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.app.ActivityThread.access$2300(ActivityThread.java:125) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.app.ActivityThread$H.handleMessage(ActivityThread.java:2033) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.os.Handler.dispatchMessage(Handler.java:99) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.os.Looper.loop(Looper.java:123) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.app.ActivityThread.main(ActivityThread.java:4627) 06-02 18:22:35.529: E/AndroidRuntime(586): at java.lang.reflect.Method.invokeNative(Native Method) 06-02 18:22:35.529: E/AndroidRuntime(586): at java.lang.reflect.Method.invoke(Method.java:521) 06-02 18:22:35.529: E/AndroidRuntime(586): at com.android.internal.os.ZygoteInit$MethodAndArgsCaller.run(ZygoteInit.java:868) 06-02 18:22:35.529: E/AndroidRuntime(586): at com.android.internal.os.ZygoteInit.main(ZygoteInit.java:626) 06-02 18:22:35.529: E/AndroidRuntime(586): at dalvik.system.NativeStart.main(Native Method) 06-02 18:22:35.529: E/AndroidRuntime(586): Caused by: java.lang.ClassNotFoundException: com.matthewrathbone.eastersays.EasterSimonSaysActivity in loader dalvik.system.PathClassLoader[/data/app/com.matthewrathbone.eastersays-1.apk] 06-02 18:22:35.529: E/AndroidRuntime(586): at dalvik.system.PathClassLoader.findClass(PathClassLoader.java:243) 06-02 18:22:35.529: E/AndroidRuntime(586): at java.lang.ClassLoader.loadClass(ClassLoader.java:573) 06-02 18:22:35.529: E/AndroidRuntime(586): at java.lang.ClassLoader.loadClass(ClassLoader.java:532) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.app.Instrumentation.newActivity(Instrumentation.java:1021) 06-02 18:22:35.529: E/AndroidRuntime(586): at android.app.ActivityThread.performLaunchActivity(ActivityThread.java:2577) 06-02 18:22:35.529: E/AndroidRuntime(586): ... 11 more Usually this means that the manifest file is wrong in some way, but I've double checked everything I can think of. Here is my activity class: package com.matthewrathbone.eastersays; import android.os.Bundle; import com.rathboma.simonsays.Assets.Season; import com.rathboma.simonsays.SeasonPicker; import com.rathboma.simonsays.SimonSaysActivity; public class EasterSimonSaysActivity extends SimonSaysActivity { @Override protected void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); } @Override protected void onDestroy() { // TODO Auto-generated method stub super.onDestroy(); } @Override public SeasonPicker getSeasonPicker() { return new SeasonPicker(){ @Override public Season getSeason() { // TODO Auto-generated method stub return Season.EASTER; } }; } } As you can see, it's listed correctly in the manifest: <?xml version="1.0" encoding="utf-8"?> <manifest xmlns:android="http://schemas.android.com/apk/res/android" package="com.matthewrathbone.eastersays" android:versionCode="1" android:versionName="1.0" > <uses-sdk android:minSdkVersion="7" android:targetSdkVersion="15" /> <application android:icon="@drawable/ic_launcher" android:label="@string/app_name" > <activity android:name=".EasterSimonSaysActivity" android:label="@string/app_name" > <intent-filter> <action android:name="android.intent.action.MAIN" /> <category android:name="android.intent.category.LAUNCHER" /> </intent-filter> </activity> </application> </manifest> I have no idea how to fix this, and would appreciate any help. I've scanned many similar questions on SO without seeing this particular behavior. More info: I've checked inside the generated APK and the class has an entry in the classes.dex file I've tried cleaning/building the project in eclipse I've tried using a totally new device image that doesn't have a copy of the APK on it already I've changed the library project into a regular java, then changed back into an android project, no difference

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  • Java Refuses to Start - Could not reserve enough space for object heap

    - by Randyaa
    Background We have a pool of aproximately 20 linux blades. Some are running Suse, some are running Redhat. ALL share NAS space which contains the following 3 folders: /NAS/app/java - a symlink that points to an installation of a Java JDK. Currently version 1.5.0_10 /NAS/app/lib - a symlink that points to a version of our application. /NAS/data - directory where our output is written All our machines have 2 processors (hyperthreaded) with 4gb of physical memory and 4gb of swap space. We limit the number of 'jobs' each machine can process at a given time to 6 (this number likely needs to change, but that does not enter into the current problem so please ignore it for the time being). Some of our jobs set a Max Heap size of 512mb, some others reserve a Max Heap size of 2048mb. Again, we realize we could go over our available memory if 6 jobs started on the same machine with the heap size set to 2048, but to our knowledge this has not yet occurred. The Problem Once and a while a Job will fail immediately with the following message: Error occurred during initialization of VM Could not reserve enough space for object heap Could not create the Java virtual machine. We used to chalk this up to too many jobs running at the same time on the same machine. The problem happened infrequently enough (MAYBE once a month) that we'd just restart it and everything would be fine. The problem has recently gotten much worse. All of our jobs which request a max heap size of 2048m fail immediately almost every time and need to get restarted several times before completing. We've gone out to individual machines and tried executing them manually with the same result. Debugging It turns out that the problem only exists for our SuSE boxes. The reason it has been happening more frequently is becuase we've been adding more machines, and the new ones are SuSE. 'cat /proc/version' on the SuSE boxes give us: Linux version 2.6.5-7.244-bigsmp (geeko@buildhost) (gcc version 3.3.3 (SuSE Linux)) #1 SMP Mon Dec 12 18:32:25 UTC 2005 'cat /proc/version' on the RedHat boxes give us: Linux version 2.4.21-32.0.1.ELsmp ([email protected]) (gcc version 3.2.3 20030502 (Red Hat Linux 3.2.3-52)) #1 SMP Tue May 17 17:52:23 EDT 2005 'uname -a' gives us the following on BOTH types of machines: UTC 2005 i686 i686 i386 GNU/Linux No jobs are running on the machine, and no other processes are utilizing much memory. All of the processes currently running might be using 100mb total. 'top' currently shows the following: Mem: 4146528k total, 3536360k used, 610168k free, 132136k buffers Swap: 4194288k total, 0k used, 4194288k free, 3283908k cached 'vmstat' currently shows the following: procs -----------memory---------- ---swap-- -----io---- --system-- ----cpu---- r b swpd free buff cache si so bi bo in cs us sy id wa 0 0 0 610292 132136 3283908 0 0 0 2 26 15 0 0 100 0 If we kick off a job with the following command line (Max Heap of 1850mb) it starts fine: java/bin/java -Xmx1850M -cp helloworld.jar HelloWorld Hello World If we bump up the max heap size to 1875mb it fails: java/bin/java -Xmx1875M -cp helloworld.jar HelloWorld Error occurred during initialization of VM Could not reserve enough space for object heap Could not create the Java virtual machine. It's quite clear that the memory currently being used is for Buffering/Caching and that's why so little is being displayed as 'free'. What isn't clear is why there is a magical 1850mb line where anything higher means Java can't start. Any explanations would be greatly appreciated.

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  • How to find the insertion point in an array using binary search?

    - by ????
    The basic idea of binary search in an array is simple, but it might return an "approximate" index if the search fails to find the exact item. (we might sometimes get back an index for which the value is larger or smaller than the searched value). For looking for the exact insertion point, it seems that after we got the approximate location, we might need to "scan" to left or right for the exact insertion location, so that, say, in Ruby, we can do arr.insert(exact_index, value) I have the following solution, but the handling for the part when begin_index >= end_index is a bit messy. I wonder if a more elegant solution can be used? (this solution doesn't care to scan for multiple matches if an exact match is found, so the index returned for an exact match may point to any index that correspond to the value... but I think if they are all integers, we can always search for a - 1 after we know an exact match is found, to find the left boundary, or search for a + 1 for the right boundary.) My solution: DEBUGGING = true def binary_search_helper(arr, a, begin_index, end_index) middle_index = (begin_index + end_index) / 2 puts "a = #{a}, arr[middle_index] = #{arr[middle_index]}, " + "begin_index = #{begin_index}, end_index = #{end_index}, " + "middle_index = #{middle_index}" if DEBUGGING if arr[middle_index] == a return middle_index elsif begin_index >= end_index index = [begin_index, end_index].min return index if a < arr[index] && index >= 0 #careful because -1 means end of array index = [begin_index, end_index].max return index if a < arr[index] && index >= 0 return index + 1 elsif a > arr[middle_index] return binary_search_helper(arr, a, middle_index + 1, end_index) else return binary_search_helper(arr, a, begin_index, middle_index - 1) end end # for [1,3,5,7,9], searching for 6 will return index for 7 for insertion # if exact match is found, then return that index def binary_search(arr, a) puts "\nSearching for #{a} in #{arr}" if DEBUGGING return 0 if arr.empty? result = binary_search_helper(arr, a, 0, arr.length - 1) puts "the result is #{result}, the index for value #{arr[result].inspect}" if DEBUGGING return result end arr = [1,3,5,7,9] b = 6 arr.insert(binary_search(arr, b), b) p arr arr = [1,3,5,7,9,11] b = 6 arr.insert(binary_search(arr, b), b) p arr arr = [1,3,5,7,9] b = 60 arr.insert(binary_search(arr, b), b) p arr arr = [1,3,5,7,9,11] b = 60 arr.insert(binary_search(arr, b), b) p arr arr = [1,3,5,7,9] b = -60 arr.insert(binary_search(arr, b), b) p arr arr = [1,3,5,7,9,11] b = -60 arr.insert(binary_search(arr, b), b) p arr arr = [1] b = -60 arr.insert(binary_search(arr, b), b) p arr arr = [1] b = 60 arr.insert(binary_search(arr, b), b) p arr arr = [] b = 60 arr.insert(binary_search(arr, b), b) p arr and result: Searching for 6 in [1, 3, 5, 7, 9] a = 6, arr[middle_index] = 5, begin_index = 0, end_index = 4, middle_index = 2 a = 6, arr[middle_index] = 7, begin_index = 3, end_index = 4, middle_index = 3 a = 6, arr[middle_index] = 5, begin_index = 3, end_index = 2, middle_index = 2 the result is 3, the index for value 7 [1, 3, 5, 6, 7, 9] Searching for 6 in [1, 3, 5, 7, 9, 11] a = 6, arr[middle_index] = 5, begin_index = 0, end_index = 5, middle_index = 2 a = 6, arr[middle_index] = 9, begin_index = 3, end_index = 5, middle_index = 4 a = 6, arr[middle_index] = 7, begin_index = 3, end_index = 3, middle_index = 3 the result is 3, the index for value 7 [1, 3, 5, 6, 7, 9, 11] Searching for 60 in [1, 3, 5, 7, 9] a = 60, arr[middle_index] = 5, begin_index = 0, end_index = 4, middle_index = 2 a = 60, arr[middle_index] = 7, begin_index = 3, end_index = 4, middle_index = 3 a = 60, arr[middle_index] = 9, begin_index = 4, end_index = 4, middle_index = 4 the result is 5, the index for value nil [1, 3, 5, 7, 9, 60] Searching for 60 in [1, 3, 5, 7, 9, 11] a = 60, arr[middle_index] = 5, begin_index = 0, end_index = 5, middle_index = 2 a = 60, arr[middle_index] = 9, begin_index = 3, end_index = 5, middle_index = 4 a = 60, arr[middle_index] = 11, begin_index = 5, end_index = 5, middle_index = 5 the result is 6, the index for value nil [1, 3, 5, 7, 9, 11, 60] Searching for -60 in [1, 3, 5, 7, 9] a = -60, arr[middle_index] = 5, begin_index = 0, end_index = 4, middle_index = 2 a = -60, arr[middle_index] = 1, begin_index = 0, end_index = 1, middle_index = 0 a = -60, arr[middle_index] = 9, begin_index = 0, end_index = -1, middle_index = -1 the result is 0, the index for value 1 [-60, 1, 3, 5, 7, 9] Searching for -60 in [1, 3, 5, 7, 9, 11] a = -60, arr[middle_index] = 5, begin_index = 0, end_index = 5, middle_index = 2 a = -60, arr[middle_index] = 1, begin_index = 0, end_index = 1, middle_index = 0 a = -60, arr[middle_index] = 11, begin_index = 0, end_index = -1, middle_index = -1 the result is 0, the index for value 1 [-60, 1, 3, 5, 7, 9, 11] Searching for -60 in [1] a = -60, arr[middle_index] = 1, begin_index = 0, end_index = 0, middle_index = 0 the result is 0, the index for value 1 [-60, 1] Searching for 60 in [1] a = 60, arr[middle_index] = 1, begin_index = 0, end_index = 0, middle_index = 0 the result is 1, the index for value nil [1, 60] Searching for 60 in [] [60]

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  • Code golf: Word frequency chart

    - by ChristopheD
    The challenge: Build an ASCII chart of the most commonly used words in a given text. The rules: Only accept a-z and A-Z (alphabetic characters) as part of a word. Ignore casing (She == she for our purpose). Ignore the following words (quite arbitary, I know): the, and, of, to, a, i, it, in, or, is Clarification: considering don't: this would be taken as 2 different 'words' in the ranges a-z and A-Z: (don and t). Optionally (it's too late to be formally changing the specifications now) you may choose to drop all single-letter 'words' (this could potentially make for a shortening of the ignore list too). Parse a given text (read a file specified via command line arguments or piped in; presume us-ascii) and build us a word frequency chart with the following characteristics: Display the chart (also see the example below) for the 22 most common words (ordered by descending frequency). The bar width represents the number of occurences (frequency) of the word (proportionally). Append one space and print the word. Make sure these bars (plus space-word-space) always fit: bar + [space] + word + [space] should be always <= 80 characters (make sure you account for possible differing bar and word lenghts: e.g.: the second most common word could be a lot longer then the first while not differing so much in frequency). Maximize bar width within these constraints and scale the bars appropriately (according to the frequencies they represent). An example: The text for the example can be found here (Alice's Adventures in Wonderland, by Lewis Carroll). This specific text would yield the following chart: _________________________________________________________________________ |_________________________________________________________________________| she |_______________________________________________________________| you |____________________________________________________________| said |____________________________________________________| alice |______________________________________________| was |__________________________________________| that |___________________________________| as |_______________________________| her |____________________________| with |____________________________| at |___________________________| s |___________________________| t |_________________________| on |_________________________| all |______________________| this |______________________| for |______________________| had |_____________________| but |____________________| be |____________________| not |___________________| they |__________________| so For your information: these are the frequencies the above chart is built upon: [('she', 553), ('you', 481), ('said', 462), ('alice', 403), ('was', 358), ('that ', 330), ('as', 274), ('her', 248), ('with', 227), ('at', 227), ('s', 219), ('t' , 218), ('on', 204), ('all', 200), ('this', 181), ('for', 179), ('had', 178), (' but', 175), ('be', 167), ('not', 166), ('they', 155), ('so', 152)] A second example (to check if you implemented the complete spec): Replace every occurence of you in the linked Alice in Wonderland file with superlongstringstring: ________________________________________________________________ |________________________________________________________________| she |_______________________________________________________| superlongstringstring |_____________________________________________________| said |______________________________________________| alice |________________________________________| was |_____________________________________| that |______________________________| as |___________________________| her |_________________________| with |_________________________| at |________________________| s |________________________| t |______________________| on |_____________________| all |___________________| this |___________________| for |___________________| had |__________________| but |_________________| be |_________________| not |________________| they |________________| so The winner: Shortest solution (by character count, per language). Have fun! Edit: Table summarizing the results so far (2012-02-15) (originally added by user Nas Banov): Language Relaxed Strict ========= ======= ====== GolfScript 130 143 Perl 185 Windows PowerShell 148 199 Mathematica 199 Ruby 185 205 Unix Toolchain 194 228 Python 183 243 Clojure 282 Scala 311 Haskell 333 Awk 336 R 298 Javascript 304 354 Groovy 321 Matlab 404 C# 422 Smalltalk 386 PHP 450 F# 452 TSQL 483 507 The numbers represent the length of the shortest solution in a specific language. "Strict" refers to a solution that implements the spec completely (draws |____| bars, closes the first bar on top with a ____ line, accounts for the possibility of long words with high frequency etc). "Relaxed" means some liberties were taken to shorten to solution. Only solutions shorter then 500 characters are included. The list of languages is sorted by the length of the 'strict' solution. 'Unix Toolchain' is used to signify various solutions that use traditional *nix shell plus a mix of tools (like grep, tr, sort, uniq, head, perl, awk).

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  • Why are there so many man-made edge cases in IT, and is there any hope for simplification / unificat

    - by Hamish Grubijan
    This question is meant to generate discussion and so it is marked as community wiki. My observation is that the field of information technology grows so rapidly and randomly, that for many it takes a lot of time to learn many intricacies of some tools that will be obsolete in just short 3 years. If you look at the questions asked on StackOverflow ... at least half of them stem from the fact that some language / tool / API / protocol was poorly designed, is backwards and has gotchas. There are so many things which distract developers from converting English into machine code; instead they spend their time configuring stuff and gluing together things that do not really fit. How many times do you pick up somebody else's project (or someone picks up yours :) ) and realize that this program does not need half of the dialogs that it has, and that the logic can be simplified a great deal? But, it had to be made and sold here before a better thing is made and sold elsewhere, and hence all this rush. I often wish that things would just slow down. I do not want Microsoft Windows to run on my car's computer, my watch, my table, my toaster oven, and my toilet seat. I'd rather have Windows that DOES NOT HAVE WINDOWS REGISTRY, I'd rather have Windows that allows two different programs to work on the same file at the same time, the way it works on Unix systems. Microsoft is just an example. I am looking forward to the day when I do not have to worry about Windows vs Unix new line break, when System32 actually means that this directory contains 32-bit binaries, and not 64-bit ones, the day when dll hell and manifest hell are no longer an issue, the day when it takes me a lot less than 3 months on a new job to learn the system. I do not mean learning the entire code base of a product (depending on the size of it, it can take a long time). I mean - remembering which build-assisting scripts are written in Perl and which version of it, and which ones are done through .bat files, when do I need to manually make every file in some directory writable before running a script, or else a critical step of a database maintenance home-grown tool will bomb, and it will take 2 days to clean that up. Makes me wonder if humans enslaved computers, or if it is the other way around. The key is that improving those things will not bring extra revenue, and hence those taking the time to fix crap like that are not "business focused". However, these imperfections irritate me immensely, particularly because my memory is limited - I can hold only a small portion of that useless knowledge of a system in my head at any given point in time. I must not be alone. Did you also happen to notice that a programmer can waste a lot of time on things that should have been a lot more straight-forward? Is there hope? Will things get better/simpler in the future, or will there be a lot more IT crap floating around? I suppose I see diversity of tools, protocols, etc. as a bad thing. Thank you for participation.

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  • How do I properly add existing source code files to my Xcode project?

    - by BeachRunnerJoe
    I'm new to iPhone development and I'm still getting familiar with the Mac dev environment, including Xcode. I want to add some 3rd party code to my iPhone project, but when I add the "existing files" to my Xcode project, I'm presented with a dialog box that has far too many options that I don't understand and, as such, my project isn't working. When I #import headerfilename.h, I get a build error that reads headerfilename.h: No such file or directory. Can anyone explain to me what all these options mean or give me a link to some documentation that can? I'm having a hard time finding anything in Apple's docs. Which options do I want to choose to add existing source code files to my Xcode project? I should note that the source code files that I'm trying to add are located in my project/Classes/frameworkname/ directory. After they're added, do I need to reference this new code directory in my project settings anywhere (i.e. some kind of header file directory variable)? Thanks so much! Update: I found the following answers/responses on the apple dev forums that were very useful and helped me fix my issue... To make it simple : - if you do not check the copy option, the file stay where it is. - if you check it, it is copied in your project folders In the first case (what it seems you are doing) you need to tell the compiler that the header files are in another directory : - project info - build - search paths - User Header Search Path : add the directory from where you took the header file Hope this will help You have discovered the most confusing dialog box that ever came out of Cupertino. Six years of Xcode, and this thing still is partly a mystery to me. To even get that far, I had to make many test projects to try and reverse-engineer what this thing does. The "Copy" box means that it will copy the files as they are right now, into the project. If this box is not checked, then it just references those files during a build and copies them as they are at THAT time. For source code, you want the Copy box checked. The "relative to" is a total mystery to me and I can't help you with that. I usually leave it however it is already set. Does it mean relative to where they are on disk, or the arrangement in Xcode, or in the bundle? Who knows. The last 2 radio buttons SEEM to mean that it will either re-create the folder structure of the folder you are adding, or just put "fake" folders in Xcode that point to the real folders. This is probably your problem - you are adding source code that is not all at the top level, and when it goes to find it, it does not re-create the hierarchy. Others can supply a better way, hopefully, but what I would do is put all of the source in one folder and add that, using the Copy box. Then in Xcode you can make whatever bogus folders you want and put the source file names in those fake folders.

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  • black screen while retrieving result from webservices in android

    - by Aswan
    Hi Folks i am using following webservices for retrieving data from server server side:.net client side:ksoap2 whenever activity start, onCreate i am using spinner for displying data returned by the webservices when this activity start it showing black screen after lunching the activity .i found black screen is coming when activity connecting to webservices How to resolve this MyCode public void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); try { //Display the online and busy people display in spinner //people are display in relative people only(Mygroup) /* get the online and busy people who are in user group from DB*/ users_names_ids=new ParseXMLString().convertusernames(new DataParsingComm().ILGetOnlinePeoples("<spGetOnlinePeoples><UserID>"+GetCurrentUserID.id+"</UserID></spGetOnlinePeoples>")); /* create an array with the size of number of peoples whose status is online or busy */ String[] array =new String[users_names_ids.size()]; int setselction=0;// initialize the selection to 0. /* if array length is greater than zero, that means getting at least one person whose status is online or busy */ if(array.length>0){ /* Returns an enumeration on the keys of this Hashtable instance. And assigns into Enumeration instance variable */ Enumeration e= users_names_ids.keys(); /* Iterate list Enumeration until it does't has any more elements */ for(int i=0;e.hasMoreElements();i++) try{ /* get all persons names into the array list */ array[i]=e.nextElement().toString(); /* Get the ChatUserName value from the ChatInPeopleDetails preferences. And If it is in this list set selection to the index 'i' */ if(getSharedPreferences("ChatInPeopleDetails", 0).getString("ChatUserName", "").equals(array[i])) setselction=i; /* * Get the String value of Relname, that previously added with putExtra() as extended data to the parent intent * If that value is not null and exists in the array list then * set the selection to the index 'i'. * */ else if(getIntent().getStringExtra("Relname")!=null && getIntent().getStringExtra("Relname").equals(array[i])) setselction=i; }catch(Exception ex){ ex.printStackTrace(); } finally { System.gc(); System.runFinalization(); } } /* create a new array adapter with the ChatForm context and array objects */ ArrayAdapter<String> adapter2 = new ArrayAdapter<String>(ChatForm.this,android.R.layout.simple_spinner_item, array); /* Set the layout resource to create the drop down views. */ adapter2.setDropDownViewResource(android.R.layout.simple_spinner_dropdown_item); /* The Adapter is used to provide the data which backs this Spinner SpinnerUsersToChat. */ ((Spinner)findViewById(R.id.SpinnerUsersToChat)).setAdapter(adapter2); /* Get the ChatUserName value from the ChatInPeopleDetails preferences. If this value is not null*/ if(getSharedPreferences("ChatInPeopleDetails", 0).getString("ChatUserName", "") !=null) { /* Set the currently selected item of spinner based on selection variable value */ ((Spinner)findViewById(R.id.SpinnerUsersToChat)).setSelection(setselction); } /* Register a callback to be invoked when an item in this AdapterView has been selected.*/ ((Spinner)findViewById(R.id.SpinnerUsersToChat)).setOnItemSelectedListener(new OnItemSelectedListener() { public void onItemSelected(AdapterView<?> parent,View v,int position,long id) { /* call getMsg() to get messages and display them*/ getMsg(); /* Causes the Runnable to be added to the message queue. The runnable will be run on the user interface thread.*/ ((ScrollView)findViewById(R.id.ScrollView06)).post(new Runnable() { public void run() { /* This fullScroll() method will scroll the view to the bottom .*/ ((ScrollView)findViewById(R.id.ScrollView06)).fullScroll(View.FOCUS_DOWN); } }); } /* on nothing selected to do somthing . this an overridden method */ public void onNothingSelected(AdapterView<?> arg0) { } }); } catch (Exception e1) { e1.printStackTrace(); } }

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  • Help with 2-part question on ASP.NET MVC and Custom Security Design

    - by JustAProgrammer
    I'm using ASP.NET MVC and I am trying to separate a lot of my logic. Eventually, this application will be pretty big. It's basically a SaaS app that I need to allow for different kinds of clients to access. I have a two part question; the first deals with my general design and the second deals with how to utilize in ASP.NET MVC Primarily, there will initially be an ASP.NET MVC "client" front-end and there will be a set of web-services for third parties to interact with (perhaps mobile, etc). I realize I could have the ASP.NET MVC app interact just through the Web Service but I think that is unnecessary overhead. So, I am creating an API that will essentially be a DLL that the Web App and the Web Services will utilize. The API consists of the main set of business logic and Data Transfer Objects, etc. (So, this includes methods like CreateCustomer, EditProduct, etc for example) Also, my permissions requirements are a little complicated. I can't really use a straight Roles system as I need to have some fine-grained permissions (but all permissions are positive rights). So, I don't think I can really use the ASP.NET Roles/Membership system or if I can it seems like I'd be doing more work than rolling my own. I've used Membership before and for this one I think I'd rather roll my own. Both the Web App and Web Services will need to keep security as a concern. So, my design is kind of like this: Each method in the API will need to verify the security of the caller In the Web App, each "page" ("action" in MVC speak) will also check the user's permissions (So, don't present the user with the "Add Customer" button if the user does not have that right but also whenever the API receives AddCustomer(), check the security too) I think the Web Service really needs the checking in the DLL because it may not always be used in some kind of pre-authenticated context (like using Session/Cookies in a Web App); also having the security checks in the API means I don't really HAVE TO check it in other places if I'm on a mobile (say iPhone) and don't want to do all kinds of checking on the client However, in the Web App I think there will be some duplication of work since the Web App checks the user's security before presenting the user with options, which is ok, but I was thinking of a way to avoid this duplication by allowing the Web App to tell the API not check the security; while the Web Service would always want security to be verified Is this a good method? If not, what's better? If so, what's a good way of implementing this. I was thinking of doing this: In the API, I would have two functions for each action: // Here, "Credential" objects are just something I made up public void AddCustomer(string customerName, Credential credential , bool checkSecurity) { if(checkSecurity) { if(Has_Rights_To_Add_Customer(credential)) // made up for clarity { AddCustomer(customerName); } else // throw an exception or somehow present an error } else AddCustomer(customerName); } public void AddCustomer(string customerName) { // actual logic to add the customer into the DB or whatever // Would it be good for this method to verify that the caller is the Web App // through some method? } So, is this a good design or should I do something differently? My next question is that clearly it doesn't seem like I can really use [Authorize ...] for determining if a user has the permissions to do something. In fact, one action might depend on a variety of permissions and the View might hide or show certain options depending on the permission. What's the best way to do this? Should I have some kind of PermissionSet object that the user carries around throughout the Web App in Session or whatever and the MVC Action method would check if that user can use that Action and then the View will have some ViewData or whatever where it checks the various permissions to do Hide/Show?

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  • [C#] Not enough memory or not enough handles?

    - by Nayan
    I am working on a large scale project where a custom (pretty good and robust) framework has been provided and we have to use that for showing up forms and views. There is abstract class StrategyEditor (derived from some class in framework) which is instantiated whenever a new StrategyForm is opened. StrategyForm (a customized window frame) contains StrategyEditor. StrategyEditor contains StrategyTab. StrategyTab contains StrategyCanvas. This is a small portion of the big classes to clarify that there are many objects that will be created if one StrategyForm object is allocated in memory at run-time. My component owns all these classes mentioned above except StrategyForm whose code is not in my control. Now, at run-time, user opens up many strategy objects (which trigger creation of new StrategyForm object.) After creating approx. 44 strategy objects, we see that the USER OBJECT HANDLES (I'll use UOH from here onwards) created by the application reaches to about 20k+, while in registry the default amount for handles is 10k. Read more about User Objects here. Testing on different machines made it clear that the number of strategy objects opened is different for message to pop-up - on one m/c if it is 44, then it can be 40 on another. When we see the message pop-up, it means that the application is going to respond slowly. It gets worse with few more objects and then creation of window frames and subsequent objects fail. We first thought that it was not-enough-memory issue. But then reading more about new in C# helped in understanding that an exception would be thrown if app ran out of memory. This is not a memory issue then, I feel (task manager also showed 1.5GB+ available memory.) M/C specs Core 2 Duo 2GHz+ 4GB RAM 80GB+ free disk space for page file Virtual Memory set: 4000 - 6000 My questions Q1. Does this look like a memory issue and I am wrong that it is not? Q2. Does this point to exhaustion of free UOHs (as I'm thinking) and which is resulting in failure of creation of window handles? Q3. How can we avoid loading up of an StrategyEditor object (beyond a threshold, keeping an eye on the current usage of UOHs)? (we already know how to fetch number of UOHs in use, so don't go there.) Keep in mind that the call to new StrategyForm() is outside the control of my component. Q4. I am bit confused - what are Handles to user objects exactly? Is MSDN talking about any object that we create or only some specific objects like window handles, cursor handles, icon handles? Q5. What exactly cause to use up a UOH? (almost same as Q4) I would be really thankful to anyone who can give me some knowledgeable answers. Thanks much! :)

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  • JQuery Help: slidetoggle() is not working properly

    - by John Smith
    Hi all, I'm trying to use JQuery Slidetoggle functionality, but not able to use properly. The problem I'm currently facing is my div is sliding down on the click of slide image icon, but after that suddenly data div (in which data is loading) disappears. Means sliding down is perfect but div (in which data is loading , here #divMain) is not visible after that. I want to achieve sliding effect in my code, like this has (Please see Website Design, Redesign Services slider): Here is my code: HTML: <div> <div class="jquery_inner_mid"> <div class="main_heading"> <a href="#"> <img src="features.jpg" alt="" title="" border="0" /></a> </div> <div class="plus_sign"> <img id="imgFeaturesEx" src="images/plus.jpg" alt="" title="" border="0" /> <img id="imgFeaturesCol" src="images/minus.jpg" alt="" title="" border="0" /></div> <div class="toggle_container"> <div id="divMain" > </div> </div> </div> <div class="jquery_inner_mid"> <div class="main_heading"> <img src="About.jpg" alt="" title="" /></div> <div class="plus_sign"> <img id="imgTechnoEx" src="images/plus.jpg" alt="" title="" border="0" /> <img id="imgTechnoCol" src="images/minus.jpg" alt="" title="" border="0" /></div> <div class="toggle_container"> <div id="divTechnossus" > </div> </div> </div> </div> JQuery: $(function() { $('#imgFeaturesCol').hide(); $('#imgTechnoCol').hide(); $('#imgFeaturesEx').click(function() { $.getJSON("/Visitor/GetFeatureInfo", null, function(strInfo) { $('#divMain').html(strInfo).slideToggle("slow"); LoadDiv(); }); $('#imgFeaturesEx').hide(); $('#imgFeaturesCol').show(); }); $('#imgFeaturesCol').click(function() { $('#divMain').html("").slideToggle("slow"); $('#imgFeaturesCol').hide(); $('#imgFeaturesEx').show(); }); $('#imgTechnoEx').click(function() { $.getJSON("/Visitor/GetTechnossusInfo", null, function(strInfo) { $('#divTechnossus').html(strInfo).slideToggle("slow"); }); $('#imgTechnoEx').hide(); $('#imgTechnoCol').show(); }); $('#imgTechnoCol').click(function() { $('#divTechnossus').html("").slideToggle("slow"); $('#imgTechnoCol').hide(); $('#imgTechnoEx').show(); }); })(); function LoadDiv() { $('#s4').cycle({ speed: 200, timeout: 0, pager: '#nav' }); }

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  • My server app works strangely. What could be the reason(s)?

    - by Poni
    Hi! I've written a server app (two parts actually; proxy server and a game server) using C++ (board game). It uses IOCP as the sockets interface. For that app I've also written a "client simulator" (hereafter "client") app that spawns many client connections, where each of them plays, in very high speed, getting the CPU to be 100% utilized. So, that's how it goes in terms of topology: Game server - holds the game state. Real players do not connect it directly but through the proxy server. When a player joins a game, the proxy actually asks for it on behalf of that player, and the game server spawns a "player instance" for that player, and from now on, every notification between the game server and the player is being passed through the proxy. Proxy server - holds TCP connections with the real players. Players communicate with the game server through it only. Client simulator - connects to the proxy only. When running the server (again, it's actually two server apps) & client locally it all works just fine. I'm talking about 40k+ player instances in which all of them are active in a game. On the other hand, when running the server remotely with, say, 1000 clients who play things getting strange. For example, I run it as said above. Then with Task Manager I kill the client simulator app ("End Process Tree"). Then it seems like the buffer of the remote server got modified by another thread, or in other words, a memory corruption has been occurred. The server crashes because it got an unknown message id (it's a custom protocol where each message has it's own unique number). To make things clear, here is how I run the apps: PC1 - game server and clients simulator (because the clients will connect the proxy). PC2 - proxy server. The strangest thing is this: Only the remote side gets "corrupted". Remote in terms that it's not the PC I use to code the app (VC++ 2008). Let's call the PC I use to code the apps "PC1". Now for example, if this time I ran the game server on PC1 (it means that proxy server on PC2 and clients simulator on PC1), then the proxy server crashes with an "unknown message id" error. Another variation is when I run the proxy server on PC1 (again, the dev machine), the game server and the clients simulator on PC2, then the game server on PC2 gets crashed. As for the IOCP config: The servers' internal connections use the default receive/send buffer sizes. Tried even with setting them to 1MB, but no luck. I have three PCs in total; 2 x Vista 64bit <<-- one of those is the dev machine. The other is connected through WiFi. 1 x WinXP 32bit They're all connected in a "full duplex" manner. What could be the reason? Tried about everything; Stack tracing, recording some actions (like read/write logging).. I want to stress that only the PC I'm not using to code the apps crashes (actually the server app "role" which is running on it - sometimes the game server and sometimes the proxy server). At first I thought that maybe the wireless PC has problems (it's wireless..) but: TCP has it's own mechanisms to make sure the packet is delivered properly. Also, a crash also happens when trying it with the two PCs that are physically connected (Vista vs. XP). Another option is that the Windows DLLs versions might have problems, but then again, one of the tests is Vista vs. Vista, and the other is Vista vs. XP. Any idea?

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  • When should I use indexed arrays of OpenGL vertices?

    - by Tartley
    I'm trying to get a clear idea of when I should be using indexed arrays of OpenGL vertices, drawn with gl[Multi]DrawElements and the like, versus when I should simply use contiguous arrays of vertices, drawn with gl[Multi]DrawArrays. (Update: The consensus in the replies I got is that one should always be using indexed vertices.) I have gone back and forth on this issue several times, so I'm going to outline my current understanding, in the hopes someone can either tell me I'm now finally more or less correct, or else point out where my remaining misunderstandings are. Specifically, I have three conclusions, in bold. Please correct them if they are wrong. One simple case is if my geometry consists of meshes to form curved surfaces. In this case, the vertices in the middle of the mesh will have identical attributes (position, normal, color, texture coord, etc) for every triangle which uses the vertex. This leads me to conclude that: 1. For geometry with few seams, indexed arrays are a big win. Follow rule 1 always, except: For geometry that is very 'blocky', in which every edge represents a seam, the benefit of indexed arrays is less obvious. To take a simple cube as an example, although each vertex is used in three different faces, we can't share vertices between them, because for a single vertex, the surface normals (and possible other things, like color and texture co-ord) will differ on each face. Hence we need to explicitly introduce redundant vertex positions into our array, so that the same position can be used several times with different normals, etc. This means that indexed arrays are of less use. e.g. When rendering a single face of a cube: 0 1 o---o |\ | | \ | | \| o---o 3 2 (this can be considered in isolation, because the seams between this face and all adjacent faces mean than none of these vertices can be shared between faces) if rendering using GL_TRIANGLE_FAN (or _STRIP), then each face of the cube can be rendered thus: verts = [v0, v1, v2, v3] colors = [c0, c0, c0, c0] normal = [n0, n0, n0, n0] Adding indices does not allow us to simplify this. From this I conclude that: 2. When rendering geometry which is all seams or mostly seams, when using GL_TRIANGLE_STRIP or _FAN, then I should never use indexed arrays, and should instead always use gl[Multi]DrawArrays. (Update: Replies indicate that this conclusion is wrong. Even though indices don't allow us to reduce the size of the arrays here, they should still be used because of other performance benefits, as discussed in the comments) The only exception to rule 2 is: When using GL_TRIANGLES (instead of strips or fans), then half of the vertices can still be re-used twice, with identical normals and colors, etc, because each cube face is rendered as two separate triangles. Again, for the same single cube face: 0 1 o---o |\ | | \ | | \| o---o 3 2 Without indices, using GL_TRIANGLES, the arrays would be something like: verts = [v0, v1, v2, v2, v3, v0] normals = [n0, n0, n0, n0, n0, n0] colors = [c0, c0, c0, c0, c0, c0] Since a vertex and a normal are often 3 floats each, and a color is often 3 bytes, that gives, for each cube face, about: verts = 6 * 3 floats = 18 floats normals = 6 * 3 floats = 18 floats colors = 6 * 3 bytes = 18 bytes = 36 floats and 18 bytes per cube face. (I understand the number of bytes might change if different types are used, the exact figures are just for illustration.) With indices, we can simplify this a little, giving: verts = [v0, v1, v2, v3] (4 * 3 = 12 floats) normals = [n0, n0, n0, n0] (4 * 3 = 12 floats) colors = [c0, c0, c0, c0] (4 * 3 = 12 bytes) indices = [0, 1, 2, 2, 3, 0] (6 shorts) = 24 floats + 12 bytes, and maybe 6 shorts, per cube face. See how in the latter case, vertices 0 and 2 are used twice, but only represented once in each of the verts, normals and colors arrays. This sounds like a small win for using indices, even in the extreme case of every single geometry edge being a seam. This leads me to conclude that: 3. When using GL_TRIANGLES, one should always use indexed arrays, even for geometry which is all seams. Please correct my conclusions in bold if they are wrong.

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  • DSP - Filtering in the frequency domain via FFT

    - by Trap
    I've been playing around a little with the Exocortex implementation of the FFT, but I'm having some problems. Whenever I modify the amplitudes of the frequency bins before calling the iFFT the resulting signal contains some clicks and pops, especially when low frequencies are present in the signal (like drums or basses). However, this does not happen if I attenuate all the bins by the same factor. Let me put an example of the output buffer of a 4-sample FFT: // Bin 0 (DC) FFTOut[0] = 0.0000610351563 FFTOut[1] = 0.0 // Bin 1 FFTOut[2] = 0.000331878662 FFTOut[3] = 0.000629425049 // Bin 2 FFTOut[4] = -0.0000381469727 FFTOut[5] = 0.0 // Bin 3, this is the first and only negative frequency bin. FFTOut[6] = 0.000331878662 FFTOut[7] = -0.000629425049 The output is composed of pairs of floats, each representing the real and imaginay parts of a single bin. So, bin 0 (array indexes 0, 1) would represent the real and imaginary parts of the DC frequency. As you can see, bins 1 and 3 both have the same values, (except for the sign of the Im part), so I guess bin 3 is the first negative frequency, and finally indexes (4, 5) would be the last positive frequency bin. Then to attenuate the frequency bin 1 this is what I do: // Attenuate the 'positive' bin FFTOut[2] *= 0.5; FFTOut[3] *= 0.5; // Attenuate its corresponding negative bin. FFTOut[6] *= 0.5; FFTOut[7] *= 0.5; For the actual tests I'm using a 1024-length FFT and I always provide all the samples so no 0-padding is needed. // Attenuate var halfSize = fftWindowLength / 2; float leftFreq = 0f; float rightFreq = 22050f; for( var c = 1; c < halfSize; c++ ) { var freq = c * (44100d / halfSize); // Calc. positive and negative frequency indexes. var k = c * 2; var nk = (fftWindowLength - c) * 2; // This kind of attenuation corresponds to a high-pass filter. // The attenuation at the transition band is linearly applied, could // this be the cause of the distortion of low frequencies? var attn = (freq < leftFreq) ? 0 : (freq < rightFreq) ? ((freq - leftFreq) / (rightFreq - leftFreq)) : 1; // Attenuate positive and negative bins. mFFTOut[ k ] *= (float)attn; mFFTOut[ k + 1 ] *= (float)attn; mFFTOut[ nk ] *= (float)attn; mFFTOut[ nk + 1 ] *= (float)attn; } Obviously I'm doing something wrong but can't figure out what. I don't want to use the FFT output as a means to generate a set of FIR coefficients since I'm trying to implement a very basic dynamic equalizer. What's the correct way to filter in the frequency domain? what I'm missing? Thanks in advance.

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  • Boost::Spirit::Qi autorules -- avoiding repeated copying of AST data structures

    - by phooji
    I've been using Qi and Karma to do some processing on several small languages. Most of the grammars are pretty small (20-40 rules). I've been able to use autorules almost exclusively, so my parse trees consist entirely of variants, structs, and std::vectors. This setup works great for the common case: 1) parse something (Qi), 2) make minor manipulations to the parse tree (visitor), and 3) output something (Karma). However, I'm concerned about what will happen if I want to make complex structural changes to a syntax tree, like moving big subtrees around. Consider the following toy example: A grammar for s-expr-style logical expressions that uses autorules... // Inside grammar class; rule names match struct names... pexpr %= pand | por | var | bconst; pand %= lit("(and ") >> (pexpr % lit(" ")) >> ")"; por %= lit("(or ") >> (pexpr % lit(" ")) >> ")"; pnot %= lit("(not ") >> pexpr >> ")"; ... which leads to parse tree representation that looks like this... struct var { std::string name; }; struct bconst { bool val; }; struct pand; struct por; struct pnot; typedef boost::variant<bconst, var, boost::recursive_wrapper<pand>, boost::recursive_wrapper<por>, boost::recursive_wrapper<pnot> > pexpr; struct pand { std::vector<pexpr> operands; }; struct por { std::vector<pexpr> operands; }; struct pnot { pexpr victim; }; // Many Fusion Macros here Suppose I have a parse tree that looks something like this: pand / ... \ por por / \ / \ var var var var (The ellipsis means 'many more children of similar shape for pand.') Now, suppose that I want negate each of the por nodes, so that the end result is: pand / ... \ pnot pnot | | por por / \ / \ var var var var The direct approach would be, for each por subtree: - create pnot node (copies por in construction); - re-assign the appropriate vector slot in the pand node (copies pnot node and its por subtree). Alternatively, I could construct a separate vector, and then replace (swap) the pand vector wholesale, eliminating a second round of copying. All of this seems cumbersome compared to a pointer-based tree representation, which would allow for the pnot nodes to be inserted without any copying of existing nodes. My question: Is there a way to avoid copy-heavy tree manipulations with autorule-compliant data structures? Should I bite the bullet and just use non-autorules to build a pointer-based AST (e.g., http://boost-spirit.com/home/2010/03/11/s-expressions-and-variants/)?

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  • Help with specific Regex: need to match multiple instances of multiple formats in a single string.

    - by KevenK
    I apologize for the terrible title...it can be hard to try to summarize an entire situation into a single sentence. Let me start by saying that I'm asking because I'm just not a Regex expert. I've used it a bit here and there, but I just come up short with the correct way to meet the following requirements. The Regex that I'm attempting to write is for use in an XML schema for input validation, and used elsewhere in Javascript for the same purpose. There are two different possible formats that are supported. There is a literal string, which must be surrounded by quotation marks, and a Hex-value string which must be surrounded by braces. Some test cases: "this is a literal string" <-- Valid string, enclosed properly in "s "this should " still be correct" <-- Valid string, "s are allowed within (if possible, this requirement could be forgiven if necessary) "{00 11 22}" <-- Valid string, {}'s allow in strings. Another one that can be forgiven if necessary I am bad output <-- Invalid string, no "s "Some more problemss"you know <-- Invalid string, must be fully contained in "s {0A 68 4F 89 AC D2} <-- Valid string, hex characters enclosed in {}s {DDFF1234} <-- Valid string, spaces are ignored for Hex strings DEADBEEF <-- Invalid string, must be contained in either "s or {}s {0A 12 ZZ} <-- Invalid string, 'Z' is not a valid Hex character To satisfy these general requirements, I had come up with the following Regex that seems to work well enough. I'm still fairly new to Regex, so there could be a huge hole here that I'm missing.: &quot;.+&quot;|\{([0-9]|[a-f]|[A-F]| )+\} If I recall correctly, the XML Schema regex automatically assumes beginning and end of line (^ and $ respectively). So, essentially, this regex accepts any string that starts and ends with a ", or starts and ends with {}s and contains only valid Hexidecimal characters. This has worked well for me so far except that I had forgotten about another (although less common, and thus forgotten) input option that completely breaks my regex. Where I made my mistake: Valid input should also allow a user to separate valid strings (of either type, literal/hex) by a comma. This means that a single string should be able to contain more than one of the above valid strings, separated by commas. Luckily, however, a comma is not a supported character within a literal string (although I see that my existing regex does not care about commas). Example test cases: "some string",{0A F1} <-- Valid {1122},{face},"peanut butter" <-- Valid {0D 0A FF FE},"string",{FF FFAC19 85} <-- Valid (Spaces don't matter in Hex values) "Validation is allowed to break, if a comma is found not separating values",{0d 0a} <-- Invalid, comma is a delimiter, but "Validation is allowed to break" and "if a comma..." are not marked as separate strings with "s hi mom,"hello" <-- Invalid, String1 was not enclosed properly in "s or {}s My thoughts are that it is possible to use commas as a delimiter to check each "section" of the string to match a regex similar to the original, but I just am not that advanced in regex yet to come up with a solution on my own. Any help would be appreciated, but ultimately a final solution with an explanation would just stellar. Thanks for reading this huge wall of text!

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  • Adding to database with multiple text boxes

    - by kira423
    What I am trying to do with this script is allow users to update a url for their websites, and since each user isn't going to have the same amount of websites is is hard for me to just add $_POST['website'] for each of these. Here is the script <?php include("config.php"); include("header.php"); include("functions.php"); if(!isset($_SESSION['username']) && !isset($_SESSION['password'])){ header("Location: pubs.php"); } $getmember = mysql_query("SELECT * FROM `publishers` WHERE username = '".$_SESSION['username']."'"); $info = mysql_fetch_array($getmember); $getsites = mysql_query("SELECT * FROM `websites` WHERE publisher = '".$info['username']."'"); $postback = $_POST['website']; $webname = $_POST['webid']; if($_POST['submit']){ var_dump( $_POST['website'] ); $update = mysql_query("UPDATE `websites` SET `postback` = '$postback' WHERE name = '$webname'"); } print" <div id='center'> <span id='tools_lander'><a href='export.php'>Export Campaigns</a></span> <div id='calendar_holder'> <h3>Please define a postback for each of your websites below. The following variables should be used when creating your postback.<br /> cid = Campaign ID<br /> sid = Sub ID<br /> rate = Campaign Rate<br /> status = Status of Lead. 1 means payable 2 mean reversed<br /> A sample postback URL would be <br /> http://www.example.com/postback.php?cid=#cid&sid=#sid&rate=#rate&status=#status</h3> <table class='balances' align='center'> <form method='POST' action=''>"; while($website = mysql_fetch_array($getsites)){ print" <tr> <input type ='hidden' name='webid' value='".$website['id']."' /> <td style='font-weight:bold;'>".$website['name']."'s Postback:</td> <td><input type='text' style='width:400px;' name='website[]' value='".$website['postback']."' /></td> </tr>"; } print" <td style='float:right;position:relative;left:150px;'><input type='submit' name='submit' style='font-size:15px;height:30px;width:100px;' value='Submit' /></td> </form> </table> </div>"; include("footer.php"); ?> What I am attempting to do insert the what is inputted in the text boxes to their corresponding websites, and I cannot think of any other way to do it, and this obviously does not works and returns a notice stating Array to string conversion If there is a more logical way to do this please let me know.

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  • How to Force an Exception from a Task to be Observed in a Continuation Task?

    - by Richard
    I have a task to perform an HttpWebRequest using Task<WebResponse>.Factory.FromAsync(req.BeginGetRespone, req.EndGetResponse) which can obviously fail with a WebException. To the caller I want to return a Task<HttpResult> where HttpResult is a helper type to encapsulate the response (or not). In this case a 4xx or 5xx response is not an exception. Therefore I've attached two continuations to the request task. One with TaskContinuationOptions OnlyOnRanToCompletion and the other with OnlyOnOnFaulted. And then wrapped the whole thing in a Task<HttpResult> to pick up the one result whichever continuation completes. Each of the three child tasks (request plus two continuations) is created with the AttachedToParent option. But when the caller waits on the returned outer task, an AggregateException is thrown is the request failed. I want to, in the on faulted continuation, observe the WebException so the client code can just look at the result. Adding a Wait in the on fault continuation throws, but a try-catch around this doesn't help. Nor does looking at the Exception property (as section "Observing Exceptions By Using the Task.Exception Property" hints here). I could install a UnobservedTaskException event handler to filter, but as the event offers no direct link to the faulted task this will likely interact outside this part of the application and is a case of a sledgehammer to crack a nut. Given an instance of a faulted Task<T> is there any means of flagging it as "fault handled"? Simplified code: public static Task<HttpResult> Start(Uri url) { var webReq = BuildHttpWebRequest(url); var result = new HttpResult(); var taskOuter = Task<HttpResult>.Factory.StartNew(() => { var tRequest = Task<WebResponse>.Factory.FromAsync( webReq.BeginGetResponse, webReq.EndGetResponse, null, TaskCreationOptions.AttachedToParent); var tError = tRequest.ContinueWith<HttpResult>( t => HandleWebRequestError(t, result), TaskContinuationOptions.AttachedToParent |TaskContinuationOptions.OnlyOnFaulted); var tSuccess = tRequest.ContinueWith<HttpResult>( t => HandleWebRequestSuccess(t, result), TaskContinuationOptions.AttachedToParent |TaskContinuationOptions.OnlyOnRanToCompletion); return result; }); return taskOuter; } with: private static HttpDownloaderResult HandleWebRequestError( Task<WebResponse> respTask, HttpResult result) { Debug.Assert(respTask.Status == TaskStatus.Faulted); Debug.Assert(respTask.Exception.InnerException is WebException); // Try and observe the fault: Doesn't help. try { respTask.Wait(); } catch (AggregateException e) { Log("HandleWebRequestError: waiting on antecedent task threw inner: " + e.InnerException.Message); } // ... populate result with details of the failure for the client ... return result; } (HandleWebRequestSuccess will eventually spin off further tasks to get the content of the response...) The client should be able to wait on the task and then look at its result, without it throwing due to a fault that is expected and already handled.

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  • Broken corba object references

    - by cube
    I'm working on a homework and got stuck. The task is to serve objects using a default servant. But when I try to use the reference, weird things happen. Some part of corba prints a stack trace, but no exception is thrown. The problem happens when the server receives the reference and should call some method on it. The reference is then shortened and doesn't contain the object ID (which means that my servant implementation can't do anything reasonable). This is the implementation of the servant, where the problem appears: public class ModelFileImpl extends ModelFilePOA{ @Override public String getName() { try { return new String(_poa().reference_to_id(_this_object())); } catch (Throwable e) {} assert false; return null; } } If I take _this_object().toString() inside the try block and put it into dior -i i get this: ------IOR components----- TypeId : IDL:termproject/idl/ModelFile:1.0 TAG_INTERNET_IOP Profiles: Profile Id: 0 IIOP Version: 1.2 Host: 127.0.0.1 Port: 45954 Object key (URL): %AF%AB%CB%00%00%00%00%20Q%BA%F4%FF%00%00%00%01%00%00%00%00%00%00%00%01%0000%00%08RootPOA%00%00%00%00%08%00%00%00%02%00%00%00%00%14 Object key (hex): 0xAF AB CB 00 00 00 00 20 51 BA F4 FF 00 00 00 01 00 00 00 00 00 00 00 01 00 00 00 08 52 6F 6F 74 50 4F 41 00 00 00 00 08 00 00 00 02 00 00 00 00 14 -- Found 2 Tagged Components-- #0: TAG_CODE_SETS ForChar native code set Id: ISO8859_1 Char Conversion Code Sets: UTF8 , Unknown TCS: 10020 ForWChar native code set Id: UTF16 WChar Conversion Code Sets: Unknown TCS: 10100 Unknown tag : 38 however the part of server that makes the reference and the client see the reference as ------IOR components----- TypeId : IDL:termproject/idl/ModelFile:1.0 TAG_INTERNET_IOP Profiles: Profile Id: 0 IIOP Version: 1.2 Host: 127.0.0.1 Port: 45954 Object key (URL): %AF%AB%CB%00%00%00%00%20Q%BA%F4%FF%00%00%00%01%00%00%00%00%00%00%00%02%00%00%00%08RootPOA%00%00%00%00%09modelPoa%00%00%00%00%00%00%00%10testModel1.MyIDL%14 Object key (hex): 0xAF AB CB 00 00 00 00 20 51 BA F4 FF 00 00 00 01 00 00 00 00 00 00 00 02 00 00 00 08 52 6F 6F 74 50 4F 41 00 00 00 00 09 6D 6F 64 65 6C 50 6F 61 00 00 00 00 00 00 00 10 74 65 73 74 4D 6F 64 65 6C 31 2E 4D 79 49 44 4C 14 -- Found 2 Tagged Components-- #0: TAG_CODE_SETS ForChar native code set Id: ISO8859_1 Char Conversion Code Sets: UTF8 , Unknown TCS: 10020 ForWChar native code set Id: UTF16 WChar Conversion Code Sets: Unknown TCS: 10100 Unknown tag : 38 ("modelPoa" (the name of the poa working with default clients) and "testModel1.MyIDL" (the identifier of the object) in the object key are missing in the first one) I've tried sniffing the traffic and found out that the client still sends the correct reference. This is how i create the references: ret[i] = ModelFileHelper.narrow(modelFilePoa.create_reference_with_id(files[i].getBytes(), ModelFileHelper.id())); And this is how i set up the server: // init ORB ORB orb = ORB.init(args, null); // init POA POA poa = POAHelper.narrow(orb.resolve_initial_references("RootPOA")); // create the POA for the models. Policy[] policies = { poa.create_request_processing_policy(RequestProcessingPolicyValue.USE_DEFAULT_SERVANT), poa.create_servant_retention_policy(ServantRetentionPolicyValue.NON_RETAIN), poa.create_id_assignment_policy(IdAssignmentPolicyValue.USER_ID) }; POA modelPoa = poa.create_POA("modelPoa", poa.the_POAManager(), policies); modelPoa.the_POAManager().activate(); modelPoa.set_servant(new ModelFileImpl()); modelPoa.the_POAManager().activate(); ModelStoreImpl impl = new ModelStoreImpl(modelPoa); // create the object reference org.omg.CORBA.Object obj = poa.servant_to_reference(impl); // ... store the IOR file ... orb.run(); I'd be really grateful for any pointers (or references :-) )

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  • Doxygen for C++ template class member specialization

    - by Ziv
    When I write class templates, and need to fully-specialize members of those classes, Doxygen doesn't recognize the specialization - it documents only the generic definition, or (if there are only specializations) the last definition. Here's a simple example: ===MyClass.hpp=== #ifndef MYCLASS_HPP #define MYCLASS_HPP template<class T> class MyClass{ public: static void foo(); static const int INT_CONST; static const T TTYPE_CONST; }; /* generic definitions */ template<class T> void MyClass<T>::foo(){ printf("Generic foo\n"); } template<class T> const int MyClass<T>::INT_CONST = 5; /* specialization declarations */ template<> void MyClass<double>::foo(); template<> const int MyClass<double>::INT_CONST; template<> const double MyClass<double>::TTYPE_CONST; template<> const char MyClass<char>::TTYPE_CONST; #endif === MyClass.cpp === #include "MyClass.hpp" /* specialization definitions */ template<> void MyClass<double>::foo(){ printf("Specialized double foo\n"); } template<> const int MyClass<double>::INT_CONST = 10; template<> const double MyClass<double>::TTYPE_CONST = 3.141; template<> const char MyClass<char>::TTYPE_CONST = 'a'; So in this case, foo() will be documented as printing "Generic foo," INT_CONST will be documented as set to 5, with no mention of the specializations, and TTYPE_CONST will be documented as set to 'a', with no mention of 3.141 and no indication that 'a' is a specialized case. I need to be able to document the specializations - either within the documentation for MyClass<T>, or on new pages for MyClass<double>, MyClass<char>. How do I do this? Can Doxygen even handle this? Am I possibly doing something wrong in the declarations/code structure that's keeping Doxygen from understanding what I want? I should note two related cases: A) For templated functions, specialization works fine, e.g.: /* functions that are global/in a namespace */ template<class T> void foo(){ printf("Generic foo\n"); } template<> void foo<double>(){ printf("Specialized double foo\n"); } This will document both foo() and foo(). B) If I redeclare the entire template, i.e. template<> class MyClass<double>{...};, then MyClass<double> will get its own documentation page, as a seperate class. But this means actually declaring an entirely new class - there is no relation between MyClass<T> and MyClass<double> if MyClass<double> itself is declared. So I'd have to redeclare the class and all its members, and repeat all the definitions of class members, specialized for MyClass<double>, all to make it appear as though they're using the same template. Very awkward, feels like a kludge solution. Suggestions? Thanks much :) --Ziv

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  • tkinter frame does not show on startup

    - by Jzz
    this is my first question on SO, so correct me please if I make a fool of myself. I have this fairly complicated python / Tkinter application (python 2.7). On startup, the __init__ loads several frames, and loads a database. When that is finished, I want to set the application to a default state (there are 2 program states, 'calculate' and 'config'). Setting the state of the application means that the appropriate frame is displayed (using grid). When the program is running, the user can select a program state in the menu. Problem is, the frame is not displayed on startup. I get an empty application (menu bar and status bar are displayed). When I select a program state in the menu, the frame displays as it should. Question: What am I doing wrong? Should I update idletasks? I tried, but no result. Anything else? Background: I use the following to switch program states: def set_program_state(self, state): '''sets the program state''' #try cleaning all the frames: try: self.config_frame.grid_forget() except: pass try: self.tidal_calculations_frame.grid_forget() except: pass try: self.tidal_grapth_frame.grid_forget() except: pass if state == "calculate": print "Switching to calculation mode" self.tidal_calculations_frame.grid() #frame is preloaded self.tidal_calculations_frame.fill_data(routes=self.routing_data.routes, deviations=self.misc_data.deviations, ship_types=self.misc_data.ship_types) self.tidal_grapth_frame.grid() self.program_state = "calculate" elif state == "config": print "Switching to config mode" self.config_frame = GUI_helper.config_screen_frame(self, self.user) #load frame first (contents depend on type of user) self.config_frame.grid() self.program_state = "config" I understand that this is kind of messy to read, so I simplified things for testing, using this: def set_program_state(self, state): '''sets the program state''' #try cleaning all the frames: try: self.testlabel_1.grid_forget() except: pass try: self.testlabel_2.grid_forget() except: pass if state == "calculate": print "switching to test1" self.testlabel_1 = tk.Label(self, text="calculate", borderwidth=1, relief=tk.RAISED) self.testlabel_1.grid(row=0, sticky=tk.W+tk.E) elif state == "config": print "switching to test1" self.testlabel_2 = tk.Label(self, text="config", borderwidth=1, relief=tk.RAISED) self.testlabel_2.grid(row=0, sticky=tk.W+tk.E) But the result is the same. The frame (or label in this test) is not displayed at startup, but when the user selects the state (calling the same function) the frame is displayed. UPDATE the sample code in the comments (thanks for that!) pointed me in another direction. Further testing revealed (what I think) the cause of the problem. Disabling the display of the status bar made the program work as expected. Turns out, I used pack to display the statusbar and grid to display the frames. And they are in the same container, so problems arise. I fixed that by using only pack inside the main container. But the same problem is still there. This is what I use for the statusbar: self.status = GUI_helper.StatusBar(self.parent) self.status.pack(side=tk.BOTTOM, fill=tk.X) And if I comment out the last line (pack), the config frame loads on startup, as per this line: self.set_program_state("config") But if I let the status bar pack inside the main window, the config frame does not show. Where it does show when the user asks for it (with the same command as above).

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  • Picking good first estimates for Goldschmidt division

    - by Mads Elvheim
    I'm calculating fixedpoint reciprocals in Q22.10 with Goldschmidt division for use in my software rasterizer on ARM. This is done by just setting the nominator to 1, i.e the nominator becomes the scalar on the first iteration. To be honest, I'm kind of following the wikipedia algorithm blindly here. The article says that if the denominator is scaled in the half-open range (0.5, 1.0], a good first estimate can be based on the denominator alone: Let F be the estimated scalar and D be the denominator, then F = 2 - D. But when doing this, I lose a lot of precision. Say if I want to find the reciprocal of 512.00002f. In order to scale the number down, I lose 10 bits of precision in the fraction part, which is shifted out. So, my questions are: Is there a way to pick a better estimate which does not require normalization? Also, is it possible to pre-calculate the first estimates so the series converges faster? Right now, it converges after the 4th iteration on average. On ARM this is about ~50 cycles worst case, and that's not taking emulation of clz/bsr into account, nor memory lookups. Here is my testcase. Note: The software implementation of clz on line 13 is from my post here. You can replace it with an intrinsic if you want. #include <stdio.h> #include <stdint.h> const unsigned int BASE = 22ULL; static unsigned int divfp(unsigned int val, int* iter) { /* Nominator, denominator, estimate scalar and previous denominator */ unsigned long long N,D,F, DPREV; int bitpos; *iter = 1; D = val; /* Get the shift amount + is right-shift, - is left-shift. */ bitpos = 31 - clz(val) - BASE; /* Normalize into the half-range (0.5, 1.0] */ if(0 < bitpos) D >>= bitpos; else D <<= (-bitpos); /* (FNi / FDi) == (FN(i+1) / FD(i+1)) */ /* F = 2 - D */ F = (2ULL<<BASE) - D; /* N = F for the first iteration, because the nominator is simply 1. So don't waste a 64-bit UMULL on a multiply with 1 */ N = F; D = ((unsigned long long)D*F)>>BASE; while(1){ DPREV = D; F = (2<<(BASE)) - D; D = ((unsigned long long)D*F)>>BASE; /* Bail when we get the same value for two denominators in a row. This means that the error is too small to make any further progress. */ if(D == DPREV) break; N = ((unsigned long long)N*F)>>BASE; *iter = *iter + 1; } if(0 < bitpos) N >>= bitpos; else N <<= (-bitpos); return N; } int main(int argc, char* argv[]) { double fv, fa; int iter; unsigned int D, result; sscanf(argv[1], "%lf", &fv); D = fv*(double)(1<<BASE); result = divfp(D, &iter); fa = (double)result / (double)(1UL << BASE); printf("Value: %8.8lf 1/value: %8.8lf FP value: 0x%.8X\n", fv, fa, result); printf("iteration: %d\n",iter); return 0; }

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  • Why does this Quicksort work?

    - by IVlad
    I find this Quicksort partitioning approach confusing and wrong, yet it seems to work. I am referring to this pseudocode. Note: they also have a C implementation at the end of the article, but it's very different from their pseudocode, so I don't care about that. I have also written it in C like this, trying to stay true to the pseudocode as much as possible, even if that means doing some weird C stuff: #include <stdio.h> int partition(int a[], int p, int r) { int x = a[p]; int i = p - 1; int j = r + 1; while (1) { do j = j - 1; while (!(a[j] <= x)); do i = i + 1; while (!(a[i] >= x)); if (i < j) { int t = a[i]; a[i] = a[j]; a[j] = t; } else { for (i = 1; i <= a[0]; ++i) printf("%d ", a[i]); printf("- %d\n", j); return j; } } } int main() { int a[100] = //{8, 6,10,13,15,8,3,2,12}; {7, 7, 6, 2, 3, 8, 4, 1}; partition(a, 1, a[0]); return 0; } If you run this, you'll get the following output: 1 6 2 3 4 8 7 - 5 However, this is wrong, isn't it? Clearly a[5] does not have all the values before it lower than it, since a[2] = 6 > a[5] = 4. Not to mention that 7 is supposed to be the pivot (the initial a[p]) and yet its position is both incorrect and lost. The following partition algorithm is taken from wikipedia: int partition2(int a[], int p, int r) { int x = a[r]; int store = p; for (int i = p; i < r; ++i) { if (a[i] <= x) { int t = a[i]; a[i] = a[store]; a[store] = t; ++store; } } int t = a[r]; a[r] = a[store]; a[store] = t; for (int i = 1; i <= a[0]; ++i) printf("%d ", a[i]); printf("- %d\n", store); return store; } And produces this output: 1 6 2 3 8 4 7 - 1 Which is a correct result in my opinion: the pivot (a[r] = a[7]) has reached its final position. However, if I use the initial partitioning function in the following algorithm: void Quicksort(int a[], int p, int r) { if (p < r) { int q = partition(a, p, r); // initial partitioning function Quicksort(a, p, q); Quicksort(a, q + 1, r); // I'm pretty sure q + r was a typo, it doesn't work with q + r. } } ... it seems to be a correct sorting algorithm. I tested it out on a lot of random inputs, including all 0-1 arrays of length 20. I have also tried using this partition function for a selection algorithm, in which it failed to produce correct results. It seems to work and it's even very fast as part of the quicksort algorithm however. So my questions are: Can anyone post an example on which the algorithm DOESN'T work? If not, why does it work, since the partitioning part seems to be wrong? Is this another partitioning approach that I don't know about?

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  • Decentralized synchronized secure data storage

    - by Alberich
    Introduction Hi, I am going to ask a question which seems utopic for me, but I need to know if there is a way to achieve what I need. And if not, I need to know why not. The idea Suppose I have a database structure, in MySql. I want to create some solution to allow anyone (no matter who, no matter where) to have a synchronized copy (updated clone) of this database (with its content) Well, and it is not going to be just one synchronized copy, it could (and should) be a multiple replication (supposing the basic, this means, for example, ten copies all over the world) And, the most important thing: It must be secure. By secure I mean only real-accepted transactions will be synchronized with all the others (no matter how many) database copies/clones. Note: Since it would be quite difficult to make the synchronization in real-time, I will design everything to make this feature dispensable. So it is not required. My auto-suggestion This is how I am thinking to manage it: Time identifiers and Updates checking: Every action (insert, update, delete...) will be stored as the action instruction itself, associated to the time identifier. [I think better than a DATETIME field, it'll be an INT one, with the number of miliseconds passed from 1st january 2013 on, for example]. So each copy is going to ask to the "neighbour copy" for new actions done since last update, and execute them after checking they are allowed. Problem 1: the "neighbour copy" could be outdated too. Solution 1: do not ask just one neighbour, create a random list with some of the copies/clones and ask them for news (I could avoid the list and ask ALL the clones for updates, but this will be inefficient if clones number ascends too much). Problem 2: Real-time global synchronization is not active. What if... Someone at CLONE_ENTERPRISING inserts a row into TABLE. ... this row goes to every clone ... Someone at CLONE_FIXEMALL deletes this row. ... and at the same time, somewhere in an outdated clone ... Someone at CLONE_DROPOUT edits this row (now inexistent at the other clones) Solution 2: easy stuff, force a GLOBAL synchronization before doing any new "depending-on-third-data action" (edit, for example). This global synch. will be unnecessary when making an INSERT, for instance. Note: Well, someone could have some fun, and make the same insert in two clones... since they're not getting updated in real-time, this row will exist twice. But, it's the same as when we have one single database, in some needed cases we check if there is an existing same-row before doing the final action. Not a problem. Problem 3: It is possible to edit the code and do not filter actions, so someone could spread instructions to delete everything, or just make some trolling activity. This is not a problem, since good clones will always be somewhere. Those who got bad won't interest anymore. I really appreciate if you read. I know this is not the perfect solution, it has possibly hundred of holes, but it is my basic start. I will now appreciate anything you can teach me now. Thanks a lot. PS.: It could be that all this I am trying already exists and has its own name. Sorry for asking then (I'd anyway thank this name, if it exists)

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