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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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  • 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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  • 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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  • 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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  • Cocoa NSTextField Drag & Drop Requires Subclass... Really?

    - by ipmcc
    Until today, I've never had occasion to use anything other than an NSWindow itself as an NSDraggingDestination. When using a window as a one-size-fits-all drag destination, the NSWindow will pass those messages on to its delegate, allowing you to handle drops without subclassing NSWindow. The docs say: Although NSDraggingDestination is declared as an informal protocol, the NSWindow and NSView subclasses you create to adopt the protocol need only implement those methods that are pertinent. (The NSWindow and NSView classes provide private implementations for all of the methods.) Either a window object or its delegate may implement these methods; however, the delegate’s implementation takes precedence if there are implementations in both places. Today, I had a window with two NSTextFields on it, and I wanted them to have different drop behaviors, and I did not want to allow drops anywhere else in the window. The way I interpret the docs, it seems that I either have to subclass NSTextField, or make some giant spaghetti-conditional drop handlers on the window's delegate that hit-checks the draggingLocation against each view in order to select the different drop-area behaviors for each field. The centralized NSWindow-delegate-based drop handler approach seems like it would be onerous in any case where you had more than a small handful of drop destination views. Likewise, the subclassing approach seems onerous regardless of the case, because now the drop handling code lives in a view class, so once you accept the drop you've got to come up with some way to marshal the dropped data back to the model. The bindings docs warn you off of trying to drive bindings by setting the UI value programmatically. So now you're stuck working your way back around that too. So my question is: "Really!? Are those the only readily available options? Or am I missing something straightforward here?" Thanks.

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  • WCF with MANY database connections

    - by Jorge Dominguez
    I'm working in the development of an ERP type .Net WinForms application consuming a WCF service. It's to be used by many small companies (in the range of 100-200). Database is SQL Server 2008 and the service will be hosted as a Windows service. Even thought there will be a single DB Server, our customer insists in having separate databases for each company. That is because of stability/support concerns (like DB being damaged or took offline for some reason thus affecting all clients). Concerns coming from previous experiences (not necessarily with same platform). With a single database, connections to the DB would be opened at service start up and pooling used, but, I'm not sure how connections could be managed in a multiple DB scenario: Could a connection to the corresponding DB be opened and closed for each service request? would performance be acceptable? If a connection is opened and maintained for each company accessing the system, what's the practical limit of opened connections (to different databases)? It would be very interesting to hear your opinions and suggestions for this situation. Tanks

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  • useer degined Copy ctor, and copy-ctors further down the chain - compiler bug ? programers brainbug

    - by J.Colmsee
    Hi. i have a little problem, and I am not sure if it's a compiler bug, or stupidity on my side. I have this struct : struct BulletFXData { int time_next_fx_counter; int next_fx_steps; Particle particles[2];//this is the interesting one ParticleManager::ParticleId particle_id[2]; }; The member "Particle particles[2]" has a self-made kind of smart-ptr in it (resource-counted texture-class). this smart-pointer has a default constructor, that initializes to the ptr to 0 (but that is not important) I also have another struct, containing the BulletFXData struct : struct BulletFX { BulletFXData data; BulletFXRenderFunPtr render_fun_ptr; BulletFXUpdateFunPtr update_fun_ptr; BulletFXExplosionFunPtr explode_fun_ptr; BulletFXLifetimeOverFunPtr lifetime_over_fun_ptr; BulletFX( BulletFXData data, BulletFXRenderFunPtr render_fun_ptr, BulletFXUpdateFunPtr update_fun_ptr, BulletFXExplosionFunPtr explode_fun_ptr, BulletFXLifetimeOverFunPtr lifetime_over_fun_ptr) :data(data), render_fun_ptr(render_fun_ptr), update_fun_ptr(update_fun_ptr), explode_fun_ptr(explode_fun_ptr), lifetime_over_fun_ptr(lifetime_over_fun_ptr) { } /* //USER DEFINED copy-ctor. if it's defined things go crazy BulletFX(const BulletFX& rhs) :data(data),//this line of code seems to do a plain memory-copy without calling the right ctors render_fun_ptr(render_fun_ptr), update_fun_ptr(update_fun_ptr), explode_fun_ptr(explode_fun_ptr), lifetime_over_fun_ptr(lifetime_over_fun_ptr) { } */ }; If i use the user-defined copy-ctor my smart-pointer class goes crazy, and it seems that calling the CopyCtor / assignment operator aren't called as they should. So - does this all make sense ? it seems as if my own copy-ctor of struct BulletFX should do exactly what the compiler-generated would, but it seems to forget to call the right constructors down the chain. compiler bug ? me being stupid ? Sorry about the big code, some small example could have illustrated too. but often you guys ask for the real code, so well - here it is :D

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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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  • Cakephp, Route old google search results to new home page

    - by ion
    Hi there, I have created a new website for a company and I would like all the previous search engine results to be redirected. Since there were quite a few pages and most of them where using an id I would like to use something generic instead of re-routing all the old pages. My first thought was to do that: Router::connect('/*', array('controller' => 'pages', 'action' => 'display', 'home')); And put that at the very end of the routes.php file [since it is prioritized] so that all requests not validating with previous route actions would return true with this one and redirect to homepage. However this does not work. I'm pasting my routes.php file [since it is small] hoping that someone could give me a hint: Router::connect('/', array('controller' => 'pages', 'action' => 'display', 'home')); Router::connect('/company/*', array('controller' => 'articles', 'action' => 'view')); Router::connect('/contact/*', array('controller' => 'contacts', 'action' => 'view')); Router::connect('/lang/*', array('controller' => 'p28n', 'action' => 'change')); Router::connect('/eng/*', array('controller' => 'p28n', 'action' => 'shuntRequest', 'lang' => 'eng')); Router::connect('/gre/*', array('controller' => 'p28n', 'action' => 'shuntRequest', 'lang' => 'gre')); Router::parseExtensions('xml');

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  • Parallel processing from a command queue on Linux (bash, python, ruby... whatever)

    - by mlambie
    I have a list/queue of 200 commands that I need to run in a shell on a Linux server. I only want to have a maximum of 10 processes running (from the queue) at once. Some processes will take a few seconds to complete, other processes will take much longer. When a process finishes I want the next command to be "popped" from the queue and executed. Does anyone have code to solve this problem? Further elaboration: There's 200 pieces of work that need to be done, in a queue of some sort. I want to have at most 10 pieces of work going on at once. When a thread finishes a piece of work it should ask the queue for the next piece of work. If there's no more work in the queue, the thread should die. When all the threads have died it means all the work has been done. The actual problem I'm trying to solve is using imapsync to synchronize 200 mailboxes from an old mail server to a new mail server. Some users have large mailboxes and take a long time tto sync, others have very small mailboxes and sync quickly.

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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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  • How are developers using source control, I am trying to find the most efficient way to do source con

    - by RJ
    I work in a group of 4 .Net developers. We rarely work on the same project at the same time but it does happen from time to time.We use TFS for source control. My most recent example is a project I just placed into production last night that included 2 WCF services and a web application front end. I worked out of a branch called "prod" because the application is brand new and has never seen the light of day. Now that the project is live, I need to branch off the prod branch for features, bugs, etc... So what is the best way to do this? Do I simple create a new branch and sort of archive the old branch and never use it again? Do I branch off and then merge my branch changes back into the prod branch when I want to deploy to production? And what about the file and assembly version. They are currently at 1.0.0.0. When do they change and why? If I fix a small bug, which number changes if any? If I add a feature, which number changes if any? What I am looking for is what you have found to be the best way to efficiently manage source control. Most places I have worked always seem to bang heads with the source control system in on way or another and I would just like to find out what you have found that works the best.

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  • jQuery Syntax Error - Trying to detect viewport size and select background image to use w/CSS

    - by CuppyCakes
    Hi all. Please be gentle, I'm still learning. I imagine that the solution to my problem is simple and that perhaps I have just been in front of the computer too long. I am trying to detect the size of the viewport, and then use a different sized image for a background on an element depending on the size of the viewport. Here is what I have so far: $(document).ready(function(){ var pageWidth = $(window).width(); if ( pageWidth <= 1280 ) { $('#contact').css('background-image', 'url(../images/contact_us_low.jpg)'); } elseif ( pageWidth > 1280 ) { $('#contact').css('background-image', 'url(../images/contact_us_high.jpg)'); } }); Error: missing ; before statement [Break on this error] elseif ( pageWidth 1280 ) {\n (Line 7) To me it seems like all of my semi-colons are in the right place. Two questions: Am I going about solving the problem in a sensible way? To me a simple conditional should solve this background problem, as the code is merely selecting between two images based on what size it detects the viewport to be. Can you please help point out my n00b syntax error? Sometimes it really does help to have an extra pair of eyes look at something like this, even if small. Thank you kindly for your advice, I will continue poking and perusing the docs I have available to me.

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  • Line End Problem Reading with Scanner Class in Java

    - by dikbas
    I am not an experienced Java programmer and i'm trying to write some text to a file and then read it with Scanner. I know there are lots of ways of doing this, but i want to write records to file with delimiters, then read the pieces. The problem is so small. When I look the output some printing isn't seen(shown in below). I mean the bold line in the Output that is only written "Scanner". I would be appreciated if anyone can answer why "String: " isn't seen there. (Please answer just what i ask) I couldn't understand if it is a simple printing problem or a line end problem with "\r\n". Here is the code and output: import java.io.FileReader; import java.io.FileWriter; import java.io.IOException; import java.util.Scanner; public class Tmp { public static void main(String args[]) throws IOException { int i; boolean b; String str; FileWriter fout = new FileWriter("test.txt"); fout.write("Testing|10|true|two|false\r\n"); fout.write("Scanner|12|one|true|"); fout.close(); FileReader fin = new FileReader("Test.txt"); Scanner src = new Scanner(fin).useDelimiter("[|\\*]"); while (src.hasNext()) { if (src.hasNextInt()) { i = src.nextInt(); System.out.println("int: " + i); } else if (src.hasNextBoolean()) { b = src.nextBoolean(); System.out.println("boolean: " + b); } else { str = src.next(); System.out.println("String: " + str); } } fin.close(); } } Here is the output: String: Testing int: 10 boolean: true String: two String: false Scanner int: 12 String: one boolean: true

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  • summing functions handles in matlab

    - by user552231
    Hi I am trying to sum two function handles, but it doesn't work. for example: y1=@(x)(x*x); y2=@(x)(x*x+3*x); y3=y1+y2 The error I receive is "??? Undefined function or method 'plus' for input arguments of type 'function_handle'." This is just a small example, in reality I actually need to iteratively sum about 500 functions that are dependent on each other. EDIT The solution by Clement J. indeed works but I couldn't manage to generalize this into a loop and ran into a problem. I have the function s=@(x,y,z)((1-exp(-x*y)-z)*exp(-x*y)); And I have a vector v that contains 536 data points and another vector w that also contains 536 data points. My goal is to sum up s(v(i),y,w(i)) for i=1...536 Thus getting one function in the variable y which is the sum of 536 functions. The syntax I tried in order to do this is: sum=@(y)(s(v(1),y,z2(1))); for i=2:536 sum=@(y)(sum+s(v(i),y,z2(i))) end

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  • How do C++ compilers actually pass reference parameters?

    - by T.E.D.
    This question came about as a result of some mixed-langauge programming. I had a Fortran routine I wanted to call from C++ code. Fortran passes all its parameters by reference (unless you tell it otherwise). So I thought I'd be clever (bad start right there) in my C++ code and define the Fortran routine something like this: extern "C" void FORTRAN_ROUTINE (unsigned & flag); This code worked for a while but (of course right when I needed to leave) suddenly started blowing up on a return call. Clear indication of a munged call stack. Another engineer came behind me and fixed the problem, declaring that the routine had to be deinfed in C++ as extern "C" void FORTRAN_ROUTINE (unsigned * flag); I'd accept that except for two things. One is that it seems rather counter-intuitive for the compiler to not pass reference parameters by reference, and I can find no documentation anywhere that says that. The other is that he changed a whole raft of other code in there at the same time, so it theoretically could have been another change that fixed whatever the issue was. So the question is, how does C++ actually pass reference parameters? Is it perhaps free to do copy-in, copy-out for small values or something? In other words, are reference parameters utterly useless in mixed-language programming? I'd like to know so I don't make this same code-killing mistake ever again.

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  • Trial vs free with limited functionality

    - by Morten K
    Hi everyone, Not a programming question as such, but a bit more business oriented question about software product development. We have just released a small app, and is offering a free, fully functional trial which lasts for 15 days. I have the gut feeling however, that to reach any kind of penetration on the web, we'd need to offer a version which is free forever, but then has a few limitations in terms of functionality (still quite usable, but not full-throttle). For example, the Roboform browser plugin is somewhat similar in purpose to ours. Not functionality wise, but it's basically a little util that saves time and removes some repetitive-action pain. They offer a free version with limitations and then a pro version for around 30 USD. Roboform has gotten very much attention over the years, and I can't help to think that this is because they have a product which is obviously good, but also free, thus adoption becomes much higher than if they had only offered a 15 day trial. I am wondering if any of you have experience in a similar scenario? Or any thoughts on the two models? Again, I know it's not directly programming related, but it's still a question I feel best answered by a community of developers.

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  • Loading city/state from SQL Server to Google Maps?

    - by knawlejj
    I'm trying to make a small application that takes a city & state and geocodes that address to a lat/long location. Right now I am utilizing Google Map's API, ColdFusion, and SQL Server. Basically the city and state fields are in a database table and I want to take those locations and get marker put on a Google Map showing where they are. This is my code to do the geocoding, and viewing the source of the page shows that it is correctly looping through my query and placing a location ("Omaha, NE") in the address field, but no marker, or map for that matter, is showing up on the page: function codeAddress() { <cfloop query="GetLocations"> var address = document.getElementById(<cfoutput>#Trim(hometown)#,#Trim(state)#</cfoutput>).value; if (geocoder) { geocoder.geocode( {<cfoutput>#Trim(hometown)#,#Trim(state)#</cfoutput>: address}, function(results, status) { if (status == google.maps.GeocoderStatus.OK) { var marker = new google.maps.Marker({ map: map, position: results[0].geometry.location, title: <cfoutput>#Trim(hometown)#,#Trim(state)#</cfoutput> }); } else { alert("Geocode was not successful for the following reason: " + status); } }); } </cfloop> } And here is the code to initialize the map: var geocoder; var map; function initialize() { geocoder = new google.maps.Geocoder(); var latlng = new google.maps.LatLng(42.4167,-90.4290); var myOptions = { zoom: 5, center: latlng, mapTypeId: google.maps.MapTypeId.ROADMAP } var marker = new google.maps.Marker({ position: latlng, map: map, title: "Test" }); map = new google.maps.Map(document.getElementById("map_canvas"), myOptions); } I do have a map working that uses lat/long that was hard coded into the database table, but I want to be able to just use the city/state and convert that to a lat/long. Any suggestions or direction? Storing the lat/long in the database is also possible, but I don't know how to do that within SQL.

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  • Converting Source ASCII Files to JPEGs

    - by CommonsWare
    I publish technical books, in print, PDF, and Kindle/MOBI, with EPUB on the way. The Kindle does not support monospace fonts, which are kinda useful for source code listings. The only way to do monospace fonts is to convert the text (Java source, HTML, XML, etc.) into JPEG images. More specifically, due to pagination issues, a given input ASCII file needs to be split into slices of ~6 lines each, with each slice turned into a JPEG, so listings can span a screen. This is a royal pain. My current mechanism to do that involves: Running expand to set a consistent 2-space tab size, which pipes to... a2ps, which pipes to... A small Perl snippet to add a "%%LanguageLevel: 3\n" line, which pipes to... ImageMagick's convert, to take the (E)PS and make a JPEG out it, with an appropriate background, cropped to 575x148+5+28, etc. That used to work 100% of the time. It now works 95% of the time. The rest of the time, I get convert: geometry does not contain image errors, which I cannot seem to get rid of, in part because I don't understand what the problem is. Before this process, I used to use a pretty-print engine (source-highlight) to get HTML out of the source code...but then the only thing I could find to convert the HTML into JPEGs was to automate screen-grabs from an embedded Gecko engine. Reliability stank, which is why I switched to my current mechanism. So, if you were you, and you needed to turn source listings into JPEG images, in an automated fashion, how would you do it? Bonus points if it offers some sort of pretty-print process (e.g., bolded keywords)! Or, if you know what typically causes convert: geometry does not contain image, that might help. My current process is ugly, but if I could get it back to 100% reliability, that'd be just fine for now. Thanks in advance!

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  • Getting moved out of a development job

    - by Jay
    I'm a year out of college and I started my first dev job at a small (<15 people) company several months ago. It was an internship position that recently turned full time. The position started out as development but for full time I got offered a grab bag of positions: qa, docs, call support and some dev work. It's clear that my employers feel I am lacking dev skills, which is true. I did not major in CS in college and did not have much dev experience. However, I'm convinced that I can be a good developer and I will be a good developer once given the chance to write lots of code. My question is simple: what should I do? As I see it, there are two options. Work hard in the non-dev duties so that my employers may eventually give me significant dev responsibilities. Look for a new job where I will be a developer first and an all purpose guy second (if at all). Thanks guys.

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  • How does Crystal Reports Runtime Licensing work?

    - by GluedHands
    I am designing an application in C# and I want to use some Crystal Reports in my application. I am selling this application as freelance to a small business. This is my first program that I have ever sold. I have Crystal Reports 2008 that I am using to design reports with. Do I need to get any kind of licensing from Business Objects to include the Crystal Reports Runtime for report printing in my application? Or do I not need to worry about it as long as I have a licensed version of Crystal Reports 2008 on my development machine. The client would only need be able to print the reports that I have designed on my machine, not design their own. The reports would be saved as a file. The application will load the saved report and print it with provided data. I did see this article which answers the most part of my question. However, it does not include whether it covers loading saved report documents? Any additional related information for a commercial product newbie is gladly appreciated.

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  • What's an effective way to move data from one open browser tab to another?

    - by slk
    I am looking for a quick way to grab some data off of one Web page and throw it into another. I don't have access to the query string in the URL of the second page, so passing the data that way is not an option. Right now, I am using a Greasemonkey user script in tandem with a JS bookmarklet trigger: javascript:doIt(); // ==UserScript== // @include public_site // @include internal_site // ==/UserScript== if (document.location.host.match(internal_site)) { var datum1 = GM_getValue("d1"); var datum2 = GM_getValue("d2"); } unsafeWindow.doIt = function() { if(document.location.host.match(public_site)) { var d1 = innerHTML of page element 1; var d2 = innerHTML of page element 2; //Next two lines use setTimeout to bypass GM_setValue restriction window.setTimeout(function() {GM_setValue("d1", d1);}, 0); window.setTimeout(function() {GM_setValue("d2", d2);}, 0); } else if(document.location.host.match(internal_site)) { document.getElementById("field1").value = datum1; document.getElementById("field2").value = datum2; } } While I am open to another method, I would prefer to stay with this basic model if possible, as this is just a small fraction of the code in doIt() which is used on several other pages, mostly to automate date-based form fills; people really like their "magic button." The above code works, but there's an interruption to the workflow: In order for the user to know which page on the public site to grab data from, the internal page has to be opened first. Then, once the GM cookie is set from the public page, the internal page has to be reloaded to get the proper information into the internal page variables. I'm wondering if there's any way to GM_getValue() at bookmarklet-clicktime to prevent the need for a refresh. Thanks!

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  • How can I make Access think there is a primary key

    - by user3692757
    I have a table and I'm trying to join it with another table, but it doesn't have a distinctive primary key. The two tables do share similarities, “Acct” and “Location”. If I could concatenate “Acct&Location” it would become a primary key, but Access won’t let me make a primary key from a calculation. I provided a small sample below. Each hospital has an “Acct”, but the “Acct” will show up once for each “Location”. How can I make join these in a relationship? I connected the two in a relationships and tried to “Enforce Referential Integrity”, but it indicated “No unique index found for the referenced field of the primary key”. Also, if I run a “Find UnMatched Query” it doesn’t find anything. I think its because I can’t make it realize that in combination “Acct” and “Location” can be perceived as primary keys when used in conjunction of each other. Acct 1 2 3 1 2 3 1 2 3| Location ABI ABI ABI NHO NHO NHO NTX NTX NTX I tried to load an image to illustrate it better, but I haven't made enough post.

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  • Forming triangles from points and relations

    - by SiN
    Hello, I want to generate triangles from points and optional relations between them. Not all points form triangles, but many of them do. In the initial structure, I've got a database with the following tables: Nodes(id, value) Relations(id, nodeA, nodeB, value) Triangles(id, relation1_id, relation2_id, relation3_id) In order to generate triangles from both nodes and relations table, I've used the following query: INSERT INTO Triangles SELECT t1.id, t2.id , t3.id, FROM Relations t1, Relations t2, Relations t3 WHERE t1.id < t2.id AND t3.id > t1.id AND ( t1.nodeA = t2.nodeA AND (t3.nodeA = t1.nodeB AND t3.nodeB = t2.nodeB OR t3.nodeA = t2.nodeB AND t3.nodeB = t1.nodeB) OR t1.nodeA = t2.nodeB AND (t3.nodeA = t1.nodeB AND t3.nodeB = t2.nodeA OR t3.nodeA = t2.nodeA AND t3.nodeB = t1.nodeB) ) It's working perfectly on small sized data. (~< 50 points) In some cases however, I've got around 100 points all related to each other which leads to thousands of relations. So when the expected number of triangles is in the hundreds of thousands, or even in the millions, the query might take several hours. My main problem is not in the select query, while I see it execute in Management Studio, the returned results slow. I received around 2000 rows per minute, which is not acceptable for my case. As a matter of fact, the size of operations is being added up exponentionally and that is terribly affecting the performance. I've tried doing it as a LINQ to object from my code, but the performance was even worse. I've also tried using SqlBulkCopy on a reader from C# on the result, also with no luck. So the question is... Any ideas or workarounds?

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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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