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  • wrap from last screen to first screen in android Launcher2

    - by poboy975
    hi, I'm learning java and android. and I've been looking at trying to wrap the last screen to the first screen in the android Launcher2. I've tried googleing, and searching here, but there really isnt much information about the launcher2 source...I've been modifying the workspace.java file, but there has been minimal effect. no wrap around so far...I have not been able to find a .xml file that also might control the hard stop when you reach the end of the screens. I'll give a small example of the code that i have been modifying. original code: public void scrollRight() { clearVacantCache(); if (mNextScreen == INVALID_SCREEN && mCurrentScreen < getChildCount() -1 && mScroller.isFinished()) { snapToScreen(mCurrentScreen + 1); } modified code: public void scrollRight() { clearVacantCache(); if (mNextScreen == INVALID_SCREEN && mCurrentScreen < getChildCount() -1 && mScroller.isFinished()) { snapToScreen(mCurrentScreen + 1); }if (mCurrentScreen == getChildCount() -1 && mScroller.isFinished()) { snapToScreen(0); I would appreciate any tips or pointers if anyone has an idea where i'm going wrong, or someplace i can search to get the answers. the code looks to me like it should work, but I'm probably missing something obvious.

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  • Threshold of blurry image - part 2

    - by 1''
    How can I threshold this blurry image to make the digits as clear as possible? In a previous post, I tried adaptively thresholding a blurry image (left), which resulted in distorted and disconnected digits (right): Since then, I've tried using a morphological closing operation as described in this post to make the brightness of the image uniform: If I adaptively threshold this image, I don't get significantly better results. However, because the brightness is approximately uniform, I can now use an ordinary threshold: This is a lot better than before, but I have two problems: I had to manually choose the threshold value. Although the closing operation results in uniform brightness, the level of brightness might be different for other images. Different parts of the image would do better with slight variations in the threshold level. For instance, the 9 and 7 in the top left come out partially faded and should have a lower threshold, while some of the 6s have fused into 8s and should have a higher threshold. I thought that going back to an adaptive threshold, but with a very large block size (1/9th of the image) would solve both problems. Instead, I end up with a weird "halo effect" where the centre of the image is a lot brighter, but the edges are about the same as the normally-thresholded image: Edit: remi suggested morphologically opening the thresholded image at the top right of this post. This doesn't work too well. Using elliptical kernels, only a 3x3 is small enough to avoid obliterating the image entirely, and even then there are significant breakages in the digits:

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  • Problem with thumbnails after newly added - PHP on-the-fly method

    - by Wayne
    Hey again... to those that may have read my previous question that got solved a couple minutes ago .< The on-the-fly php script works perfectly, but when I went to upload new images into a gallery which I made myself, the images are resized to 150 x 150 for what I wanted... however, when it comes to new images being added it is all black... As you can see the three black images that were uploaded to the folder and the directory added to the database. What is causing this? If I view the source, the code is fine... the while loop in the PHP generates an output like this: <div class="view-wrap" id="photo-10"> <div class="view-icon"> <div class="img-label"> <a href="#" id="10" class="delete"><img src="img/small-delete.png" /> Delete</a> </div> <a href="img/events/Paintballing/24251_1395408043148_1170626626_1204038_5382765_n.jpg"> <img src="image.php?dir=img/events/Paintballing/24251_1395408043148_1170626626_1204038_5382765_n.jpg" alt="" width="110" height="110" /> </a> </div> </div> An example of one block. If I view the source (in Firefox) and click on the image.php?dir=img/events/Paintballing/24251_1395408043148_1170626626_1204038_5382765_n.jpg by exmaple, I can see the thumbnail at it's 150 x 150 size but in the layout, it shows a black thumbnail... Does anyone know why this is happening?

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  • On C++ global operator new: why it can be replaced

    - by Jimmy
    I wrote a small program in VS2005 to test whether C++ global operator new can be overloaded. It can. #include "stdafx.h" #include "iostream" #include "iomanip" #include "string" #include "new" using namespace std; class C { public: C() { cout<<"CTOR"<<endl; } }; void * operator new(size_t size) { cout<<"my overload of global plain old new"<<endl; // try to allocate size bytes void *p = malloc(size); return (p); } int main() { C* pc1 = new C; cin.get(); return 0; } In the above, my definition of operator new is called. If I remove that function from the code, then operator new in C:\Program Files (x86)\Microsoft Visual Studio 8\VC\crt\src\new.cpp gets called. All is good. However, in my opinion, my implementations of operator new does NOT overload the new in new.cpp, it CONFLICTS with it and violates the one-definition rule. Why doesn't the compiler complain about it? Or does the standard say since operator new is so special, one-definition rule does not apply here? Thanks.

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  • R plotting multiple histograms on single plot to .pdf as a part of R batch script

    - by Bryce Thomas
    I am writing R scripts which play just a small role in a chain of commands I am executing from a terminal. Basically, I do much of my data manipulation in a Python script and then pipe the output to my R script for plotting. So, from the terminal I execute commands which look something like $python whatever.py | R CMD BATCH do_some_plotting.R. This workflow has been working well for me so far, though I have now reached a point where I want to overlay multiple histograms on the same plot, inspired by this answer to another user's question on Stackoverflow. Inside my R script, my plotting code looks like this: pdf("my_output.pdf") plot(hist(d$original,breaks="FD",prob=TRUE), col=rgb(0,0,1,1/4),xlim=c(0,4000),main="original - This plot is in beta") plot(hist(d$minus_thirty_minutes,breaks="FD",prob=TRUE), col=rgb(1,0,0,1/4),add=T,xlim=c(0,4000),main="minus_thirty_minutes - This plot is in beta") Notably, I am using add=T, which is presumably meant to specify that the second plot should be overlaid on top of the first. When my script has finished, the result I am getting is not two histograms overlaid on top of each other, but rather a 3-page PDF whose 3 individual plots contain the titles: i) Histogram of d$original ii) original - This plot is in beta iii) Histogram of d$minus_thirty_minutes So there's two points here I'm looking to clarify. Firstly, even if the plots weren't overlaid, I would expect just a 2-page PDF, not a 3-page PDF. Can someone explain why I am getting a 3-page PDF? Secondly, is there a correction I can make here somewhere to get just the two histograms plotted, and both of them on the same plot (i.e. 1-page PDF)? The other Stackoverflow question/answer I linked to in the first paragraph did mention that alpha-blending isn't supported on all devices, and so I'm curious whether this has anything to do with it. Either way, it would be good to know if there is a R-based solution to my problem or whether I'm going to have to pipe my data into a different language/plotting engine.

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  • How can I do something when a runloop event is done processing?

    - by quixoto
    I have some processing in my Cocoa app that sometimes ends up calling through a hierarchy of data to do a bunch of work as the result of an event. Each small piece creates and destroys some resources. I don't want those resources around most of the time, but I would like to find a smart way of creating them before all the work and killing them at the end. Short of making those buffers etc available globally from the "parent" or elsewhere, is there a way to know locally in some code when an event loop run has ended? Then I could create them if they're not there, and keep them until the run loop ends, reusing them for any subsequent calls before that time. EDIT: I'm not looking for suggestions on how to restructure my code, which I may do anyways. This issue just brought up the question for me of how to know when the runloop is done. If I were writing in, I dunno, Javascript, I'd use a setTimeout with zero to accomplish end-event cleanup. I suppose an NSTimer with an interval of zero might accomplish this too, but wondering if there's something cleaner. Thanks.

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  • Apache mod_rewrite - forward domain root to subdirectory

    - by DuFace
    I have what I originally assumed to be a simple problem. I am using shared hosting for my website (so I don't have access to the Apache configuration) and have only been given a single folder to store all my content in. This is all well and good but it means that all my subdomains must have their virtual document root's inside public_html, meaning they effectively become a folder on my main domain. What I'd like to do is organise my public_html something like this: public_html/ www/ index.php ... sub1/ index.php ... some_library/ ... This way, all my web content is still in public_html but only a small fraction of it will be served to the client. I can easily achieve this for all the subdomains, but it's the primary domain that I'm having issues with. I created a .htaccess file in public_html with the following: Options +SymLinksIfOwnerMatch # I'm not allowed to use FollowSymLinks RewriteEngine on RewriteBase / RewriteCond %{REQUEST_URI} !^/www [NC] RewriteRule ^(.*)$ /www/$1 [L] This works fairly well, but for some strange reason www.example.com/stuff is translated into a request for www.example.com/www/stuff and hence a 404 error is given. It was my understanding that unless an 'R' flag was specified, mod_rewrite was purely internal so I can't understand why the request is generated as that implies (to me at least) redirection. I assumed this would be a trivial problem to solve as all I actually want to do is forward all requests for the root of www.example.com to a subdirectory, but I've spent hours searching for answers and none are quite correct. I find it difficult to believe I'm the only person to have this issue. I apologise if this question has been answered on here before, I did search and trawl but couldn't find an appropriate answer. Please could someone shed some light on this?

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  • How to understand existing projects

    - by John
    Hi. I am a trainee developer and have been writing .NET applications for about a year now. Most of the work I have done has involved building new applications (mainly web apps) from scratch and I have been given more or less full control over the software design. This has been a great experience however, as a trainee developer my confidence about whether the approaches I have taken are the best is minimal. Ideally I would love to collaborate with more experienced developers (I find this the best was I learn) however in the company I work for developers tend to work in isolation (a great shame for me). Recently I decided that a good way to learn more about how experienced developers approach their design might be to explore some open source projects. I found myself a little overwhelmed by the projects I looked at. With my level of experience it was hard to understand the body of code I faced. My question is slight fuzzy one. How do developers approach the task of understanding a new medium to large scale project. I found myself pouring over lots of code and struggling to see the wood for the trees. At any one time I felt that I could understand a small portion of the system but not see how its all fits together. Do others get this same feeling? If so what approaches do you take to understanding the project? Do you have any other advice about how to learn design best practices? Any advice will be very much appreciated. Thank you.

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  • Loading dynamic external content into the Div of another on click

    - by Robin I Knight
    Trying to load an external php file into another onClick. Iframes will not work as the size of the content changes with collapsible panels. That leaves AJAX. I was given a piece of code HTML <a href="#" id="getData">Get data</a> <div id="myContainer"></div> JS $('#getData').click(function(){ $.get('data.php', { section: 'mySection' }, function(data){ $('#myContainer').html(data); }); }); PHP: <?php if($_GET['section'] === 'mySection') echo '<span style="font-weigth:bold;">Hello World</span>'; ?> I have tested it here http://www.divethegap.com/scuba-diving-programmes-dive-the-gap/programme-pages/dahab-divemaster/divemaster-trainingA.php and get the most unexpected results. It certainly loads the right amount of items as it says in the lower bar on safari but I see three small calendars and that is it. Can anyone see where I have made a mistake?

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  • How do you use indent in vim for web development?

    - by Somebody still uses you MS-DOS
    I'm starting to use Linux and Vim at work. I'm starting to read vims documentation and creating my own .vimrc file and such. I'm a web developer working with HTML, XML, CSS, JS, Python, PHP, ZPT, DTML and SQL. I would like to have an indent feature like this one: for each language/set, a corresponding indent solution. So, in js, writing function test(){|} would turn in function test(){ | } If php, writing <?php function test(){|}: <?php function test(){ | } <?php> ...and such. Writing a function definition in Python, and then creating a for loop sentece, it would automatically create an indent. I'm starting with autoindent, smartindent, cindent but I'm a little confused about their differences. How do the indent in vim works? Am I supposed to download plugins for each language? Is the behavior I described possible with already existing plugins you're used to or do I have to create it? I keep seeing people using Vim and I'm trying to do this as well since the machine I'm using is too limited, but I'm afraid I won't be able to have a decent auto indenting solution in it. (I have used autoindenting in a little small project in Visual Studio, and really liked their approach. Is there a plugin for that?)

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  • PHP: problem rendering large images (error 321)

    - by JP19
    Hi ... its me again with a php problem :) Following is part of my PHP script which is rendering JPEG images. ... $tf=$requested_file; $image_type="jpeg"; header("Content-type: image/${image_type}"); $CMD="\$image=imagecreatefrom${image_type}('$tf'); image${image_type}(\$image);"; eval($CMD); exit; ... There is no syntactical error, because above code is working fine for small images, but for large images, it gives: Error 321 (net::ERR_INVALID_CHUNKED_ENCODING): Unknown error. in the browser. To be sure, I created two images using imagemagick from same source image - one resized to 10% of original and other 90%. http://mostpopularsports.net/images/misc/ttt10.jpg works http://mostpopularsports.net/images/misc/ttt90.jpg gives Error 301 in the browser. There is a related question with solution posted by OP here Error writing content through Apache. but I cannot understand how to make the fix. Can someome help me with it? I have looked at the headers in Chrome. For the first request, everything is fine. For the second request - the request headers are all garbled. Both images are jpeg (as they are created from imagemagick. But still to be sure I checked): misc/ttt10.jpg: JPEG image data, JFIF standard 1.01 misc/ttt90.jpg: JPEG image data, JFIF standard 1.01 Finally, the way I fixed is, remove the Transfer-Encoding: chunked header from the response. [This header was sent by apache only when the data was large enough]. (I had an internal proxy, so did it in the proxy script - otherwise one may need to do it in apache settings). There were some good answers and I have selected the one that helped me solve the problem best. thanks JP

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  • Linq to SQL duplicating entry when referencing FK

    - by Oscar
    Hi! I am still facing some problems when using LINQ-to-SQL. I am also looking for answers by myself, but this problem is so akward that I am having problems to find the right keywords to look for it. I have this code here: public CustomTask SaveTask(string token, CustomTask task) { TrackingDataContext dataConext = new TrackingDataContext(); //Check the token for security if (SessionTokenBase.Instance.ExistsToken(Convert.ToInt32(token)) == null) return null; //Populates the Task - the "real" Linq to SQL object Task t = new Task(); t.Title = task.Title; t.Description = task.Description; //****The next 4 lines are important**** if (task.Severity != null) t.Severity = task.Severity; else t.SeverityID = task.SeverityID; t.StateID = task.StateID; if (task.TeamMember != null) t.TeamMember = task.TeamMember; else t.ReporterID = task.ReporterID; if (task.ReporterTeam != null) t.Team = task.ReporterTeam; else t.ReporterTeamID = task.ReporterTeamID; //Saves/Updates the task dataConext.Tasks.InsertOnSubmit(t); dataConext.SubmitChanges(); task.ID = t.ID; return task; } The problem is that I am sending the ID of the severity, and then, when I get this situation: DB State before calling the method: ID Name 1 high 2 medium 3 low Call the method selecting "medium" as severity DB State after calling the method: ID Name 1 high 2 medium 3 low 4 medium The point is: -It identified that the ID was related to the Medium entry (and for this reason it could populate the "Name" Column correctly), but if duplicated this entry. The problem is: Why?!! Some explanation about the code: CustomTask is almost the same as Task, but I was having problems regarding serialization as can be seen here I don't want to send the Severity property populated because I want my message to be as small as possible. Could anyone clear to my, why it recognize the entry, but creates a new entry in the DB?

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  • Reduce durability in MySQL for performance

    - by Paul Prescod
    My site occasionally has fairly predictable bursts of traffic that increase the throughput by 100 times more than normal. For example, we are going to be featured on a television show, and I expect in the hour after the show, I'll get more than 100 times more traffic than normal. My understanding is that MySQL (InnoDB) generally keeps my data in a bunch of different places: RAM Buffers commitlog binary log actual tables All of the above places on my DB slave This is too much "durability" given that I'm on an EC2 node and most of the stuff goes across the same network pipe (file systems are network attached). Plus the drives are just slow. The data is not high value and I'd rather take a small chance of a few minutes of data loss rather than have a high probability of an outage when the crowd arrives. During these traffic bursts I would like to do all of that I/O only if I can afford it. I'd like to just keep as much in RAM as possible (I have a fair chunk of RAM compared to the data size that would be touched over an hour). If buffers get scarce, or the I/O channel is not too overloaded, then sure, I'd like things to go to the commitlog or binary log to be sent to the slave. If, and only if, the I/O channel is not overloaded, I'd like to write back to the actual tables. In other words, I'd like MySQL/InnoDB to use a "write back" cache algorithm rather than a "write through" cache algorithm. Can I convince it to do that? If this is not possible, I am interested in general MySQL write-performance optimization tips. Most of the docs are about optimizing read performance, but when I get a crowd of users, I am creating accounts for all of them, so that's a write-heavy workload.

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  • Problems with Threading in Python 2.5, KeyError: 51, Help debugging?

    - by vignesh-k
    I have a python script which runs a particular script large number of times (for monte carlo purpose) and the way I have scripted it is that, I queue up the script the desired number of times it should be run then I spawn threads and each thread runs the script once and again when its done. Once the script in a particular thread is finished, the output is written to a file by accessing a lock (so my guess was that only one thread accesses the lock at a given time). Once the lock is released by one thread, the next thread accesses it and adds its output to the previously written file and rewrites it. I am not facing a problem when the number of iterations is small like 10 or 20 but when its large like 50 or 150, python returns a KeyError: 51 telling me element doesn't exist and the error it points out to is within the lock which puzzles me since only one thread should access the lock at once and I do not expect an error. This is the class I use: class errorclass(threading.Thread): def __init__(self, queue): self.__queue=queue threading.Thread.__init__(self) def run(self): while 1: item = self.__queue.get() if item is None: break result = myfunction() lock = threading.RLock() lock.acquire() ADD entries from current thread to entries in file and REWRITE FILE lock.release() queue = Queue.Queue() for i in range(threads): errorclass(queue).start() for i in range(desired iterations): queue.put(i) for i in range(threads): queue.put(None) Python returns with KeyError: 51 for large number of desired iterations during the adding/write file operation after lock access, I am wondering if this is the correct way to use the lock since every thread has a lock operation rather than every thread accessing a shared lock? What would be the way to rectify this?

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  • Question about Multicaste Delegates?

    - by IbrarMumtaz
    I am going through some exam questions for the 70-536 exam and an actual question one developer postedon his blog has popped up in my exam questions. I cannot remember what his answer was .... but below is the question: You need to write a multicast delegate that accepts a DateTime arguement and returns a bool value. Which code segment should you use? A: public delegate int PowerDeviceOn(bool, DateTime) B: public delegate bool PowerDeviceOn(Object, EventArgs) C: public delegate void PowerDeviceOn(DateTime) D: public delegate bool PowerDeviceOn(DateTime) The answer is A. Can someone please explain why? As I already did some research into this question a while ago and so I was sure that it was C, obviously now looking back at the question its clear that I did not read properly. As i was sure I had seen the same one before so I jumped to the most obvious one. A varitation on this question: You need to write a multicast delegate that accepts a DateTime arguement. Which code segment should you use? A: public delegate int PowerDeviceOn(bool, DateTime) B: public delegate bool PowerDeviceOn(Object, EventArgs) C: public delegate void PowerDeviceOn(DateTime) D: public delegate bool PowerDeviceOn(DateTime) Now this is another variation on this quesiton, it still has the same bogus sample answers, as they still kind work in throwing the exam taker off. Notice how by simply keeping the sample asnwers the same and by removing a small portion of the question text, the answer is C and not A. The variation has no official answer as I just conjured it up using the exam question as a baseplate. The answer is definately C. This time round its easy to see why C is correctr but the very first question I have an inkiling but as you know an inkling is not good enough in passing exams. Thanks For Reading.

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  • memcmp,strcmp,strncmp in C

    - by el10780
    I wrote this small piece of code in C to test memcmp() strncmp() strcmp() functions in C. Here is the code that I wrote: #include <stdio.h> #include <stdlib.h> #include <string.h> int main(int argc, char** argv) { char *word1="apple",*word2="atoms"; if (strncmp(word1,word2,5)==0) printf("strncmp result.\n"); if (memcmp(word1,word2,5)==0) printf("memcmp result.\n"); if (strcmp(word1,word2)==0) printf("strcmp result.\n"); } Can somebody explain me the differences because I am confused with these three functions?My main problem is that I have a file in which I tokenize its line of it,the problem is that when I tokenize the word "atoms" in the file I have to stop the process of tokenizing.I first tried strcmp() but unfortunately when it reached to the point where the word "atoms" were placed in the file it didn't stop and it continued,but when I used either the memcmp() or the strncmp() it stopped and I was happy.But then I thought,what if there will be a case in which there is one string in which the first 5 letters are a,t,o,m,s and these are being followed by other letters.Unfortunately,my thoughts were right as I tested it using the above code by initializing word1 to "atomsaaaaa" and word2 to atoms and memcmp() and strncmp() in the if statements returned 0.On the other hand strcmp() it didn't.It seems that I must use strcmp(). I have done google searches but I got more confused as I have seen sites and other forums to define these three differently.If it is possible for someone to give me correct explanations/definitions so I can use them correctly in my source code,I would be really grateful.

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  • What are some arguments to support the position that the Dojo JavasScript library is secure, accessi

    - by LES2
    We have developed a small web application for a client. We decided on the Dojo framework to develop the app (requirements included were full i18n and a11y). Originally, the web app we developed was to be a "prototype", but we made the prototype production quality anyway, just in case. It turns out that the app we developed (or a variant of it) is going to production (many months hence), but it's so awesome that the enterprise architecture group is a little afraid. 508c compliant is a concern, as is security for this group. I now need to justify the use of Dojo to this architecture group, explicitly making the case that Dojo does not pose a security risk and that Dojo will not hurt accessibility (and that Dojo is there to help meet core requirements). Note: the web app currently requires JavaScript to be turned on and a stylesheet to work. We use a relatively minor subset of Dojo: of course, dojo core, and dijit.form.Form, ValidationTextBox and a few others. We do use dojox.grid.DataGrid (but no drag N drop or editable cells, which are not fully a11y). I have done some research of my own, of course, but I any information or advice you have would be most helpful. Regards, LES2

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  • objective-c having issues with an NSDictioary object

    - by Mark
    I have a simple iPhone app that Im learning and I want to have an instance variable called urlLists which is an NSDictionary I have declared it like so: @interface MyViewController : UIViewController <UIPickerViewDataSource, UIPickerViewDelegate>{ IBOutlet UIPickerView *pickerView; NSMutableArray *categories; NSDictionary *urlLists; } @property(retain) NSDictionary *urlLists; @end and in the implementation: @implementation MyViewController @synthesize urlLists; ... - (void)viewDidLoad { [super viewDidLoad]; categories = [[NSMutableArray alloc] init]; [categories addObject:@"Sport"]; [categories addObject:@"Entertainment"]; [categories addObject:@"Technology"]; [categories addObject:@"Political"]; NSArray *objects = [NSArray arrayWithObjects:@"value1", @"value2", @"value3", @"value4", nil]; urlLists = [NSDictionary dictionaryWithObjects:objects forKeys:categories]; for (id key in urlLists) { NSLog(@"key: %@, value: %@", key, [urlLists objectForKey:key]); } } ... @end And, this all works up to here. I have added a UIPicker to my app, and when I select one of the items, I want to Log the one picked and its related entry in my dictionary. -(void) pickerView:(UIPickerView *)thePickerView didSelectRow:(NSInteger)row inComponent:(NSInteger) component { for (id key in self.urlLists) { NSLog(@"key: %@, value: %@", key, [urlLists objectForKey:key]); } } but I get the old EXC_BAD_ACCESS error... I know Im missing something small, but what? Thanks

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  • How Best to Replace PL/SQL with C#?

    - by Mike
    Hi, I write a lot of one-off Oracle SQL queries/reports (in Toad), and sometimes they can get complex, involving lots of unions, joins, and subqueries, and/or requiring dynamic SQL, and/or procedural logic. PL/SQL is custom made for handling these situations, but as a language it does not compare to C#, and even if it did, it's tooling does not, and if even that did, forcing yet another language on the team is something to be avoided whenever possible. Experience has shown me that using SQL for the set based processing, coupled with C# for the procedural processing, is a powerful combination indeed, and far more readable, maintainable and enhanceable than PL/SQL. So, we end up with a number of small C# programs which typically would construct a SQL query string piece by piece and/or run several queries and process them as needed. This kind of code could easily be a disaster, but a good developer can make this work out quite well, and end up with very readable code. So, I don't think it's a bad way to code for smaller DB focused projects. My main question is, how best to create and package all these little C# programs that run ad hoc queries and reports against the database? Right now I create little report objects in a DLL, developed and tested with NUnit, but then I continue to use NUnit as the GUI to select and run them. NUnit just happens to provide a nice GUI for this kind of thing, even after testing has been completed. I'm also interested in suggestions for reporting apps generally. I feel like there is a missing piece or product. The perfect tool would allow writing and running C# inside of Toad, or SQL inside of Visual Studio, along with simple reporting facilities. All ideas will be appreciated, but let's make the assumption that PL/SQL is not the solution.

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  • How can I make hundreds of simultaneously running processes communicate with a database through one

    - by Olfan
    Long speech short: How can I make hundreds of simultaneously running processes communicate with a database through one or few permanent sessions? The whole story: I once built a number crunching engine that handles vast amounts of large data files by forking off one child after another giving each a small number of files to work on. File locking, progress monitoring and result propagation happen in an Oracle database which all (sub-)processes access at various times using an application-specific module which encapsulates DBI. This worked well at first, but now with higher volumes of input data, the number of database sessions (one per child, and they can be very short-lived) constantly being opened and closed is becoming an issue. I now want to centralise database access so that there are only one or few fixed database sessions which handle all database access for all the (sub-)processes. The presence of the database abstraction module should make the changes easy because the function calls in the worker instances can stay the same. My problem is that I cannot think of a suitable way to enhance said module in order to establish communication between all the processes and the database connector(s). I thought of message queueing, but couldn't come up with a way of connecting a large herd of requestors with one or few database connectors in a way so that bidirectional communication is possible (for collecting the query result). An asynchronous approach could help here in that all requests are written to the same queue and the database connector servicing the request will "call back" to submit the result. But my mind fails me in generating an image clear enough so that I can paint into code. Threading instead of forking might have given me an easier start, but this would now require massive changes to the code base that I'm not prepared to do to a live system. The more I think of it, the more the base idea looks like a pre-forked web server to me only that it doesn't serve web pages but database queries. Any ideas on what to dig into, and where? Sample (pseudo) code to inspire me, links to possibly related articles, ready solutions on CPAN maybe?

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  • PHP Function parameters - problem with var not being set

    - by Marty
    So I am obviously not a very good programmer. I have written this small function: function dispAdjuggler($atts) { extract(shortcode_atts(array( 'slot' => '' ), $atts)); $adspot = ''; $adtype = ''; // Get blog # we're on global $blog_id; switch ($blog_id) { case 1: // root blog HOME page if (is_home()) { switch ($slot) { case 'top_leaderboard': $adspot = '855525'; $adtype = '608934'; break; case 'right_halfpage': $adspot = '855216'; $adtype = '855220'; break; case 'right_med-rectangle': $adspot = '858222'; $adtype = '613526'; break; default: throw new Exception("Ad slot is not defined"); break; } When I reference the function on a page like so: <?php dispAdjuggler("top_leaderboard"); ?> The switch is throwing the default exception. What am I doing wrong here? Thanks!!

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  • Can I write a .NETCF Partial Class to extend System.Windows.Forms.UserControl?

    - by eidylon
    Okay... I'm writing a .NET CF (VBNET 2008 3.5 SP1) application, which has one master form, and it dynamically loads specific UserControls based on menu click, in a sort of framework idea. There are certain methods and properties these controls all need to work within the app. Right now I am doing this as an Interface, but this is aggravating as all get up, because some of the methods are optional, and yet I MUST implement them by the nature of interfaces. I would prefer to use inheritance, so that I can have certain code be inherited with overridability, but if I write a class which inherits System.Windows.Forms.UserControl and then inherit my control from that, it squiggles, and tells me that UserControls MUST inherit directly from System.Windows.Forms.UserControl. (Talk about a design flaw!) So next I thought, well, let me use a partial class to extend System.Windows.Forms.UserControl, but when I do that, even though it all seems to compile fine, none of my new properties/methods show up on my controls. Is there any way I can use partial classes to 'extend' System.Windows.Forms.UserControl? For example, can anyone give me a code sample of a partial class which simply adds a MyCount As Integer readonly property to the System.Windows.Forms.UserControl class? If I can just see how to get this going, I can take it from there and add the rest of my functionality. Thanks in advance! I've been searching google, but can't find anything that seems to work for UserControl extension on .NET CF. And the Interface method is driving me crazy as even a small change means updating ALL the controls whether they need to 'override' the method or not.

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  • SPSS - sum of squares change radically with slight model changes in ANOVA??

    - by Pat
    I have noticed that the sum of squares in my models can change fairly radically with even the slightest adjustment to my models???? Is this normal???? I'm using SPSS 16, and both models presented below used the same data and variables with only one small change - categorizing one of the variables as either a 2 level or 3 level variable. Details - using a 2 x 2 x 6 mixed model ANOVA with the 6 being the repeated measure i get the following in the between group analysis ------------------------------------------------------------ Source | Type III SS | df | MS | F | Sig ------------------------------------------------------------ intercept | 4086.46 | 1 | 4086.46 | 104.93 | .000 X | 224.61 | 1 | 224.61 | 5.77 | .019 Y | 2.60 | 1 | 2.60 | .07 | .80 X by Y | 19.25 | 1 | 19.25 | .49 | .49 Error | 2570.40 | 66 | 38.95 | Then, when I use the exact same data but a slightly different model in which variable Y has 3 levels instead of 2 levels I get the following ------------------------------------------------------------ Source | Type III SS | df | MS | F | Sig ------------------------------------------------------------ intercept | 3603.88 | 1 | 3603.88 | 90.89 | .000 X | 171.89 | 1 | 171.89 | 4.34 | .041 Y | 19.23 | 2 | 9.62 | .24 | .79 X by Y | 17.90 | 2 | 17.90 | .80 | .80 Error | 2537.76 | 64 | 39.65 | I don't understand why variable X would have a different sum of squares simply because variable Y gets devided up into 3 levels instead of 2. This is also the case in the within groups analysis too. Please help me understand :D Thank you in advance Pat

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  • why does setting stderr=subprocess.STDOUT fix a subprocess.check_output call?

    - by ShankarG
    I have a python script running on a small server that is called in three different ways - from within another python script, by cron, or by gammu-smsd (an SMS daemon with the wonderful mobile utility [gammu]). The script is for maintenance and contained the following kludge to measure used space on the system (presumably this is possible from within Python, but this was quick and dirty): reportdict['Used Space'] = subprocess.check_output(["df / | tail -1 | awk '{ print $5; }'"], shell=True)[0:-1] Oddly enough this line would only fail when the script was called by a shell script running from gammu-smsd. The line would fail with a CalledProcessError exception saying "returned exit status 2", even though the output attribute of the CalledProcessError object contained the correct output. The only command in the sequence of shell commands that would give such an error status would be awk, with status 2 indicating a fatal error. If the python script with this line was called by cron, by another python script, or from the command line, this line would work fine. I broke my head trying to fix the environment for the script, thinking this must be the problem. Finally though I put in stderr=subprocess.STDOUT, like so: reportdict['Used Space'] = subprocess.check_output(["df / | tail -1 | awk '{ print $5; }'"], stderr=subprocess.STDOUT, shell=True)[0:-1] This was a debug measure to help me figure out if some output was coming on stderr. But after this the script started working, even when called from gammu-smsd! Why might this be the case? I ask for future reference when using subprocess...

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  • Regarding C Static/Non Static Float Arrays (Xcode, Objective C)

    - by user1875290
    Basically I have a class method that returns a float array. If I return a static array I have the problem of it being too large or possibly even too small depending on the input parameter as the size of the array needed depends on the input size. If I return just a float array[arraysize] I have the size problem solved but I have other problems. Say for example I address each element of the non-static float array individually e.g. NSLog(@"array[0] %f array[1] %f array[2] %f",array[0],array[1],array[2]); It prints the correct values for the array. However if I instead use a loop e.g. for (int i = 0; i < 3; i++) { NSLog(@"array[%i] %f",i,array[i]); } I get some very strange numbers (apart from the last index, oddly). Why do these two things produce different results? I'm aware that its bad practice to simply return a non static float, but even so, these two means of addressing the array look the same to me. Relevant code from class method (for non-static version)... float array[arraysize]; //many lines of code later if (weShouldStoreValue == true) { array[index] = theFloat; index = index + 1; } //more lines of code later return array; Note that it returns a (float*).

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