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  • Is wrapping a third party code the only solution to unit test its consumers? [closed]

    - by Songo
    I'm doing unit testing and in one of my classes I need to send a mail from one of the methods, so using constructor injection I inject an instance of Zend_Mail class which is in Zend framework. Now some people argue that if a library is stable enough and won't change often then there is no need to wrap it. So assuming that Zend_Mail is stable and won't change and it fits my needs entirely, then I won't need a wrapper for it. Now take a look at my class Logger that depends on Zend_Mail: class Logger{ private $mailer; function __construct(Zend_Mail $mail){ $this->mail=$mail; } function toBeTestedFunction(){ //Some code $this->mail->setTo('some value'); $this->mail->setSubject('some value'); $this->mail->setBody('some value'); $this->mail->send(); //Some } } However, Unit testing demands that I test one component at a time, so I need to mock the Zend_Mail class. In addition I'm violating the Dependency Inversion principle as my Logger class now depends on concretion not abstraction. Now is wrapping Zend_Mail the only solution or is there a better approach to this problem? The code is in PHP, but answers doesn't have to be. This is more of a design issue than a language specific feature

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  • Why is Python used for high-performance/scientific computing (but Ruby isn't)?

    - by Cyclops
    There's a quote from a PyCon 2011 talk that goes: At least in our shop (Argonne National Laboratory) we have three accepted languages for scientific computing. In this order they are C/C++, Fortran in all its dialects, and Python. You’ll notice the absolute and total lack of Ruby, Perl, Java. It was in the more general context of high-performance computing. Granted the quote is only from one shop, but another question about languages for HPC, also lists Python as one to learn (and not Ruby). Now, I can understand C/C++ and Fortran being used in that problem-space (and Perl/Java not being used). But I'm surprised that there would be a major difference in Python and Ruby use for HPC, given that they are fairly similar. (Note - I'm a fan of Python, but have nothing against Ruby). Is there some specific reason why the one language took off? Is it about the libraries available? Some specific language features? The community? Or maybe just historical contigency, and it could have gone the other way?

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  • How do i impress employers with my resume?

    - by acidzombie24
    I built a entire website from scratch in 10days which looks and feels professional with the site being unique. The site has features like logging in, sending activation emails, tag/content search (lucence.net), syntax highlighting (prettify) and a diff (one of the js diffs), markup for comments all on this site and autocomplete in a textbox (remember, 10days). I wrote i have 5+ years of C# experience (i could lie and say more but smart employers will know its only 8 years old and 1.1 is very different from what we use now). I had employers REPEATEDLY say they are looking for someone who has more C# experience... wtf. Maybe they don't read my CV, maybe they dont believe it or ignore me because i am not yet a graduate. I laughed when i first read Steve Yegge The Five Essential Phone Screen Questions as i knew all of that (although i still never used graph datastruct nor know much about it). I'm pretty sure competency wise i can do the job. I am also positive no one noticed i have markup, a diff, autocomplete nor email activation/forget password (i offer a test user account). So maybe my site/example work isnt impressive bc you dont realize what is in it. In short i dont think they read my CV or notice my site. How do i impress employers? PS: The problem is i dont get to the interview. I had one and ruined it by speaking too technical to the PM because i was nervous. The other 25+ jobs either didnt contact me or was kind enough to send a rejection email.

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  • Is using a dedicated thread just for sending gpu commands a good idea?

    - by tigrou
    The most basic game loop is like this : while(1) { update(); draw(); swapbuffers(); } This is very simple but have a problem : some drawing commands can be blocking and cpu will wait while he could do other things (like processing next update() call). Another possible solution i have in mind would be to use two threads : one for updating and preparing commands to be sent to gpu, and one for sending these commands to the gpu : //first thread while(1) { update(); render(); // use gamestate to generate all needed triangles and commands for gpu // put them in a buffer, no command is send to gpu // two buffers will be used, see below pulse(); //signal the other thread data is ready } //second thread while(1) { wait(); // wait for second thread for data to come send_data_togpu(); // send prepared commands from buffer to graphic card swapbuffers(); } also : two buffers would be used, so one buffer could be filled with gpu commands while the other would be processed by gpu. Do you thing such a solution would be effective ? What would be advantages and disadvantages of such a solution (especially against a simpler solution (eg : single threaded with triple buffering enabled) ?

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  • Google indexed the same page under two URLs (despite rel-canonical)

    - by unor
    The Super User question "Playing mp3 in quodlibet displays “GStreamer output pipeline could not be initialized” error" is indexed under two URLs in Google: http://superuser.com/questions/651591/playing-mp3-in-quodlibet-displays-gstreamer-output-pipeline-could-not-be-initia http://superuser.com/questions/651591/playing-mp3-in-quodlibet-displays-gstreamer-output-pipeline-could-not-be-initia/652058 The first one is the canonical one; the corresponding rel-canonical is included in both pages: <link rel="canonical" href="http://superuser.com/questions/651591/playing-mp3-in-quodlibet-displays-gstreamer-output-pipeline-could-not-be-initia" /> Google also indexed http://superuser.com/a/652058, which redirects to the answer: http://superuser.com/questions/651591/playing-mp3-in-quodlibet-displays-gstreamer-output-pipeline-could-not-be-initia/652058#652058 Now, the second URL from above is the same as this one minus the fragment #652058. So Google seems to strip the fragment, which results in exactly the same page under another URL (= containing the answer ID /652058 as suffix), and indexes it, too -- despite rel-canonical and duplicate content. Shouldn’t Google recognize this and only index the canonical variant? And what could be the reason why Stack Exchange includes the answer ID in the URL path, and not only in the fragment (resulting in various URL variants for the same page)?

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  • How to develop a Windows 8 app in 30 days!

    - by Scott Spradlin
    Begin your 30-day journey to create a Windows Store style app. Sign up to get started and receive: Insider tips and tricks on Windows 8 application development. Personal on-the-phone access to a Windows 8 architect*. An exclusive one-on-one Windows Store design consultation*. An opportunity to get expert help from a Microsoft Services Engineer at an App Excellence Lab. Sign up today and get started. Your new Windows 8 app could be mere days away. * Offer good only to legal residents in the 50 United States & D.C., age 18 or older to hobbyists, professionals or developers in the field of software tech who sign up for building a Windows 8 application on www.generationapp.com. Offer limited to 250 design consultations per month and 500 technical review consultations per month, on a first come first served basis. Limit of one session of each offer type per person. This offer is non-transferable and cannot be combined with any other offer. This offer ends when supplies are exhausted, and is not redeemable for cash.

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  • Integrating Amazon EC2 in Java via NetBeans IDE

    - by Geertjan
    Next, having looked at Amazon Associates services and Amazon S3, let's take a look at Amazon EC2, the elastic compute cloud which provides remote computing services. I started by launching an instance of Ubuntu Server 14.04 on Amazon EC2, which looks a bit like this in the on-line AWS Management Console, though I whitened out most of the details: Now that I have at least one running instance available on Amazon EC2, it makes sense to use the services that are integrated into NetBeans IDE:  I created a new application with one class, named "AmazonEC2Demo". Then I dragged the "describeInstances" service that you see above, with the mouse, into the class. Then the IDE automatically created all the other files you see below, i.e., 4 Java classes and one properties file: In the properties file, register the access ID and secret keys. These are read by the other generated Java classes. Signing and authentication are done automatically by the code that is generated, i.e., there's nothing generic you need to do and you can immediately begin working on your domain-specific code. Finally, you're now able to rewrite the code in "AmazonEC2Demo" to connect to Amazon EC2 and obtain information about your running instance: public class AmazonEC2Demo { public static void main(String[] args) { String instanceId1 = "i-something"; RestResponse result; try { result = AmazonEC2Service.describeInstances(instanceId1); System.out.println(result.getDataAsString()); } catch (IOException ex) { Logger.getLogger(AmazonEC2Demo.class.getName()).log(Level.SEVERE, null, ex); } } } From the above, you'll receive a chunk of XML with data about the running instance, it's name, status, dates, etc. In other words, you're now ready to integrate Amazon EC2 features directly into the applications you're writing, without very much work to get started. Within about 5 minutes, you're working on your business logic, rather than on the generic code that anyone needs when integrating with Amazon EC2.

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  • Java consistent synchronization

    - by ring0
    We are facing the following problem in a Spring service, in a multi-threaded environment: three lists are freely and independently accessed for Read once in a while (every 5 minutes), they are all updated to new values. There are some dependencies between the lists, making that, for instance, the third one should not be read while the second one is being updated and the first one already has new values ; that would break the three lists consistency. My initial idea is to make a container object having the three lists as properties. Then the synchronization would be first on that object, then one by one on each of the three lists. Some code is worth a thousands words... so here is a draft private class Sync { final List<Something> a = Collections.synchronizedList(new ArrayList<Something>()); final List<Something> b = Collections.synchronizedList(new ArrayList<Something>()); final List<Something> c = Collections.synchronizedList(new ArrayList<Something>()); } private Sync _sync = new Sync(); ... void updateRunOnceEveryFiveMinutes() { final List<Something> newa = new ArrayList<Something>(); final List<Something> newb = new ArrayList<Something>(); final List<Something> newc = new ArrayList<Something>(); ...building newa, newb and newc... synchronized(_sync) { synchronized(_sync.a) { _synch.a.clear(); _synch.a.addAll(newa); } synchronized(_sync.b) { ...same with newb... } synchronized(_sync.c) { ...same with newc... } } // Next is accessed by clients public List<Something> getListA() { return _sync.a; } public List<Something> getListB() { ...same with b... } public List<Something> getListC() { ...same with c... } The question would be, is this draft safe (no deadlock, data consistency)? would you have a better implementation suggestion for that specific problem? update Changed the order of _sync synchronization and newa... building. Thanks

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  • What's a good way to check that a player has clicked on an object in a 3D game?

    - by imja
    I'm programming a 3D game (using C++ and OpenGL), and I have a few 3D objects in the scene, we can say they are boxes for this example. I want to let the player click on those boxes to select them (ie. they might change color) with the typical restriction like if more than one box is located where the user clicked, only the one closest to the camera would get selected. What would be the best way to do this? The fact that these objects go through several transforms before getting to window coordinates is what makes this a bit tricky. One approach I thought about was that if the player clicks on the screen, I could normalize the x,y coordinates of mouse click and then transform the bounding box coordinates of the objects into clip-space so that I could compare then to the normalized mouse coordinates. I guess I could then do some sort of ray-box collision test to see if any objects lie as the path of the mouse click. I'm afraid I might be over complicating it. Any better methods out there?

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  • How to run around another football player

    - by Lumis
    I have finished a simple 2D one-on-one indoor football Android game. The thing that it seemed so simple to me, a human being, turned out to be difficult for a computer: how to go around the opponent … At the moment the game logic of the computer player is that if it hits into the human player will step back few points on the pixel greed and then try again to go towards the ball. The problem is if the human player is in-between then the computer player will oscillate in one place, which does not look very nice and the human opponent can use this weakness to control the game. You can see this in the photo – at the moment the computer will go along the red line indefinitely. I tried few ideas but it proved not easy to do it when both the human player and the ball are constantly moving so at each step computer would change directions and “oscillate” again. Once when the computer player reaches the ball it will kick it with certain amount of random strength and direction towards the human’s goal. The question here is how to formulate the logic of going around the ever moving human opponent and how to translate it into the co-ordinate system and frame by frame animation… any suggestions welcome.

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  • Conceptual inheritance implementation

    - by TheSENDER
    Hi there, I'm writing a spatial data structure and I have a doubt about what's the best NODE implementation. According to my design I have an abstract node entity and three classes which inherit from it: EMPTYNODE, FULLNODE, INTERNALNODE. The first one has no particular data. The second one has 1 reference to a generic element. The third one has 2 references to other nodes. I have found several ways to implement this situation (that I have already coded) but I can't decide what's the best. The first solution that I have found is to use a single class Node that potentially performs all the operation in this way: private static class Node { private Elem elem = null; private Node left = null, right = null; public Elem getElem() { assert isFull(); return elem; } public boolean isEmpty() { return elem == null && left == null; } public boolean isFull() { return elem != null; } public boolean isInternal() { return elem == null && left != null; } } The second solution is to write an explicit division by classes where every class offers only its methods. Obviously in this way we are obliged to perform several casts to the node objects. private static abstract class Node { public abstract boolean isEmpty(); public abstract boolean isFull(); public abstract boolean isInternal(); } private static class FullNode extends Node{ private ITriangle elem; @Override public boolean isEmpty() { return false; } @Override public final boolean isFull() { return true; } @Override public final boolean isInternal() { return false; } public Elem getElem() { return elem; } } The third one solution is to use the inheritance allowing every classes to offer all the methods, but the object type should by check by "isEmpty()" and similar methods. In case of wrong call we'll throw an exception. private static abstract class Node { public abstract boolean isEmpty(); public abstract boolean isFull(); public abstract boolean isInternal(); public abstract Elem getElem(); } private static class Empty extends Node{ @Override public boolean isEmpty() { return true; } @Override public final boolean isFull() { return false; } @Override public final boolean isInternal() { return false; } @Override public Elem getElem() { throw new AssertionError(); } } What do you think about these three solutions? Which one would you use? Any other ideas? Thanks for your help. Every idea will be appreciated.

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  • Quiz Master at Beyond Relational

    - by Vincent Maverick Durano
    Last month a friend of mine invited me to join BeyondRelational.com and asked me to nominate myself as a .NET Quiz Master. In order to qualify I must submit an interesting question related to .NET and their .NET team will review the information and will select 31 quiz masters for the .NET quiz category. This seems insteresting to me so I go ahead and submit one entry. Luckily I was selected as one of the 31 Quiz Masters in the .NET category. I hope to be able to keep up the good work there for years to come. Big Thanks to Jacob Sebastian and his Team! And oh.. I didn't get a changce to blog about this last week but just to let you guys know that the .NET General Quiz just started last january 1st 2011. The quiz will be a series of 31 questions, managed by 31 .NET quiz masters. Each quiz master will ask one question and will moderate the discussion and answers and finally will identify the winner of each quiz. Each answer that is correct will get a certain score ranging from 1 to 10 where 10 is the highest. The scores of all 31 questions will be added up to identify the final winner. So what are you waiting for? Sign-up and register now and get a changce to win some exciting prizes! Technorati Tags: Community

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  • How to control messages to the same port from different emitters?

    - by Alex In Paris
    Scene: A company has many factories X, each emits a message to the same receive port in a Biztalk server Y; if all messages are processed without much delay, each will trigger an outgoing message to another system Z. Problem: Sometimes a factory loses its connection for a half-day or more and, when the connection is reestablished, thousands of messages get emitted. Now, the messages still get processed well by Y (Biztalk can easily handle the load) but system Z can't handle the flood and may lock up and severely delay the processing of all other messages from the other X. What is the solution? Creating multiple receive locations that permits us to pause one X or another would lose us information if the factory isn't smart enough to know whether the message was received or not. What is the basic pattern to apply in Biztalk for this problem? Would some throttling parameters help to limit the flow from any one X? Or are their techniques on the end part of Y which I should use instead ? I would prefer this last one since I can be confident that the message box will remember any failures, which could then be resumed.

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  • Useful WatiN Extension Methods

    - by Steve Wilkes
    I've been doing a fair amount of UI testing using WatiN recently – here’s some extension methods I've found useful. This checks if a WatiN TextField is actually a hidden field. WatiN makes no distinction between text and hidden inputs, so this can come in handy if you render an input sometimes as hidden and sometimes as a visible text field. Note that this doesn't check if an input is visible (I've got another extension method for that in a moment), it checks if it’s hidden. public static bool IsHiddenField(this TextField textField) { if (textField == null || !textField.Exists) { return false; } var textFieldType = textField.GetAttributeValue("type"); return (textFieldType != null) && textFieldType.ToLowerInvariant() == "hidden"; } The next method quickly sets the value of a text field to a given string. By default WatiN types the text you give it into a text field one character at a time which can be necessary if you have behaviour you want to test which is triggered by individual key presses, but which most of time is just painfully slow; this method dumps the text in in one go. Note that if it's not a hidden field then it gives it focus first; this helps trigger validation once the value has been set and focus moves elsewhere. public static void SetText(this TextField textField, string value) { if ((textField == null) || !textField.Exists) { return; } if (!textField.IsHiddenField()) { textField.Focus(); } textField.Value = value; } Finally, here's a method which checks if an Element is currently visible. It does so by walking up the DOM and checking for a Style.Display of 'none' on any element between the one on which the method is invoked, and any of its ancestors. public static bool IsElementVisible(this Element element) { if ((element == null) || !element.Exists) { return false; } while ((element != null) && element.Exists) { if (element.Style.Display.ToLowerInvariant().Contains("none")) { return false; } element = element.Parent; } return true; } Hope they come in handy

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  • How can I link axes of imshow plots for zooming and panning?

    - by Adam Fraser
    Suppose I have a figure canvas with 3 plots... 2 are images of the same dimensions plotted with imshow, and the other is some other kind of subplot. I'd like to be able to link the x and y axes of the imshow plots so that when I zoom in one (using the zoom tool provided by the NavigationToolbar), the other zooms to the same coordinates, and when I pan in one, the other pans as well. Subplot methods such as scatter and histogram can be passed kwargs specifying an axes for sharex and sharey, but imshow has no such configuration. I started hacking my way around this by subclassing NavigationToolbar2WxAgg (shown below)... but there are several problems here. 1) This will link the axes of all plots in a canvas since all I've done is get rid of the checks for a.in_axes() 2) This worked well for panning, but zooming caused all subplots to zoom from the same global point, rather than from the same point in each of their respective axes. Can anyone suggest a workaround? Much thanks! -Adam from matplotlib.backends.backend_wxagg import NavigationToolbar2WxAgg class MyNavToolbar(NavigationToolbar2WxAgg): def __init__(self, canvas, cpfig): NavigationToolbar2WxAgg.__init__(self, canvas) # overrided # As mentioned in the code below, the only difference here from overridden # method is that this one doesn't check a.in_axes(event) when deciding which # axes to start the pan in... def press_pan(self, event): 'the press mouse button in pan/zoom mode callback' if event.button == 1: self._button_pressed=1 elif event.button == 3: self._button_pressed=3 else: self._button_pressed=None return x, y = event.x, event.y # push the current view to define home if stack is empty if self._views.empty(): self.push_current() self._xypress=[] for i, a in enumerate(self.canvas.figure.get_axes()): # only difference from overridden method is that this one doesn't # check a.in_axes(event) if x is not None and y is not None and a.get_navigate(): a.start_pan(x, y, event.button) self._xypress.append((a, i)) self.canvas.mpl_disconnect(self._idDrag) self._idDrag=self.canvas.mpl_connect('motion_notify_event', self.drag_pan) # overrided def press_zoom(self, event): 'the press mouse button in zoom to rect mode callback' if event.button == 1: self._button_pressed=1 elif event.button == 3: self._button_pressed=3 else: self._button_pressed=None return x, y = event.x, event.y # push the current view to define home if stack is empty if self._views.empty(): self.push_current() self._xypress=[] for i, a in enumerate(self.canvas.figure.get_axes()): # only difference from overridden method is that this one doesn't # check a.in_axes(event) if x is not None and y is not None and a.get_navigate() and a.can_zoom(): self._xypress.append(( x, y, a, i, a.viewLim.frozen(), a.transData.frozen())) self.press(event)

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  • Architecture Question

    - by katie77
    I am writing a rules/eligibility Module. I have 2 sets of data, one is the customer data and the other is the customer products data. Customer data to Customer products data is one to many. Now I have to go through a set of Eligibility rules for each of this Customer product data. For each customer products data, I can say the customer is eligible for that product or decline the eligibility and should move on to the next product record. So in all the rules, I need to have access to customer and customer product data(the particular record that the rules are being executed against). Since all the rules can either approve a product or decline a product, I created an interface with those 2 methods and is implementing the this interface for all the rules. I am passing the Customer data and one product data for all the rules (because rules should be executed on each row of customer product data). An Ideal situation would be having the customer and customer product data available for the rule instead of passing them to each rule. What is the best way of doing this in-terms of architecture?

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  • How should I compress a file with multiple bytes that are the same with Huffman coding?

    - by Omega
    On my great quest for compressing/decompressing files with a Java implementation of Huffman coding (http://en.wikipedia.org/wiki/Huffman_coding) for a school assignment, I am now at the point of building a list of prefix codes. Such codes are used when decompressing a file. Basically, the code is made of zeroes and ones, that are used to follow a path in a Huffman tree (left or right) for, ultimately, finding a byte. In this Wikipedia image, to reach the character m the prefix code would be 0111 The idea is that when you compress the file, you will basically convert all the bytes of the file into prefix codes instead (they tend to be smaller than 8 bits, so there's some gain). So every time the character m appears in a file (which in binary is actually 1101101), it will be replaced by 0111 (if we used the tree above). Therefore, 1101101110110111011011101101 becomes 0111011101110111 in the compressed file. I'm okay with that. But what if the following happens: In the file to be compressed there exists only one unique byte, say 1101101. There are 1000 of such byte. Technically, the prefix code of such byte would be... none, because there is no path to follow, right? I mean, there is only one unique byte anyway, so the tree has just one node. Therefore, if the prefix code is none, I would not be able to write the prefix code in the compressed file, because, well, there is nothing to write. Which brings this problem: how would I compress/decompress such file if it is impossible to write a prefix code when compressing? (using Huffman coding, due to the school assignment's rules) This tutorial seems to explain a bit better about prefix codes: http://www.cprogramming.com/tutorial/computersciencetheory/huffman.html but doesn't seem to address this issue either.

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  • Linux termios VTIME not working?

    - by San Jacinto
    We've been bashing our heads off of this one all morning. We've got some serial lines setup between an embedded linux device and an Ubuntu box. Our reads are getting screwed up because our code usually returns two (sometimes more, sometimes exactly one) message reads instead of one message read per actual message sent. Here is the code that opens the serial port. InterCharTime is set to 4. void COMBaseClass::OpenPort() { cerr<< "openning port"<< port <<"\n"; struct termios newtio; this->fd = -1; int fdTemp; fdTemp = open( port, O_RDWR | O_NOCTTY); if (fdTemp < 0) { portOpen = 0; cerr<<"problem openning "<< port <<". Retrying"<<endl; usleep(1000000); return; } newtio.c_cflag = BaudRate | CS8 | CLOCAL | CREAD ;//| StopBits; newtio.c_iflag = IGNPAR; newtio.c_oflag = 0; /* set input mode (non-canonical, no echo,...) */ newtio.c_lflag = 0; newtio.c_cc[VTIME] = InterCharTime; /* inter-character timer in .1 secs */ newtio.c_cc[VMIN] = readBufferSize; /* blocking read until 1 char received */ tcflush(fdTemp, TCIFLUSH); tcsetattr(fdTemp,TCSANOW,&newtio); this->fd = fdTemp; portOpen = 1; } The other end is configured similarly for communication, and has one small section of particular iterest: while (1) { sprintf(out, "\r\nHello world %lu", ++ulCount); puts(out); WritePort((BYTE *)out, strlen(out)+1); sleep(2); } //while Now, when I run a read thread on the receiving machine, "hello world" is usually broken up over a couple messages. Here is some sample output: 1: Hello 2: world 1 3: Hello 4: world 2 5: Hello 6: world 3 where number followed by a colon is one message recieved. Can you see any error we are making? Thank you. Edit: For clarity, please view section 3.2 of this resource href="http://www.faqs.org/docs/Linux-HOWTO/Serial-Programming-HOWTO.html. To my understanding, with a VTIME of a couple seconds (meaning vtime is set anywhere between 10 and 50, trial-and-error), and a VMIN of 1, there should be no reason that the message is broken up over two separate messages.

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  • Cannot submit change of address to subdomain in Google Webmaster Tools?

    - by RCNeil
    I am pointing several domains to one URL, a URL which happens to include a subdomain. ALL of the domains are using 301 redirects to point to this new address. One of the older domains (which used to be a site) is a 'property' in Webmaster Tools, as is the new site (the one with the subdomain.) When registering a 'Change of Address' for the old site with WebmasterTools, it suggests the following method - Set up your content on your new domain. (done) Redirect content from your old site using 301 redirects. (done) Add and verify your new site to Webmaster Tools. (done) Then, directly below that, to proceed, it says Tell us the URL of your new domain: Your account doesn't contain any sites we can use for a change of address. Add and verify the new site, then try again. I have already submitted and verified the new site. The only reason I can fathom I am getting this error is because the new site includes a subdomain. Although I don't foresee getting punished for this, as I am correctly 301 redirecting traffic anyway, I'm curious as to why the Change of Address submission isn't working appropriately for me. Has anyone else had experience with this?

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  • Tool to know what is making the desktop load longer than usual

    - by Marky
    Is there such a tool? My desktop as of late is taking longer to load than usual. I'd say it takes more than 20 seconds from GDM login until I see the desktop. Aside from disabling all app-indicators and testing it manually one by one, what else should be done? The only indicator I remember activating lately was bluetooth and I have already disabled it from Startup Applications. No improvement. I know of bootchart, but I don't really have a problem with boot. It is only after I login that the issue occurs. I'm on Natty Narwhal. *Updating this thread.... The issue seems to have fixed itself and I did not even do anything. It is really weird. I guess this is how Gnome works (and talk about not recognizing your theme and reverting to Windows 95-like look. How about that?). I have been a long time KDE user and I never encountered issues like this one. The KDE then may have booted into the desktop longer (from KDM) but at least I know it was consistent.

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  • Cocoa's newbie question: is it possible to bind a NSTableView's selection to another tableview's selection?

    - by cocoaOverloaded
    http://img651.imageshack.us/img651/6999/modelsf.jpg Let'say, I've 2 entities in the Core Data's Model file, one being all "transactions" ever done by X company. The "transactions" entity has among other properties, a "DATE" property and a to-one relationship "COMPANY"(specifying the company with which X company has done that particular transaction). The other entity:"companies" of course contains all the companies' info ,with which X company has done transaction. The "companies" entity has a to-many relationships "TRANSACTIONS" which is an inverse relationship to "transactions" entity's "COMPANY" relationship. So within IB, I created a NSTableView(with its own NSArrayController) showing all the transactions on a particular Date (with the help of NSPredicate). Then I create another table view showing the to-many relationship "TRANSACTIONS" of the company of the selected transaction in the first table view(which shows transactions on a particular date). The 2nd table view's NSArrayController binding is like this: ** bind to: "name of the first tableview's controller", Controller Key: selection, Model Key Path:COMPANY.TRANSACTIONS(the to-many relationship in the "companies" entity)** Everythings work fine up to this moment, the 2nd tableview shows all the transactions X company has done with the company of the selected transactions in the 1st table view. But I have a group of textfields showing details of a particular transactions. Binding the these textfields with the controller of the 1st table view(the one showing transactions on a particular date) is pretty straightforward. But what I want to do are: 1/ Look up the transactions on a particular date in the first table view, select any one of them 2/ Then, check all previous transactions of the company of that transaction( selected in the first table view) from the 2nd table view 3/ Select any previous transactions and check the details of the transaction from that group of textfields So naturally I should have bind the textfields' gp to the 2nd table view's controller. But I found the default selected row in the 2nd table view(the one show all previous transactions of a company) wasn't the transaction I've selected in the 1st tableView for a particular date. Of course, i can manually select that transaction in the 2nd table view again.... So I just want to know if it's possible to have the 2nd table view automatically select the transaction according to the transaction I've selected in the 1st table view thr binding?? After hours of googling, I solved the problem by implementing the tableview Delegate protocol: - (void)tableViewSelectionDidChange:(NSNotification *)aNotification { if (["nameOf1stTableView" selectedRow] > -1) { NSArray *objsArray = ["nameOf2ndTableView'sController" arrangedObjects]; for (id obj in objsArray) { if ([[obj valueForKey:@"DATE"] isEqualToDate: ["nameOf1stTableView'sController".selection valueForKey:@"DATE"]]) { ["nameOf2ndTableView" selectRowIndexes:[NSIndexSet indexSetWithIndex:[objsArray indexOfObject:obj]] byExtendingSelection:NO]; } } } } But,this just look too cumbersome... can it be done with binding alone? Thanks in Advance,

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  • raid advice with SSD and two HDD

    - by Nin
    I have a new machine with one 128GB SSD and two 1TB HDD. On the SSD is the OS and my initial thought was to put the two HDD in RAID 1 for user data. After some more thought I came up with two other setups and now I'm in doubt :) Can someone advise what would be the best setup? 1: single SSD and HDD in RAID 1 (original thought) 2: Create 2 partitions on the HDD (128GB and 872GB). Put the two 872GB in RAID 1 and create another RAID 1 with the SSD and one 128GB HDD partition. 3: Create 2 partitions on the HDD (750/250), put the 705GB in RAID 1 and use the 2 250GB as backup and make automatic snapshots of the SSD to (one of) these partitions. I think the 2 main questions are: Is it advisable to create a raid array with only part of a drive and actively use the other part of that drive or should you always use the full disk? Is it advisable to create a raid 1 array with a SSD and HDD or will that blow the whole speed advantage of the SSD?

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  • Help with design structure choice: Using classes or library of functions

    - by roverred
    So I have GUI Class that will call another class called ImageProcessor that contains a bunch functions that will perform image processing algorithms like edgeDetection, gaussianblur, contourfinding, contour map generations, etc. The GUI passes an image to ImageProcessor, which performs one of those algorithm on it and it returns the image back to the GUI to display. So essentially ImageProcessor is a library of independent image processing functions right now. It is called in the GUI like so Image image = ImageProcessor.EdgeDetection(oldImage); Some of the algorithms procedures require many functions, and some can be done in a single function or even one line. All these functions for the algorithms jam packed into ImageProcessor can be pretty messy, and ImageProcessor doesn't sound it should be a library. So I was thinking about making every algorithm be a class with a shared interface say IAlgorithm. Then I pass the IAlgorithm interface from the GUI to the ImageProcessor. public interface IAlgorithm{ public Image Process(); } public class ImageProcessor{ public Image Process(IAlgorithm TheAlgorithm){ return IAlgorithm.Process(); } } Calling in the GUI like so Image image = ImageProcessor.Process(new EdgeDetection(oldImage)); I think it makes sense in an object point of view, but the problem is I'll end up with some classes that are just one function. What do you think is a better design, or are they both crap and you have a much better idea? Thanks!

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  • From the Coalface - 3 - Work as hard as you can to be as lazy as you can!

    - by TATWORTH
    The saga of the Change Log A recent conversation reminded me of the need for change logs within a database, to record when various change scripts were run. Creating such the required table is simple. A typical table for this consists of: Id - identity Integer primary key ChangeFileName - NVARCHAR(128) to hold the name of the file run. DateAdded - DateTime non-null with default value of getutcdate() Purpose - NVARCHAR(128) Rerunnable - Bit non-null default 0. By good design of the table only two data values normally need to be supplied. Two stored procedures, one for inserting data and one to list in reverse sequence the log complete the database essentials. The complete implementation can be found in the CommonData solution at http://CommonData.CodePlex.Com By including a call the add Change Log stored procedure, each script can log its name and purpose for posterity. The scripts that were applied to say the UAT system and their sequence of application can be readily identified for running on the Live system. Formatting XML XML is often produced as one continous string with no embedded CR/LF. To get it into human readable form, open it in visual studio, swap to another tab and back and click the format document button. The XML will then be nicely formatted!

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  • Most efficient way to store this collection of moduli and remainders?

    - by Bryan
    I have a huge collection of different moduli and associated with each modulus a fairly large list of remainders. I want to store these values so that I can efficiently determine whether an integer is equivalent to any one of the remainders with respect to any of the moduli (it doesn't matter which, I just want a true/false return). I thought about storing these values as a linked-list of balanced binary trees, but I was wondering if there is a better way? EDIT Perhaps a little more detail would be helpful. As for the size of this structure, it will be holding about 10s of thousands of (prime-1) moduli and associated to each modulus will be a variable amount of remainders. Most moduli will only have one or two remainders associated to it, but a very rare few will have a couple hundred associated to it. This is part of a larger program which handles numbers with a couple thousand (decimal) digits. This program will benefit more from this table being as large as possible and being able to be searched quickly. Here's a small part of the dataset where the moduli are in parentheses and the remainders are comma separated: (46) k = 20 (58) k = 15, 44 (70) k = 57 (102) k = 36, 87 (106) k = 66 (156) k = 20, 59, 98, 137 (190) k = 11, 30, 68, 87, 125, 144, 182 (430) k = 234 (520) k = 152, 282 (576) k = 2, 11, 20, 29, 38, 47, 56, 65, 74, ...(add 9 each time), 569 I had said that the moduli were prime, but I was wrong they are each one below a prime.

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