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  • Prevent Rails link_to_remote multiple submits w Javascript

    - by Chris
    In a Rails project I need to keep a link_to_remote from getting double-clicked. It looks like :before and :after are my only choices - they get prepended/appended to the onclick Ajax call, respectively. But if I try something like: :before => "self.stopObserving()" t,he Ajax is never run. If I try it for :after the Ajax is run but the link never stops observing. The solutions I've seen rely on creating a variable and blocking the whole form, but there are multiple link_to_remote rows on this page and it is valid to click more than one of them at a time - just not the same one twice. One variable per row declared outside of link_to_remote seems very kludgey... Instead of using Prototype I originally tried plain Javascript first for this proof of concept - but it fails too: <a href="#" onclick="self.onclick = function(){alert('foo');};"click</a just puts up an alert when clicked - the lambda here does nothing? This next one is more like the desired goal and should only alert the first time. But instead it alerts every time: <a href="#" onclick="alert('bar'); self.onclick = function(){return false;};"click</a All ideas appreciated!

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  • Python Regular Expressions: Capture lookahead value (capturing text without consuming it)

    - by Lattyware
    I wish to use regular expressions to split words into groups of (vowels, not_vowels, more_vowels), using a marker to ensure every word begins and ends with a vowel. import re MARKER = "~" VOWELS = {"a", "e", "i", "o", "u", MARKER} word = "dog" if word[0] not in VOWELS: word = MARKER+word if word[-1] not in VOWELS: word += MARKER re.findall("([%]+)([^%]+)([%]+)".replace("%", "".join(VOWELS)), word) In this example we get: [('~', 'd', 'o')] The issue is that I wish the matches to overlap - the last set of vowels should become the first set of the next match. This appears possible with lookaheads, if we replace the regex as follows: re.findall("([%]+)([^%]+)(?=[%]+)".replace("%", "".join(VOWELS)), word) We get: [('~', 'd'), ('o', 'g')] Which means we are matching what I want. However, it now doesn't return the last set of vowels. The output I want is: [('~', 'd', 'o'), ('o', 'g', '~')] I feel this should be possible (if the regex can check for the second set of vowels, I see no reason it can't return them), but I can't find any way of doing it beyond the brute force method, looping through the results after I have them and appending the first character of the next match to the last match, and the last character of the string to the last match. Is there a better way in which I can do this? The two things that would work would be capturing the lookahead value, or not consuming the text on a match, while capturing the value - I can't find any way of doing either.

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  • Why this Either-monad code does not type check?

    - by pf_miles
    instance Monad (Either a) where return = Left fail = Right Left x >>= f = f x Right x >>= _ = Right x this code frag in 'baby.hs' caused the horrible compilation error: Prelude> :l baby [1 of 1] Compiling Main ( baby.hs, interpreted ) baby.hs:2:18: Couldn't match expected type `a1' against inferred type `a' `a1' is a rigid type variable bound by the type signature for `return' at <no location info> `a' is a rigid type variable bound by the instance declaration at baby.hs:1:23 In the expression: Left In the definition of `return': return = Left In the instance declaration for `Monad (Either a)' baby.hs:3:16: Couldn't match expected type `[Char]' against inferred type `a1' `a1' is a rigid type variable bound by the type signature for `fail' at <no location info> Expected type: String Inferred type: a1 In the expression: Right In the definition of `fail': fail = Right baby.hs:4:26: Couldn't match expected type `a1' against inferred type `a' `a1' is a rigid type variable bound by the type signature for `>>=' at <no location info> `a' is a rigid type variable bound by the instance declaration at baby.hs:1:23 In the first argument of `f', namely `x' In the expression: f x In the definition of `>>=': Left x >>= f = f x baby.hs:5:31: Couldn't match expected type `b' against inferred type `a' `b' is a rigid type variable bound by the type signature for `>>=' at <no location info> `a' is a rigid type variable bound by the instance declaration at baby.hs:1:23 In the first argument of `Right', namely `x' In the expression: Right x In the definition of `>>=': Right x >>= _ = Right x Failed, modules loaded: none. why this happen? and how could I make this code compile ? thanks for any help~

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  • Complex SQL query, one to many relationship

    - by Ethan
    Hey SO, I have a query such that I need to get A specific dog All comments relating to that dog The user who posted each comment All links to images of the dog the user who posted each link I've tried a several things, and can't figure out quite how to work it. Here's what I have (condensed so you don't have to wade through it all): SELECT s.dog_id, s.name, c.comment, c.date_added AS comment_date_added, u.username AS comment_username, u.user_id AS comment_user_id, l.link AS link, l.date_added AS link_date_added, u2.username AS link_username, u2.user_id AS link_user_id FROM dogs AS d LEFT JOIN comments AS c ON c.dog_id = d.dog_id LEFT JOIN users AS u ON c.user_id = u.user_id LEFT JOIN links AS l ON l.dog_id = d.dog_id LEFT JOIN users AS u2 ON l.user_id = u2.user_id WHERE d.dog_id = '1' It's sorta close to working, but it'll only return me the first comment, and the first link all as one big array with all the info i requested. The are multiple comments and links per dog, so I need it to give me all the comments and all the links. Ideally it'd return an object with dog_id, name, comments(an array of the comments), links(an array of the links) and then comments would have a bunch of comments, date_added, username, and user_id and links would have a bunch of links with link, date_added, username and user_id. It's got to work even if there are no links or comments. I learned the basics of mySQL somewhat recently, but this is pretty far over my head. Any help would be wonderful. Thanks!

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  • MySQL table data transformation -- how can I dis-aggreate MySQL time data?

    - by lighthouse65
    We are coding for a MySQL data warehousing application that stores descriptive data (User ID, Work ID, Machine ID, Start and End Time columns in the first table below) associated with time and production quantity data (Output and Time columns in the first table below) upon which aggregate (SUM, COUNT, AVG) functions are applied. We now wish to dis-aggregate time data for another type of analysis. Our current data table design: +---------+---------+------------+---------------------+---------------------+--------+------+ | User ID | Work ID | Machine ID | Event Start Time | Event End Time | Output | Time | +---------+---------+------------+---------------------+---------------------+--------+------+ | 080025 | ABC123 | M01 | 2008-01-24 16:19:15 | 2008-01-24 16:34:45 | 2120 | 930 | +---------+---------+------------+---------------------+---------------------+--------+------+ Reprocessing dis-aggregation that we would like to do would be to transform table content based on a granularity of minutes, rather than the current production event ("Event Start Time" and "Event End Time") granularity. The resulting reprocessing of existing table rows would look like: +---------+---------+------------+---------------------+--------+ | User ID | Work ID | Machine ID | Production Minute | Output | +---------+---------+------------+---------------------+--------+ | 080025 | ABC123 | M01 | 2010-01-24 16:19 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:20 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:21 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:22 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:23 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:24 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:25 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:26 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:27 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:28 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:29 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:30 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:31 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:22 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:33 | 133 | | 080025 | ABC123 | M01 | 2010-01-24 16:34 | 133 | +---------+---------+------------+---------------------+--------+ So the reprocessing would take an existing row of data created at the granularity of production event and modify the granularity to minutes, eliminating redundant (Event End Time, Time) columns while doing so. It assumes a constant rate of production and divides output by the difference in minutes plus one to populate the new table's Output column. I know this can be done in code...but can it be done entirely in a MySQL insert statement (or otherwise entirely in MySQL)? I am thinking of a INSERT ... INTO construction but keep getting stuck. An additional complexity is that there are hundreds of machines to include in the operation so there will be multiple rows (one for each machine) for each minute of the day. Any ideas would be much appreciated. Thanks.

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  • Am I abusing Policies?

    - by pmr
    I find myself using policies a lot in my code and usually I'm very happy with that. But from time to time I find myself confronted with using that pattern in situations where the Policies are selected and runtime and I have developed habbits to work around such situations. Usually I start with something like that: class DrawArrays { protected: void sendDraw() const; }; class DrawElements { protected: void sendDraw() const; }; template<class Policy> class Vertices : public Policy { using Policy::sendDraw(); public: void render() const; }; When the policy is picked at runtime I have different choices of working around the situation. Different code paths: if(drawElements) { Vertices<DrawElements> vertices; } else { Vertices<DrawArrays> vertices; } Inheritance and virtual calls: class PureVertices { public: void render()=0; }; template<class Policy> class Vertices : public PureVertices, public Policy { //.. }; Both solutions feel wrong to me. The first creates an umaintainable mess and the second introduces the overhead of virtual calls that I tried to avoid by using policies in the first place. Am I missing the proper solutions or do I use the wrong pattern to solve the problem?

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  • Trying to set up nested while loops using a boolean switch

    - by thorn100
    First time posting. I'm trying to set up a while loop that will ask the user for the employee name, hours worked and hourly wage until the user enters 'DONE'. Eventually I'll modify the code to calculate the weekly pay and write it to a list, but one thing at a time. The problem is once the main while loop executes once, it just stops. Doesn't error out but just stops. I have to kill the program to get it to stop. I want it to ask the three questions again and again until the user is finished. Thoughts? Please note that this is just an exercise and not meant for any real world application. def getName(): """Asks for the employee's full name""" firstName=raw_input("\nWhat is your first name? ") lastName=raw_input("\nWhat is your last name? ") fullName=firstName.title() + " " + lastName.title() return fullName def getHours(): """Asks for the number of hours the employee worked""" hoursWorked=0 while int(hoursWorked)<1 or int(hoursWorked) > 60: hoursWorked=raw_input("\nHow many hours did the employee work: ") if int(hoursWorked)<1 or int(hoursWorked) > 60: print "Please enter an integer between 1 and 60." else: return hoursWorked def getWage(): """Asks for the employee's hourly wage""" wage=0 while float(wage)<6.00 or float(wage)>20.00: wage=raw_input("\nWhat is the employee's hourly wage: ") if float(wage)<6.00 or float(wage)>20.00: print ("Please enter an hourly wage between $6.00 and $20.00") else: return wage ##sentry variables employeeName="" employeeHours=0 employeeWage=0 booleanDone=False #Enter employee info print "Please enter payroll information for an employee or enter 'DONE' to quit." while booleanDone==False: while employeeName=="": employeeName=getName() if employeeName.lower()=="done": booleanDone=True break print "The employee's name is", employeeName while employeeHours==0: employeeHours=getHours() if employeeHours.lower()=="done": booleanDone=True break print employeeName, "worked", employeeHours, "this week." while employeeWage==0: employeeWage=getWage() if employeeWage.lower()=="done": booleanDone=True break print employeeName + "'s hourly wage is $" + employeeWage

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  • Nested namespaces, correct static library design issues

    - by PeterK
    Hello all, I'm currently in the process of developing a fairly large static library which will be used by some tools when it's finished. Now since this project is somewhat larger than anything i've been involved in so far, I realized its time to think of a good structure for the project. Using namespaces is one of those logical steps. My current approach is to divide the library into parts (which are not standalone, but their purpose calls for such a separation). I have a 'core' part which now just holds some very common typedefs and constants (used by many different parts of the library). Other parts are for example some 'utils' (hash etc.), file i/o and so on. Each of these parts has its own namespace. I have nearly finished the 'utils' part and realized that my approach probably is not the best. The problem (if we want to call it so) is that in the 'utils' namespace i need something from the 'core' namespace which results in including the core header files and many using directives. So i began to think that this probably is not a good thing and should be changed somehow. My first idea is to use nested namespaces as to have something like core::utils. Since this will require some heavy refactoring i want to ask here first. What do you think? How would you handle this? Or more generally: How to correctly design a static library in terms of namespaces and code organization? If there are some guidelines or articles about it, please mentoin them too. Thanks. Note: i'm quite sure that there are more good approaches than just one. Feel free to post your ideas, suggestions etc. Since i'm designing this library i want it to be really good. The goal is to make it as clean and FAST as possible. The only problem is that i will have to integrate a LOT of existing code and refactor it, which will really be a painful process (sigh) - thats why good structure is so important)

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  • Rails NoMethodError in loop when method exists

    - by Kevin Whitaker
    Good day all. I'm running into a bit of a problem getting a script running on my production environment, even though it works just fine on my dev box. I've verified that all the requisite gems and such are the same version. I should mention that the script is intended to be run with the script/runner command. Here is a super-condensed version of what I'm trying to do, centered around the part that's broken: def currentDeal marketTime = self.convertToTimeZone(Time.new) deal = Deal.find(:first, :conditions = ["start_time ? AND market_id = ? AND published = ?", marketTime, marketTime, self.id, 1]) return deal end markets = Market.find(all) markets.each do |market| deal = market.currentDeal puts deal.subject end Now convertToTimeZone is a method attached to the model. So, this code works just fine on my dev machine, as stated. However, attempting to run it on my production machine results in: undefined method `subject' for nil:NilClass (NoMethodError) If, however, I go into the console on the production box and do this: def currentDeal marketTime = self.convertToTimeZone(Time.new) deal = Deal.find(:first, :conditions = ["start_time ? AND market_id = ? AND published = ?", marketTime, marketTime, self.id, 1]) return deal end market = Market.find(1) deal = market.currentDeal puts deal.subject It returns the correct value, no problem. So what is going on? This is on rails v 2.3.5, on both machines. Thanks for any help

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  • Using java.util.regex in Android apps - are there issues with this?

    - by johnrock
    In an Android app I have a utility class that I use to parse strings for 2 regEx's. I compile the 2 patterns in a static initializer so they only get compiled once, then activities can use the parsing methods statically. This works fine except that the first time the class is accessed and loaded, and the static initializer compiles the pattern, the UI hangs for close to a MINUTE while it compiles the pattern! After the first time, it flies on all subsequent calls to parseString(). My regEx that I am using is rather large - 847 characters, but in a normal java webapp this is lightning fast. I am testing this so far only in the emulator with a 1.5 AVD. Could this just be an emulator issue or is there some other reason that this pattern is taking so long to compile? private static final String exp1 = "(insertratherlong---847character--regexhere)"; private static Pattern regex1 = null; private static final String newLineAndTagsExp = "[<>\\s]"; private static Pattern regexNewLineAndTags = null; static { regex1 = Pattern.compile(exp1, Pattern.CASE_INSENSITIVE); regexNewLineAndTags = Pattern.compile(newLineAndTagsExp); } public static String parseString(CharSequence inputStr) { String replacementStr = "replaceMentText"; String resultString = "none"; try { Matcher regexMatcher = regex1.matcher(inputStr); try { resultString = regexMatcher.replaceAll(replacementStr); } catch (IllegalArgumentException ex) { } catch (IndexOutOfBoundsException ex) { } } catch (PatternSyntaxException ex) { } return resultString; }

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  • Optimization in Python - do's, don'ts and rules of thumb.

    - by JV
    Well I was reading this post and then I came across a code which was: jokes=range(1000000) domain=[(0,(len(jokes)*2)-i-1) for i in range(0,len(jokes)*2)] I thought wouldn't it be better to calculate the value of len(jokes) once outside the list comprehension? Well I tried it and timed three codes jv@Pioneer:~$ python -m timeit -s 'jokes=range(1000000);domain=[(0,(len(jokes)*2)-i-1) for i in range(0,len(jokes)*2)]' 10000000 loops, best of 3: 0.0352 usec per loop jv@Pioneer:~$ python -m timeit -s 'jokes=range(1000000);l=len(jokes);domain=[(0,(l*2)-i-1) for i in range(0,l*2)]' 10000000 loops, best of 3: 0.0343 usec per loop jv@Pioneer:~$ python -m timeit -s 'jokes=range(1000000);l=len(jokes)*2;domain=[(0,l-i-1) for i in range(0,l)]' 10000000 loops, best of 3: 0.0333 usec per loop Observing the marginal difference 2.55% between the first and the second made me think - is the first list comprehension domain=[(0,(len(jokes)*2)-i-1) for i in range(0,len(jokes)*2)] optimized internally by python? or is 2.55% a big enough optimization (given that the len(jokes)=1000000)? If this is - What are the other implicit/internal optimizations in Python ? What are the developer's rules of thumb for optimization in Python? Edit1: Since most of the answers are "don't optimize, do it later if its slow" and I got some tips and links from Triptych and Ali A for the do's. I will change the question a bit and request for don'ts. Can we have some experiences from people who faced the 'slowness', what was the problem and how it was corrected? Edit2: For those who haven't here is an interesting read Edit3: Incorrect usage of timeit in question please see dF's answer for correct usage and hence timings for the three codes.

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  • How to disable selective keys on the keyboard?

    - by Vilx-
    I'd like to write an application which disables certain keys on the keyboard while it's working. More specifically I'm interested in keys that might make the application loose focus (like ALT+TAB, WinKey, Ctrl+Shift+Esc, etc.) The need for this is has to do with babies/animals bashing wildly at the keyboard. :) My first idea was to use SetWindowsHookEx, however I ran into a problem. Since I need a global hook, the procedure would have to reside in a .DLL which would get injected in all active applications. But a .DLL can be either 64-bit or 32-bit, not both. And on a 64-bit system there are both types of applications. I guess then that I must write two copies of the hook .DLL - one for 32-bit and the other for 64-bit. And then I'd also have to launch two copies of the application as well, because the application first has to load the DLL itself before it can pass it on to SetWindowsHookEx(). Sounds pretty clumsy and awkward. Is there perhaps a better way? Or maybe I've misunderstood something?

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  • Problems with ASP.NET, machine-level web.config, and the location element

    - by Daniel Schaffer
    I've got a server running Windows Web Server 2008 R2. The machine-level web.config has the following entries: <location path="Preview"> <appSettings> <add key="Environment" value="Preview" /> </appSettings> </location> <location path="Staging"> <appSettings> <add key="Environment" value="Staging" /> </appSettings> </location> <location path="Production"> <appSettings> <add key="Environment" value="Production" /> </appSettings> </location> I have a website that I'd set up in the direction D:\Sites\Preview\, so the full path would be D:\Sites\Preview\WebSite1. If I put a simple aspx file that just outputs the value of ConfigurationManager.AppSettings["Environment"], it displays the value Preview. I'm not clear on exactly how that works, but it does. I'd set this up several weeks ago, and just now tried to duplicate this - I put a second site in the D:\Sites\Preview\ directory, expecting that it would automatically pick up the appropriate appSettings entries, but for some reason it hasn't - the same aspx page doesn't show anything. Additionally, when I go into the IIS manager and open the Configuration Editor, there are no settings in there, whereas there are settings listed for the first site. Any ideas as to what I could be missing? Is the location element intended to work like this, or did I just find some magical fluke with my first site?

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  • Three20 TTSectionedDataSource row height

    - by Ward
    Hey there, I'm using Three20 to create a table with several textfields for user registration. I've found two possible methods using Three20. The first uses the TTSectionedDataSource's tableDidLoadModel method to manually add UI components and the second adds custom items that contains pre formatted UI components. The second option seems way more complex and I'm having a difficult time accessing the individual fields. So if one field is a textfield for the username, I need to access the field to submit the username and it doesn't seem like there's an easy answer. The first option gives me a lot of flexibility, but I can't figure out how to set the individual row heights. One row may have a label above a text field, another may have an image, etc. Is there a method that can be used in TTSectionedDataSource that will allow me to set the height for each row? Thus far, I'm using method one and creating UIViews to hold a label field and a text field. I've tried changing the frame of the uiview before it is added to the items array, but it has no affect. Any ideas?

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  • How can I print text fields at the right coordinates?

    - by Milad
    I don't have any background in programming and this is my first shot. I wrote a Delphi program that is supposed to print on a result sheet. I work in an institute and we have to establish hundreds of result sheets every 2 months. It's really difficult to do that and different handwriting is also an important issue. I have this code: if PrintDialog.Execute() then begin with MyPrinter do begin MyPrinter.BeginDoc();//Start Printing //Prints First Name MyPrinter.Canvas.TextOut(FirstNameX,FirstNameY,EditFirstName.Text); //Prints Last Name MyPrinter.Canvas.TextOut(LastNameX,LastNameY,EditLastName.Text); //Prints Level MyPrinter.Canvas.TextOut(LevelX,LevelY,EditLevel.Text); //Prints Date MyPrinter.Canvas.TextOut(DateX,DateY,MEditDate.Text); //Prints Student Number MyPrinter.Canvas.TextOut(StdNumX,StdNumY,EditStdnumber.Text); .... MyPrinter.EndDoc();//End Printing end; end; I can't get the right coordinates to print properly. Am I missing something? How can I set the right coordinates? You know TPrinter uses pixels to get the coordinates but papers are measured in inches or centimeters. I'm really confused. I appreciate any help.

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  • Is there a modern free D?VCS that can ignore mainframe sequence numbers?

    - by Brent.Longborough
    I'm looking at migrating a large suite of IBM Assembler Language programs, from a vcs based on "filenames include version numbers", to a modern vcs which will give me, among other things, the ability to branch and merge. These files have 80-column records, the last 8 columns being an almost-meaningless sequence number. For a number of reasons which I don't really want to waste space by going into, I need the vcs to ignore (but hopefully preserve in some well-defined manner) the sequence number columns, and to diff and patch based only on the contents of the first 72 columns. Any ideas? Just to clarify "ignore but preserve": I accept it's a bit vague, as I haven't fully collected my ideas yet. It would be something along the lines of this: "When merging/patching, if one side has sequence numbers, output them; if more-than-one side has sequence numbers, use those present in file (1|2|3)" Why do I want to preserve sequence numbers? First, they really are sequence numbers. Second, I want to reintegrate this stuff back onto the mainframe, where sequence numbers can be terribly significant. (Those of you who know what "SMP/E" means will understand. Those who don't, be happy, but tremble...) I've just realised I hadn't accepted an answer. Difficult choice, but @Noldorin comes closest to where I have to go.

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  • form change with javascript

    - by aslum
    I have two drop down lists <select name="branch"> <option value="b">Blacksburg</option> <option value="c">Christiansburg</option> <option value="f">Floyd</option> <option value="m">Meadowbrook</option> </select> but I would like the second list to be different based upon what is selected from the first list. So FREX Blacksburg's might be <select name="room"> <option value="Kitchen">Kitchen Side</option> <option value="Closet">Closet Side</option> <option value="Full">Full Room</option> </select While Christiansburg's is <select name="room"> <option value="Window">Window Side</option> <option value="Door">Door Side</option> <option value="Full">Full Room</option> and of course the options are also different for the other branches... Is it possible to change the second drop down list based on what they select for the first one? I have used javascript a teensy bit, but not much so please explain in detail. Thanks!

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  • iPhone application update (using Core Data on Sqlite)

    - by owen
    I have an app which is using Core Data on Sqlite, Now I have a update which has some DB structure changes say adding a new table I know when an app get updated, it updates the app binary only, nothing on document directory will be changed. When the app gets updated and launchs at the first time and run [[NSPersistentStoreCoordinator alloc] initWithManagedObjectModel:[self managedObjectModel]]; It will find the difference between the data model and DB structure in Sqlite and will throw an exception and quit. Error: "The model used to open the store is incompatible with the one used to create the store" So, can anyone here give me some idea how to update an app when there is a DB structure change? I think we can run a DB script to create that new table when it launchs the update at the first time. But if there are other changes like changing the type of some fields or deleting some fields, and we need to migrate the old data, this is really a headache. In this case, Is the only way to do is creating a new app? Is there anyone tried something similar like this?

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  • Fastest way to modify a decimal-keyed table in MySQL?

    - by javanix
    I am dealing with a MySQL table here that is keyed in a somewhat unfortunate way. Instead of using an auto increment table as a key, it uses a column of decimals to preserve order (presumably so its not too difficult to insert new rows while preserving a primary key and order). Before I go through and redo this table to something more sane, I need to figure out how to rekey it without breaking everything. What I would like to do is something that takes a list of doubles (the current keys) and outputs a list of integers (which can be cast down to doubles for rekeying). For example, input {1.00, 2.00, 2.50, 2.60, 3.00} would give output {1, 2, 3, 4, 5). Since this is a database, I also need to be able to update the rows nicely: UPDATE table SET `key`='3.00' WHERE `key`='2.50'; Can anyone think of a speedy algorithm to do this? My current thought is to read all of the doubles into a vector, take the size of the vector, and output a new vector with values from 1 => doubleVector.size. This seems pretty slow, since you wouldn't want to read every value into the vector if, for instance, only the last n/100 elements needed to be modified. I think there is probably something I can do in place, since only values after the first non-integer double need to be modified, but I can't for the life of me figure anything out that would let me update in place as well. For instance, setting 2.60 to 3.00 the first time you see 2.50 in the original key list would result in an error, since the key value 3.00 is already used for the table.

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  • Exec problem in SQL Server 2005

    - by IordanTanev
    Hi, I have the situation where i have two databases with same structure. The first have some data in its data tables. I need to create a script that will transfer the data from the first database to the second. I have created this script. DECLARE @table_name nvarchar(MAX), @query nvarchar(MAX) DECLARE @table_cursor CURSOR SET @table_cursor = CURSOR FAST_FORWARD FOR SELECT TABLE_NAME FROM INFORMATION_SCHEMA.TABLES OPEN @table_cursor FETCH NEXT FROM @table_cursor INTO @table_name WHILE @@FETCH_STATUS = 0 BEGIN SET @query = 'INSERT INTO ' + @table_name + ' SELECT * FROM MyDataBase.dbo.' + @table_name print @query exec @query FETCH NEXT FROM @table_cursor INTO @table_name END CLOSE @table_cursor DEALLOCATE @table_cursor The problem is that when I run the script the "print @query" statement prints statement like this INSERT INTO table SELECT * FROM MyDataBase.dbo.table When I copy this and run it from Management studio it works fine. But when the script tries to run it with exec I get this error Msg 911, Level 16, State 1, Line 21 Could not locate entry in sysdatabases for database 'INSERT INTO table SELECT * FROM MPDEV090314'. No entry found with that name. Make sure that the name is entered correctly. Hope someone can tell me whot is wront with this. Best Regards, Iordan Tanev

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  • Client Web Browser Behavior When Handling 301 Redirect

    - by Jon Swanson
    The RFC seems to suggest that the client should permanently cache the response: http://www.w3.org/Protocols/rfc2616/rfc2616-sec10.html 10.3.2 301 Moved Permanently The requested resource has been assigned a new permanent URI and any future references to this resource SHOULD use one of the returned URIs. Clients with link editing capabilities ought to automatically re-link references to the Request-URI to one or more of the new references returned by the server, where possible. This response is cacheable unless indicated otherwise. The new permanent URI SHOULD be given by the Location field in the response. Unless the request method was HEAD, the entity of the response SHOULD contain a short hypertext note with a hyperlink to the new URI(s). If the 301 status code is received in response to a request other than GET or HEAD, the user agent MUST NOT automatically redirect the request unless it can be confirmed by the user, since this might change the conditions under which the request was issued. Note: When automatically redirecting a POST request after receiving a 301 status code, some existing HTTP/1.0 user agents will erroneously change it into a GET request. I'm having a hard time finding concrete browser documentation for any major browser that states how they handle these. I've started digging through the source code of firefox, but quickly got lost. Is the following scenario true for which (if any) browsers, and is there definitive documentation for either Firefox or IE that states as much?: First Time Around: 1.1: User enters link to site A, or clicks on a link directed at Site A 1.2: Browser interprets link at Site A, first time, no cache. Sends GET to Site A. 1.2: Site A responds with 301 Redirect to Site B 1.3: Browser sends GET to Site B. Any Subsequent Times Around: 2.2: User clicks on a link directed at Site A 2.2: Browser sees that, due to a past 301 redirect, Site A should now be Site B. 2.3: Without initiating any request whatsoever at Site A, browser initiates GET at Site B.

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  • How to replace custom IDs in the order of their appearance with a shell script?

    - by Péter Török
    I have a pair of rather large log files with very similar content, except that some identifiers are different between the two. A couple of examples: UnifiedClassLoader3@19518cc | UnifiedClassLoader3@d0357a JBossRMIClassLoader@13c2d7f | JBossRMIClassLoader@191777e That is, wherever the first file contains UnifiedClassLoader3@19518cc, the second contains UnifiedClassLoader3@d0357a, and so on. I want to replace these with identical IDs so that I can spot the really important differences between the two files. I.e. I want to replace all occurrences of both UnifiedClassLoader3@19518cc in file1 and UnifiedClassLoader3@d0357a in file2 with UnifiedClassLoader3@1; all occurrences of both JBossRMIClassLoader@13c2d7f in file1 and JBossRMIClassLoader@191777e in file2 with JBossRMIClassLoader@2 etc. Using the Cygwin shell, so far I managed to list all different identifiers occurring in one of the files with grep -o -e 'ClassLoader[0-9]*@[0-9a-f][0-9a-f]*' file1.log | sort | uniq However, now the original order is lost, so I don't know which is the pair of which ID in the other file. With grep -n I can get the line number, so the sort would preserve the order of appearance, but then I can't weed out the duplicate occurrences. Unfortunately grep can not print only the first match of a pattern. I figured I could save the list of identifiers produced by the above command into a file, then iterate over the patterns in the file with grep -n | head -n 1, concatenate the results and sort them again. The result would be something like 2 ClassLoader3@19518cc 137 ClassLoader@13c2d7f 563 ClassLoader3@1267649 ... Then I could (either manually or with sed itself) massage this into a sed command like sed -e 's/ClassLoader3@19518cc/ClassLoader3@2/g' -e 's/ClassLoader@13c2d7f/ClassLoader@137/g' -e 's/ClassLoader3@1267649/ClassLoader3@563/g' file1.log > file1_processed.log and similarly for file2. However, before I start, I would like to verify that my plan is the simplest possible working solution to this. Is there any flaw in this approach? Is there a simpler way?

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  • How to have a where clause on an insert or an update in Linq to Sql?

    - by Kelsey
    I am trying to convert the following stored proc to a LinqToSql call (this is a simplied version of the SQL): INSERT INTO [MyTable] ([Name], [Value]) SELECT @name, @value WHERE NOT EXISTS(SELECT [Value] FROM [MyTable] WHERE [Value] = @value) The DB does not have a constraint on the field that is getting checked for so in this specific case the check needs to be made manually. Also there are many items constantly being inserted as well so I need to make sure that when this specific insert happens there is no dupe of the value field. My first hunch is to do the following: using (TransactionScope scope = new TransactionScope()) { if (Context.MyTables.SingleOrDefault(t => t.Value == in.Value) != null) { MyLinqModels.MyTable t = new MyLinqModels.MyTable() { Name = in.Name, Value = in.Value }; // Do some stuff in the transaction scope.Complete(); } } This is the first time I have really run into this scenario so I want to make sure I am going about it the right way. Does this seem correct or can anyone suggest a better way of going about it without having two seperate calls? Edit: I am running into a similar issue with an update: UPDATE [AnotherTable] SET [Code] = @code WHERE [ID] = @id AND [Code] IS NULL How would I do the same check with Linqtosql? I assume I need to do a get and then set all the values and submit but what if someone updates [Code] to something other than null from the time I do the get to when the update executes? Same problem as the insert...

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  • Server side form validation and POST data

    - by tomcritchlow
    Hi, I have a user input form here: http://www.7bks.com/create (Google login required) When you first create a list you are asked to create a public username. Unfortuantely currently there is no constraint to make this unique. I'm working on the code to enforce unique usernames at the moment and would like to know the best way to do it. Tech details: appengine, python, webapp framework What I'm planning is something like this: first the /create form posts the data to /inputlist/ (this is the same as currently happens) /inputlist/ queries the datastore for the given username. If it already exists then redirect back to /create display the /create page with all the info previously but with an additional error message of "this username is already taken" My question is: Is this the best way of handling server side validation? What's the best way of storing the list details while I verify and modify the username? As I see it I have 3 options to store the list details but I'm not sure which is "best": Store the list details in the session cookie (I am using GAEsessions for cookies) Define a separate POST class for /create and post the list data back from /inputlist/ to the /create page (currently /create only has a GET class) Store the list in the datastore, even though the username is non-unique. Thank you very much for your help :) I'm pretty new to python and coding in general so if I've missed something obvious my apologies. Tom PS - I'm sure I can eventually figure it out but I can't find any documentation on POSTing data using the webapp appengine framework which I'd need in order to do solution 2 above :s maybe you could point me in the right direction for that too? Thanks! PPS - It's a little out of date now but you can see roughly how the /create and /inputlist/ code works at the moment here: 7bks.com Gist

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  • GAE datastore querying integer fields

    - by ParanoidAndroid
    I notice strange behavior when querying the GAE datastore. Under certain circumstances Filter does not work for integer fields. The following java code reproduces the problem: log.info("start experiment"); DatastoreService datastore = DatastoreServiceFactory.getDatastoreService(); int val = 777; // create and store the first entity. Entity testEntity1 = new Entity(KeyFactory.createKey("Test", "entity1")); Object value = new Integer(val); testEntity1.setProperty("field", value); datastore.put(testEntity1); // create the second entity by using BeanUtils. Test test2 = new Test(); // just a regular bean with an int field test2.setField(val); Entity testEntity2 = new Entity(KeyFactory.createKey("Test", "entity2")); Map<String, Object> description = BeanUtilsBean.getInstance().describe(test2); for(Entry<String,Object> entry:description.entrySet()){ testEntity2.setProperty(entry.getKey(), entry.getValue()); } datastore.put(testEntity2); // now try to retrieve the entities from the database... Filter equalFilter = new FilterPredicate("field", FilterOperator.EQUAL, val); Query q = new Query("Test").setFilter(equalFilter); Iterator<Entity> iter = datastore.prepare(q).asIterator(); while (iter.hasNext()) { log.info("found entity: " + iter.next().getKey()); } log.info("experiment finished"); the log looks like this: INFO: start experiment INFO: found entity: Test("entity1") INFO: experiment finished For some reason it only finds the first entity even though both entities are actually stored in the datastore and both 'field' values are 777 (I see it in the Datastore Viewer)! Why does it matter how the entity is created? I would like to use BeanUtils, because it is convenient. The same problem occurs on the local devserver and when deployed to GAE.

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