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  • Naming selenium grid nodes. Spawning a specific node

    - by ???? ????
    I'm trying to implement a kind of default queues in selenium hub. There is a possibility to specify node's name (actually its environment, smth like "firefox on ubuntu" or "chrome on windows"). Selenium grid itself has a default queue, it works according to 'First In, First Out' principle. But I want to prioritize some of my tasks given to selenium server. I have no possibility to introduce custom queue (seems like there is no API for that), that's why I decided to separate queue's logic from selenium server. I'll only call a specific node with specific name (environment) for example "firefox important node" or smth like that. So, I want to know how to directly tell selenium which node to use for my task? And generally, am I thinking in a right way? Here are my configs: hubConfig.json.erb { "host": null, "port": <%= node[:selenium][:server][:port] %>, "newSessionWaitTimeout": -1, "servlets" : [], "prioritizer": null, "capabilityMatcher": "org.openqa.grid.internal.utils.DefaultCapabilityMatcher", "throwOnCapabilityNotPresent": true, "nodePolling": <%= node[:selenium][:server][:node_polling] %>, "cleanUpCycle": <%= node[:selenium][:server][:cleanup_cycle] %>, "timeout": <%= node[:selenium][:server][:timeout] %>, "browserTimeout": 0, "maxSession": <%= node[:selenium][:server][:max_session] %> } nodeConfig.json.erb { "capabilities": [ { "browserName": "firefox", "maxInstances": 5, "seleniumProtocol": "WebDriver" }, { "browserName": "chrome", "maxInstances": 5, "seleniumProtocol": "WebDriver" }, { "browserName": "phantomjs", "maxInstances": 5, "seleniumProtocol": "WebDriver" } ], "configuration": { "proxy": "org.openqa.grid.selenium.proxy.DefaultRemoteProxy", "maxSession": <%= node[:selenium][:node][:max_session] %>, "port": <%= node[:selenium][:node][:port] %>, "host": "<%= node[:fqdn] %>", "register": true, "registerCycle": <%= node[:selenium][:node][:register_cycle] %>, "hubPort": <%= node[:selenium][:server][:port] %> } } And my Driver class: ... def remote_driver @browser = Watir::Browser.new(:remote, :url => "http://myhub.com:4444/wd/hub", :http_client => client, :desired_capabilities => capabilities ) end def capabilities Selenium::WebDriver::Remote::Capabilities.send( "firefox", :javascript_enabled => true, :css_selectors_enabled => true, :takes_screenshot => true ) end def client client = Selenium::WebDriver::Remote::Http::Default.new client.timeout = 360 client end ... I still don't know how to use specified node for my task. If I try to start a driver adding :name => "firefox important node" and extend nodeConfig.json.erb's configuration with environments: - name: "firefox important node" browser: "*firefox" - name: "Firefox36 on Linux" browser: "*firefox" selenium just starts random firefox browser on a random node. How can I control it?

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  • embedded Italic, bold fonts don't look the same in flex as in Windows...

    - by Mark
    ...unless they're something like "Times New Roman" or some other established font with a fully designed italic and bold, presumably in seperate files. Let me explain what I mean (though why no one has commented on this before I have no idea.) Numerous, numerous fonts do not have a seperate file for italic and bold, and in fact to the best of my knowledge don't even have italic and bold defined as such. But if you install them on windows (for example) and then use them in an app, You can still make use of italic and bold with those fonts. For italic, and oblique angle is just given to it, presumably by Windows, and it looks the same in all Windows apps, and the bold is just given a heavier weight. OK, well here's the problem: if you embed a font like that in a Flex app, as a "SystemFont" the italic and bold will not look the same as they do in Windows. Specifically, the oblique angle is invariably much less than in Windows (i.e the italic slant is much less) and the bold version is not bold enough. I vaguely recall thinking that there was some flex mechanism to assign custom oblique angles for italic (and weight for bold) but now can't recall what it is. Does anyone know the correct established way to do this. The following is actually a seperate (but related) font question (in case anyone is expert in all this.) Its rather a lengthy question and can be skipped, but its something that's plagued me for a long time. I mention above embedding as a "SystemFont", so iow something like this: package fonts { import flash.display.Sprite; public class FLW_Script_I extends Sprite { [Embed(systemFont='FLW Script', fontName='FLW Script', fontStyle='italic', fntWeight='normal', mimeType='application/x-font-truetype')] public var wrFont:Class; } } The other alternative to SystemFont for embedding, is "Source" followed by the name of an actual font file. If you try to embed one of the aformentioned single file fonts as a Source file (as opposed to SystemFont) and specify fontStyle='italic', then the mxmlc compiler will return an error and say there is no italic info in the font file. So up to now I have only been embedding these fonts as "SystemFont". The problem is, flex uses two different font compilers internally for Source embedding and SystemFont embedding. For source font embeds it uses the "Batik" compiler and for SystemFont, the JRE (Java Runtime) font compiler. Well actually the Batik is considered a superior compiler and generally produces better looking fonts. And also if you mix normal fonts compiled with Batik and italic compiled with JRE, sometimes the line spacing is different for the two, and it doesn't look right. So does anyone have an idea how to get mxmlc to do italic and bold for these single file fonts when embedding as "Source". Would there be a way using C++ or whatever to construct an "italic" font file from the SystemFont for such a font in windows.

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  • CQRS - Should a Command try to create a "complex" master-detail entity?

    - by Simon Crabtree
    I've been reading Greg Young and Udi Dahan's thoughts on Command Query Responsibilty Separation and a lot of what I read strikes a chord with me. My domain (we track vehicles which are doing deliveries) has the concept of a Route which contains one or more Stops. I need my customers to be able to set these up in our system by calling a webservice, and then be able to retrieve information about a Route and how the vehicle is progressing. In the past I would have "cut-down" DTO classes which closely resemble my domain classes, and the customer would create a RouteDto with an array of StopDto(s), and call our CreateRoute webmethod, passing in the RouteDto. When they query our system by calling the GetRouteDetails method, I would return exactly the same objects to them. One of the appealing aspects of CQRS is that the RouteDto might have all manner of properties that the customer wants to query, but have no business setting when they create a Route. So I create a separate CreateRouteRequest class which is passed in when calling the CreateRoute "command", and a Route DTO class which gets returned as a query result. class Route{ string Reference; List<Stop> Stops; } But I need my customer to provide me with Route AND Stop details when they create a route. As I see it I could either... Give my CreateRouteRequest class a Stops(s) property which is an array of "something" representing the data they need to provide about each stop - but what do I call this class? It's not a Stop as that's what I'm calling the list of DTO inside my Route DTO, but I don't like "CreateStopRequest". I also wonder if I'm stuck in a CRUD mindset here thinking in terms of master-detail information and asking the customer to think like that too. class CreateRouteRequest{ string Reference; ... List<CreateStopRequest> Stops; } or They call CreateRoute, and then make a number of calls to an AddStopToRoute method. This feels a bit more "behavioural" but I'm going to lose the ability to treat creating a route including its stops as a single atomic command. If they create a Route and then try to add a Stop which fails due to some validation problem they're going to have a partially correct Route. The fact that I can't come up with a good name for the list of "StopCreationData" objects I'd be working with in option 1, makes me wonder if there's something I'm missing.

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  • File sizing issue in DOS/FAT

    - by Heather
    I've been tasked with writing a data collection program for a Unitech HT630, which runs a proprietary DOS operating system that can run executables compiled for 16-bit MS DOS with some restrictions. I'm using the Digital Mars C/C++ compiler, which is working well thus far. One of the application requirements is that the data file must be human-readable plain text, meaning the file can be imported into Excel or opened by Notepad. I'm using a variable length record format much like CSV that I've successfully implemented using the C standard library file I/O functions. When saving a record, I have to calculate whether the updated record is larger or smaller than the version of the record currently in the data file. If larger, I first shift all records immediately after the current record forward by the size difference calculated before saving the updated record. EOF is extended automatically by the OS to accommodate the extra data. If smaller, I shift all records backwards by my calculated offset. This is working well, however I have found no way to modify the EOF marker or file size to ignore the data after the end of the last record. Most of the time records will grow in size because the data collection program will be filling some of the empty fields with data when saving a record. Records will only shrink in size when a correction is made on an existing entry, or on a normal record save if the descriptive data in the record is longer than what the program reads in memory. In the situation of a shrinking record, after the last record in the file I'm left with whatever data was sitting there before the shift. I have been writing an EOF delimiter into the file after a "shrinking record save" to signal where the end of my records are and space-filling the remaining data, but then I no longer have a clean file until a "growing record save" extends the size of the file over the space-filled area. The truncate() function in unistd.h does not work (I'm now thinking this is for *nix flavors only?). One proposed solution I've seen involves creating a second file and writing all the data you wish to save into that file, and then deleting the original. Since I only have 4MB worth of disk space to use, this works if the file size is less than 2MB minus the size of my program executable and configuration files, but would fail otherwise. It is very likely that when this goes into production, users would end up with a file exceeding 2MB in size. I've looked at Ralph Brown's Interrupt List and the interrupt reference in IBM PC Assembly Language and Programming and I can't seem to find anything to update the file size or similar. Is reducing a file's size without creating a second file even possible in DOS?

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  • WCF Service with callbacks coming from background thread?

    - by Mark Struzinski
    Here is my situation. I have written a WCF service which calls into one of our vendor's code bases to perform operations, such as Login, Logout, etc. A requirement of this operation is that we have a background thread to receive events as a result of that action. For example, the Login action is sent on the main thread. Then, several events are received back from the vendor service as a result of the login. There can be 1, 2, or several events received. The background thread, which runs on a timer, receives these events and fires an event in the wcf service to notify that a new event has arrived. I have implemented the WCF service in Duplex mode, and planned to use callbacks to notify the UI that events have arrived. Here is my question: How do I send new events from the background thread to the thread which is executing the service? Right now, when I call OperationContext.Current.GetCallbackChannel<IMyCallback>(), the OperationContext is null. Is there a standard pattern to get around this? I am using PerSession as my SessionMode on the ServiceContract. UPDATE: I thought I'd make my exact scenario clearer by demonstrating how I'm receiving events from the vendor code. My library receives each event, determines what the event is, and fires off an event for that particular occurrence. I have another project which is a class library specifically for connecting to the vendor service. I'll post the entire implementation of the service to give a clearer picture: [ServiceBehavior( InstanceContextMode = InstanceContextMode.PerSession )] public class VendorServer:IVendorServer { private IVendorService _vendorService; // This is the reference to my class library public VendorServer() { _vendorServer = new VendorServer(); _vendorServer.AgentManager.AgentLoggedIn += AgentManager_AgentLoggedIn; // This is the eventhandler for the event which arrives from a background thread } public void Login(string userName, string password, string stationId) { _vendorService.Login(userName, password, stationId); // This is a direct call from the main thread to the vendor service to log in } private void AgentManager_AgentLoggedIn(object sender, EventArgs e) { var agentEvent = new AgentEvent { AgentEventType = AgentEventType.Login, EventArgs = e }; } } The AgentEvent object contains the callback as one of its properties, and I was thinking I'd perform the callback like this: agentEvent.Callback = OperationContext.Current.GetCallbackChannel<ICallback>(); How would I pass the OperationContext.Current instance from the main thread into the background thread?

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  • many-to-many performance concerns with fluent nhibernate.

    - by Ciel
    I have a situation where I have several many-to-many associations. In the upwards of 12 to 15. Reading around I've seen that it's generally believed that many-to-many associations are not 'typical', yet they are the only way I have been able to create the associations appropriate for my case, so I'm not sure how to optimize any further. Here is my basic scenario. class Page { IList<Tag> Tags { get; set; } IList<Modification> Modifications { get; set; } IList<Aspect> Aspects { get; set; } } This is one of my 'core' classes, and coincidentally one of my core tables. Virtually half of the objects in my code can have an IList<Page>, and some of them have IList<T> where T has its own IList<Page>. As you can see, from an object oriented standpoint, this is not really a problem. But from a database standpoint this begins to introduce a lot of junction tables. So far it has worked fine for me, but I am wondering if anyone has any ideas on how I could improve on this structure. I've spent a long time thinking and in order to achieve the appropriate level of association required, I cannot think of any way to improve it. The only thing I have come up with is to make intermediate classes for each object that has an IList<Page>, but that doesn't really do anything that the HasManyToMany does not already do except introduce another class. It does not extend the functionality and, from what I can tell, it does not improve performance. Any thoughts? I am also concerned about Primary Key limits in this scenario. Most everything needs to be able to have these properties, but the Pages cannot be unique to each object, because they are going to be frequently shared and joined between multiple objects. All relationships are one-sided. (That is, a Page has no knowledge of what owns it). Because of this, I also have no Inverse() mapped HasManyToMany collections. Also, I have read the similar question : Usage of ORMs like NHibernate when there are many associations - performance concerns But it really did not answer my concerns.

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  • SVN: Branches for Every Little Change?

    - by yar
    Hi. We have a client (who has a client, who has a client) who is driving us mad with change requests to a code base (in PHP). Our first response was to just work in a main trunk in SVN, but the client often comes back and requests that a certain change needs to get pushed to the live servers ASAP. On the other hand, other changes get reduced in priority suddenly, which originally came grouped with other changes (seemingly). We are thinking of using a branch for every change request. Is this mad? What other solutions might work? Thanks! Edit: This is a really hard question to choose the correct answer for. Thanks to everybody for your great answers. Edit: I know that the best answer I chose was not particularly popular. I too wanted to find a technical solution to this problem. But now I think that if the client wants software with features that can be deployed in a modular fashion... this problem should not be solved in our use of the version control system. It would have to be designed into the software. Edit: Now it's almost a month later and my coworker/client has convinced me that multiple branches is the way to go. This is not just due to the client's insanity, but also based on our need to be able to determine if a feature is "ready to go" or "needs more work" or whatever. I don't have the SVN with me, but we merge using the advice from the SVN Cookbook: you merge the branch from the revision it was branched to the head revision. Also, using this system, we merge all branches at some point and that becomes the new QA and then live build. Then we branch from that. Last Edit (Perhaps): Months later, this system is still working out for us. We create branches for every ticket and rarely have problems. On the other hand, we do try to keep things separate as far as what people are working on... Two Years Later: We use GIT now, and now this system is actually quite reasonable.

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  • Starting company and getting a good deal

    - by Dan
    Hi, I'm having the possibility to start a small company with someone else. I'm a software programmer and been working on a field where there isn't much competition, at least in the platform I'm developing, which is the one with highest market share. This other person comes from marketing so he would find / provide clients and be in charge of the business side. So initially it would be me, the tech guy with the knowledge to develop our product and products based on my development, and this person who would become CEO (basically a 50/50 share). The idea is getting a product on our own, but also perform projects for others in order to get some cash. The problem is that his idea is doing this without initial capital. He tells me that he could get some customers from past business (which is mostly true as he has been in the business for some time) and then with the money obtained from such development, we could hire some freelance developers and build our own platform. I've already discussed with him that I don't find this the best way, provided that we need to compete against other companies some of who are VC funded and have many developers working fulltime. But most of all, I'm thinking of whether this is a fair deal to do, provided that this person is not providing anything other than clients, and I'd be the one having to do the work and dedicate time, thus also taking most of the risks. In all fairness, I'd expect him to put some initial capital, given that initially I'm putting some of my code which in some way is money given the time I've dedicated to it. So the question here is, does this seem fair to you? Is this the way it is usually done? My only concern here is that I don't have previous experience with such deals, and I ignore whether this is the usual thing to do in other cases. Certainly having a marketing person helps a lot. As you probably know being a programmer doesn't make me the most indicated person for marketing ;-) but at the same time I'm not sure if this could be a good deal or I'd just be making a pretty inconvenient deal. Hope I made my point clear, but feel free to let me know if more details are needed. Thanks in advance

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  • Checking to see if a number is evenly divisible by other numbers with recursion in Python

    - by Ernesto
    At the risk of receiving negative votes, I will preface this by saying this is a midterm problem for a programming class. However, I have already submitted the code and passed the question. I changed the name of the function(s) so that someone can't immediately do a search and find the correct code, as that is not my purpose. I am actually trying to figure out what is actually MORE CORRECT from two pieces that I wrote. The problem tells us that a certain fast food place sells bite-sized pieces of chicken in packs of 6, 9, and 20. It wants us to create a function that will tell if a given number of bite-sized piece of chicken can be obtained by buying different packs. For example, 15 can be bought, because 6 + 9 is 15, but 16 cannot be bought, because no combination of the packs will equal 15. The code I submitted and was "correct" on, was: def isDivisible(n): """ n is an int Returns True if some integer combination of 6, 9 and 20 equals n Otherwise returns False. """ a, b, c = 20, 9, 6 if n == 0: return True elif n < 0: return False elif isDivisible(n - a) or isDivisible(n - b) or isDivisible(n - c): return True else: return False However, I got to thinking, if the initial number is 0, it will return True. Would an initial number of 0 be considered "buying that amount using 6, 9, and/or 20"? I cannot view the test cases the grader used, so I don't know if the grader checked 0 as a test case and decided that True was an acceptable answer or not. I also can't just enter the new code, because it is a midterm. I decided to create a second piece of code that would handle an initial case of 0, and assuming 0 is actually False: def isDivisible(n): """ n is an int Returns True if some integer combination of 6, 9 and 20 equals n Otherwise returns False. """ a, b, c = 20, 9, 6 if n == 0: return False else: def helperDivisible(n): if n == 0: return True elif n < 0: return False elif helperDivisible(n - a) or helperDivisible(n - b) or helperDivisible(n - c): return True else: return False return helperDivisible(n) As you can see, my second function had to use a "helper" function in order to work. My overall question, though, is which function do you think would provide the correct answer, if the grader had tested for 0 as an initial input?

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  • How is "clean" testing done on the Macintosh without virtualization?

    - by Schnapple
    One of the things I've run across on Windows is when a web browser plugin or program you're developing makes an assumption that something is installed that, by default, isn't always present on Windows. A perfect example would be .NET - a whole lot of people running Windows XP have never installed any versions of .NET and so the installer needs to detect and remedy this if necessary. The way I've been testing this in Windows is to have a virtual machine with a snapshot of a clean, patched, but otherwise untouched install of XP or Vista or 7 or whatever. When I'm done testing I just discard any changes since the snapshot. Works great. I'm now developing something for the Macintosh, a platform which is very new to me, and I'm seeing that virtualization does not appear to be an option. It's explicitly forbidden in the EULA of Mac OS X, it's only allowed from Mac OS X Server, which seeing as how I'm targeting an end product is of no use to me, and the one program I see which can virtualize it - VirtualBox - only supports the server and actively nukes any discussion of running the consumer/client version of Mac OS X. And the only instructions I find anywhere on the topic seem to involve the use of "hacking" programs which is very much incompatible with the full-time gig I'm trying to do this for. So it looks like virtualization is out, but at various points I'm going to want or need to simulate what it's like to install and run this software on a "clean" Macintosh. How do people usually do this? Just buy multiple Macintoshes and use Time Machine? Am I thinking about this all wrong and everything Just Works? To be clear I'm not trying to run Mac OS X on a Windows machine. I have a Macintosh, I'm fine with virtualizing Mac OS X on Apple hardware, I'm just not seeing a route to making the non-Server version do this. I'm aware that Mac OS X Server can be virtualized but that's not what I'm going for. I'm aware that there are unsanctioned/unsupported methods of making Mac OS X run in virtualization programs like VirtualBox but for legal reasons I am not interested in those. My question is not "how can I do this?" but rather "so this thing I do on Windows seems to not be possible, generally, on the Macintosh, so what do people do to achieve what I'm going for?"

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  • translating specifications into query predicates

    - by Jeroen
    I'm trying to find a nice and elegant way to query database content based on DDD "specifications". In domain driven design, a specification is used to check if some object, also known as the candidate, is compliant to a (domain specific) requirement. For example, the specification 'IsTaskDone' goes like: class IsTaskDone extends Specification<Task> { boolean isSatisfiedBy(Task candidate) { return candidate.isDone(); } } The above specification can be used for many purposes, e.g. it can be used to validate if a task has been completed, or to filter all completed tasks from a collection. However, I want to re-use this, nice, domain related specification to query on the database. Of course, the easiest solution would be to retrieve all entities of our desired type from the database, and filter that list in-memory by looping and removing non-matching entities. But clearly that would not be optimal for performance, especially when the entity count in our db increases. Proposal So my idea is to create a 'ConversionManager' that translates my specification into a persistence technique specific criteria, think of the JPA predicate class. The services looks as follows: public interface JpaSpecificationConversionManager { <T> Predicate getPredicateFor(Specification<T> specification, Root<T> root, CriteriaQuery<?> cq, CriteriaBuilder cb); JpaSpecificationConversionManager registerConverter(JpaSpecificationConverter<?, ?> converter); } By using our manager, the users can register their own conversion logic, isolating the domain related specification from persistence specific logic. To minimize the configuration of our manager, I want to use annotations on my converter classes, allowing the manager to automatically register those converters. JPA repository implementations could then use my manager, via dependency injection, to offer a find by specification method. Providing a find by specification should drastically reduce the number of methods on our repository interface. In theory, this all sounds decent, but I feel like I'm missing something critical. What do you guys think of my proposal, does it comply to the DDD way of thinking? Or is there already a framework that does something identical to what I just described?

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  • How to clean and simplify this code?

    - by alkalim
    After thinking about This Question and giving an answer to it I wanted to do more about that to train myself. So I wrote a function which will calc the length of an given function. Th given php-file has to start at the beginning of the needed function. Example: If the function is in a big phpfile with lots of functions, like /* lots of functions */ function f_interesting($arg) { /* function */ } /* lots of other functions */ then $part3 of my function will require to begin like that (after the starting-{ of the interesting function): /* function */ } /* lots of other functions */ Now that's not the problem, but I would like to know if there are an cleaner or simplier ways to do this. Here's my function: (I already cleaned a lot of testing-echo-commands) (The idea behind it is explained here) function f_analysis ($part3) { if(isset($part3)) { $char_array = str_split($part3); //get array of chars $end_key = false; //length of function $depth = 0; //How much of unclosed '{' $in_sstr = false; //is next char inside in ''-String? $in_dstr = false; //is nect char inside an ""-String? $in_sl_comment = false; //inside an //-comment? $in_ml_comment = false; //inside an /* */-comment? $may_comment = false; //was the last char an '/' which can start a comment? $may_ml_comment_end = false; //was the last char an '*' which may end a /**/-comment? foreach($char_array as $key=>$char) { if($in_sstr) { if ($char == "'") { $in_sstr = false; } } else if($in_dstr) { if($char == '"') { $in_dstr = false; } } else if($in_sl_comment) { if($char == "\n") { $in_sl_comment = false; } } else if($in_ml_comment) { if($may_ml_comment_end) { $may_ml_comment_end = false; if($char == '/') { $in_ml_comment = false; } } if($char == '*') { $may_ml_comment_end = true; } } else if ($may_comment) { if($char == '/') { $in_sl_comment = true; } else if($char == '*') { $in_ml_comment = true; } $may_comment = false; } else { switch ($char) { case '{': $depth++; break; case '}': $depth--; break; case '/': $may_comment = true; break; case '"': $in_dstr = true; break; case "'": $in_sstr = true; break; } } if($depth < 0) { $last_key = $key; break; } } } else echo '<br>$part3 of f_analysis not set!'; return ($last_key===false) ? false : $last_key+1; //will be false or the length of the function }

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  • Condition Variable in Shared Memory - is this code POSIX-conformant?

    - by GrahamS
    We've been trying to use a mutex and condition variable to synchronise access to named shared memory on a LynuxWorks LynxOS-SE system (POSIX-conformant). One shared memory block is called "/sync" and contains the mutex and condition variable, the other is "/data" and contains the actual data we are syncing access to. We're seeing failures from pthread_cond_signal() if both processes don't perform the mmap() calls in exactly the same order, or if one process mmaps in some other piece of shared memory before it mmaps the sync memory. This example code is about as short as I can make it: #include <sys/types.h> #include <sys/stat.h> #include <sys/mman.h> #include <sys/file.h> #include <stdlib.h> #include <pthread.h> #include <errno.h> #include <iostream> #include <string> using namespace std; static const string shm_name_sync("/sync"); static const string shm_name_data("/data"); struct shared_memory_sync { pthread_mutex_t mutex; pthread_cond_t condition; }; struct shared_memory_data { int a; int b; }; //Create 2 shared memory objects // - sync contains 2 shared synchronisation objects (mutex and condition) // - data not important void create() { // Create and map 'sync' shared memory int fd_sync = shm_open(shm_name_sync.c_str(), O_CREAT|O_RDWR, S_IRUSR|S_IWUSR); ftruncate(fd_sync, sizeof(shared_memory_sync)); void* addr_sync = mmap(0, sizeof(shared_memory_sync), PROT_READ|PROT_WRITE, MAP_SHARED, fd_sync, 0); shared_memory_sync* p_sync = static_cast<shared_memory_sync*> (addr_sync); // init the cond and mutex pthread_condattr_t cond_attr; pthread_condattr_init(&cond_attr); pthread_condattr_setpshared(&cond_attr, PTHREAD_PROCESS_SHARED); pthread_cond_init(&(p_sync->condition), &cond_attr); pthread_condattr_destroy(&cond_attr); pthread_mutexattr_t m_attr; pthread_mutexattr_init(&m_attr); pthread_mutexattr_setpshared(&m_attr, PTHREAD_PROCESS_SHARED); pthread_mutex_init(&(p_sync->mutex), &m_attr); pthread_mutexattr_destroy(&m_attr); // Create the 'data' shared memory int fd_data = shm_open(shm_name_data.c_str(), O_CREAT|O_RDWR, S_IRUSR|S_IWUSR); ftruncate(fd_data, sizeof(shared_memory_data)); void* addr_data = mmap(0, sizeof(shared_memory_data), PROT_READ|PROT_WRITE, MAP_SHARED, fd_data, 0); shared_memory_data* p_data = static_cast<shared_memory_data*> (addr_data); // Run the second process while it sleeps here. sleep(10); int res = pthread_cond_signal(&(p_sync->condition)); assert(res==0); // <--- !!!THIS ASSERT WILL FAIL ON LYNXOS!!! munmap(addr_sync, sizeof(shared_memory_sync)); shm_unlink(shm_name_sync.c_str()); munmap(addr_data, sizeof(shared_memory_data)); shm_unlink(shm_name_data.c_str()); } //Open the same 2 shared memory objects but in reverse order // - data // - sync void open() { sleep(2); int fd_data = shm_open(shm_name_data.c_str(), O_RDWR, S_IRUSR|S_IWUSR); void* addr_data = mmap(0, sizeof(shared_memory_data), PROT_READ|PROT_WRITE, MAP_SHARED, fd_data, 0); shared_memory_data* p_data = static_cast<shared_memory_data*> (addr_data); int fd_sync = shm_open(shm_name_sync.c_str(), O_RDWR, S_IRUSR|S_IWUSR); void* addr_sync = mmap(0, sizeof(shared_memory_sync), PROT_READ|PROT_WRITE, MAP_SHARED, fd_sync, 0); shared_memory_sync* p_sync = static_cast<shared_memory_sync*> (addr_sync); // Wait on the condvar pthread_mutex_lock(&(p_sync->mutex)); pthread_cond_wait(&(p_sync->condition), &(p_sync->mutex)); pthread_mutex_unlock(&(p_sync->mutex)); munmap(addr_sync, sizeof(shared_memory_sync)); munmap(addr_data, sizeof(shared_memory_data)); } int main(int argc, char** argv) { if(argc>1) { open(); } else { create(); } return (0); } Run this program with no args, then another copy with args, and the first one will fail at the assert checking the pthread_cond_signal(). But change the open() function to mmap() the "/sync" memory first and it will all work fine. This seems like a major bug in LynxOS but LynuxWorks claim that using mutex and condition variable in this way is not covered by the POSIX standard, so they are not interested. Can anyone determine if this code does violate POSIX? Or does anyone have any convincing documentation that it is POSIX compliant?

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  • Objective-c design advice for use of different data sources, swapping between test and live

    - by user200341
    I'm in the process of designing an application that is part of a larger piece of work, depending on other people to build an API that the app can make use of to retrieve data. While I was thinking about how to setup this project and design the architecture around it, something occurred to me, and I'm sure many people have been in similar situations. Since my work is depending on other people to complete their tasks, and a test server, this slows work down at my end. So the question is: What's the best practice for creating test repositories and classes, implementing them, and not having to depend on altering several places in the code to swap between the test classes and the actual repositories / proper api calls. Contemplate the following scenario: GetDataFromApiCommand *getDataCommand = [[GetDataFromApiCommand alloc]init]; getDataCommand.delegate = self; [getDataCommand getData]; Once the data is available via the API, "GetDataFromApiCommand" could use the actual API, but until then a set of mock data could be returned upon the call of [getDataCommand getData] There might be multiple instances of this, in various places in the code, so replacing all of them wherever they are, is a slow and painful process which inevitably leads to one or two being overlooked. In strongly typed languages we could use dependency injection and just alter one place. In objective-c a factory pattern could be implemented, but is that the best route to go for this? GetDataFromApiCommand *getDataCommand = [GetDataFromApiCommandFactory buildGetDataFromApiCommand]; getDataCommand.delegate = self; [getDataCommand getData]; What is the best practices to achieve this result? Since this would be most useful, even if you have the actual API available, to run tests, or work off-line, the ApiCommands would not necessarily have to be replaced permanently, but the option to select "Do I want to use TestApiCommand or ApiCommand". It is more interesting to have the option to switch between: All commands are test and All command use the live API, rather than selecting them one by one, however that would also be useful to do for testing one or two actual API commands, mixing them with test data. EDIT The way I have chosen to go with this is to use the factory pattern. I set up the factory as follows: @implementation ApiCommandFactory + (ApiCommand *)newApiCommand { // return [[ApiCommand alloc]init]; return [[ApiCommandMock alloc]init]; } @end And anywhere I want to use the ApiCommand class: GetDataFromApiCommand *getDataCommand = [ApiCommandFactory newApiCommand]; When the actual API call is required, the comments can be removed and the mock can be commented out. Using new in the message name implies that who ever uses the factory to get an object, is responsible for releasing it (since we want to avoid autorelease on the iPhone). If additional parameters are required, the factory needs to take these into consideration i.e: [ApiCommandFactory newSecondApiCommand:@"param1"]; This will work quite well with repositories as well.

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  • Estimating the boundary of arbitrarily distributed data

    - by Dave
    I have two dimensional discrete spatial data. I would like to make an approximation of the spatial boundaries of this data so that I can produce a plot with another dataset on top of it. Ideally, this would be an ordered set of (x,y) points that matplotlib can plot with the plt.Polygon() patch. My initial attempt is very inelegant: I place a fine grid over the data, and where data is found in a cell, a square matplotlib patch is created of that cell. The resolution of the boundary thus depends on the sampling frequency of the grid. Here is an example, where the grey region are the cells containing data, black where no data exists. OK, problem solved - why am I still here? Well.... I'd like a more "elegant" solution, or at least one that is faster (ie. I don't want to get on with "real" work, I'd like to have some fun with this!). The best way I can think of is a ray-tracing approach - eg: from xmin to xmax, at y=ymin, check if data boundary crossed in intervals dx y=ymin+dy, do 1 do 1-2, but now sample in y An alternative is defining a centre, and sampling in r-theta space - ie radial spokes in dtheta increments. Both would produce a set of (x,y) points, but then how do I order/link neighbouring points them to create the boundary? A nearest neighbour approach is not appropriate as, for example (to borrow from Geography), an isthmus (think of Panama connecting N&S America) could then close off and isolate regions. This also might not deal very well with the holes seen in the data, which I would like to represent as a different plt.Polygon. The solution perhaps comes from solving an area maximisation problem. For a set of points defining the data limits, what is the maximum contiguous area contained within those points To form the enclosed area, what are the neighbouring points for the nth point? How will the holes be treated in this scheme - is this erring into topology now? Apologies, much of this is me thinking out loud. I'd be grateful for some hints, suggestions or solutions. I suspect this is an oft-studied problem with many solution techniques, but I'm looking for something simple to code and quick to run... I guess everyone is, really! Cheers, David

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  • Pass a Delphi class to a C++ function/method that expects a class with __thiscall methods.

    - by Alan G.
    I have some MSVC++ compiled DLL's for which I have created COM-like (lite) interfaces (abstract Delphi classes). Some of those classes have methods that need pointers to objects. These C++ methods are declared with the __thiscall calling convention (which I cannot change), which is just like __stdcall, except a this pointer is passed on the ECX register. I create the class instance in Delphi, then pass it on to the C++ method. I can set breakpoints in Delphi and see it hitting the exposed __stdcall methods in my Delphi class, but soon I get a STATUS_STACK_BUFFER_OVERRUN and the app has to exit. Is it possible to emulate/deal with __thiscall on the Delphi side of things? If I pass an object instantiated by the C++ system then all is good, and that object's methods are called (as would be expected), but this is useless - I need to pass Delphi objects. Edit 2010-04-19 18:12 This is what happens in more detail: The first method called (setLabel) exits with no error (though its a stub method). The second method called (init), enters then dies when it attempts to read the vol parameter. C++ Side #define SHAPES_EXPORT __declspec(dllexport) // just to show the value class SHAPES_EXPORT CBox { public: virtual ~CBox() {} virtual void init(double volume) = 0; virtual void grow(double amount) = 0; virtual void shrink(double amount) = 0; virtual void setID(int ID = 0) = 0; virtual void setLabel(const char* text) = 0; }; Delphi Side IBox = class public procedure destroyBox; virtual; stdcall; abstract; procedure init(vol: Double); virtual; stdcall; abstract; procedure grow(amount: Double); virtual; stdcall; abstract; procedure shrink(amount: Double); virtual; stdcall; abstract; procedure setID(val: Integer); virtual; stdcall; abstract; procedure setLabel(text: PChar); virtual; stdcall; abstract; end; TMyBox = class(IBox) protected FVolume: Double; FID: Integer; FLabel: String; // public constructor Create; destructor Destroy; override; // BEGIN Virtual Method implementation procedure destroyBox; override; stdcall; // empty - Dont need/want C++ to manage my Delphi objects, just call their methods procedure init(vol: Double); override; stdcall; // FVolume := vol; procedure grow(amount: Double); override; stdcall; // Inc(FVolume, amount); procedure shrink(amount: Double); override; stdcall; // Dec(FVolume, amount); procedure setID(val: Integer); override; stdcall; // FID := val; procedure setLabel(text: PChar); override; stdcall; // Stub method; empty. // END Virtual Method implementation property Volume: Double read FVolume; property ID: Integer read FID; property Label: String read FLabel; end; I would have half expected using stdcall alone to work, but something is messing up, not sure what, perhaps something to do with the ECX register being used? Help would be greatly appreciated. Edit 2010-04-19 17:42 Could it be that the ECX register needs to be preserved on entry and restored once the function exits? Is the this pointer required by C++? I'm probably just reaching at the moment based on some intense Google searches. I found something related, but it seems to be dealing with the reverse of this issue.

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  • Cannot Call WordPress Plugin Files Under wp-content

    - by Volomike
    I have a client who has many blog customers. Each of these WordPress blogs calls a plugin that provides a product link. The way that link is composed looks like this: {website}/wp-content/plugins/prodx/product?id=432320 This works fine on all blogs except two. On those two, when you try to call the URL, you get a 404. So, I disabled all plugins except prodx and reverted the theme to default (Kubrick), thinking perhaps a plugin intercept with add_action() API was doing this, such as intercepting URLs and redirecting them. However, this did not help. So, I upgraded the WordPress to the latest version. Again, didn't fix. So, I checked permissions, comparing with a blog that worked just fine. Again, didn't fix. So I replaced the .htaccess, using one from a working blog. Again, didn't fix. So I replaced all the files using some from a working blog that was identical to this one, and then restored the wp-config.php file back so that it talked to the right blog database. Again, didn't fix. Again I checked permissions meticulously, comparing to a perfectly working blog. Again, didn't fix. So, I created a test.php that looks like so: <?php print_r($_GET); echo "hello world"; I then copied it into another plugin folder and used my browser to get to it -- again, 404. So I copied it into the root of wp-content/plugins and tried to call it there -- again, 404. So I copied it into wp-content -- again, 404. Last, I copied it into the root of the WordPress blog website, and this time, it worked! Doesn't make sense. I started to think that perhaps something was going on with /etc/httpd/conf/httpd.conf for this customer, but the only thing I saw different in their for this customer was the IP address was different than the customer's blog that worked. Each customer gets their own IP in this environment my client has built. My client sysop is baffled too. What do you think is going on? Is there something wrong in the WP database for this customer? Is there something wrong in httpd.conf?

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  • Browser detection Plugin?

    - by chobo2
    Hi I have a website that I made and I am planning to redo it. The current version of the site used a jquery callout plugin that did not fully work in IE6. This got me thinking about browser detection. At first I was just going to put the supported browsers on the home page but then today on Digg I saw some post about some jquery plugins and wordpress and in the article there was a plugin for detecting IE. So I started to look around for some browser detection plugins. I found a few of them but they where over the top like this one sevenup Its nice but it makes a huge popup and tells them to update. This one is better then another one I found where they basically forced the user to update or they could not continue on the site. So I found this one jquery plugin This one is pretty nice since it looks at the major browsers and does detection on them too expect for chrome which I noticed triggers and an outdated browser with this plugin. So I started to look at the jquery documentation to see if they had a browser detection for chrome this is when I saw that they "Deprecated" and now recommend "Support". So now I am just confused like "Support" seems to be good and I read many posts on this site saying you should use it. But then it does not support stuff like .png detection that might have been useful to me since of that plugin(however I probably will not be using the plugin anymore since I think the author just gave up on it). Plus I don't know if this is something I am looking for at this time. Like I am guessing with "Support" you use it to detect something that is not supported and then do some alternative thing for that browser? For me I am more looking for something to tell the user "Hey look I tested this browser in the these versions of Firefox(3.5+), IE(8+), Opera(9.5+),Chrome(Something), Safari(Something). If your not using these versions you may not being seeing the site how it was intended" Of course I would try to have something shorter then that message but that the gyst. I am also assuming that the site would work in future versions of these browsers. I still check to see if my site works(they usually do) and is half decent in IE 6 but I won't spend hours fixing stuff that might be off in older browsers like IE 6. I won't test my site in older version of other browsers like firefox since I would think the user have to the sense to update so no point testing firefox 2.0 or whatever. So is there a plugin that fits this description? Or can "Support" do what I want? Thanks

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  • Data table columns become out of order after changing data source.

    - by Scott Chamberlain
    This is kind of a oddball problem so I will try to describe the best that I can. I have a DataGridView that shows a list of contracts and various pieces of information about them. There are three view modes: Contract Approval, Pre-Production, and Production. Each mode has it's own set of columns that need to be displayed. What I have been doing is I have three radio buttons one for each contract style. all of them fire their check changed on this function private void rbContracts_CheckedChanged(object sender, EventArgs e) { dgvContracts.Columns.Clear(); if (((RadioButton)sender).Checked == true) { if (sender == rbPreProduction) { dgvContracts.Columns.AddRange(searchSettings.GetPreProductionColumns()); this.contractsBindingSource.DataMember = "Preproduction"; this.preproductionTableAdapter.Fill(this.searchDialogDataSet.Preproduction); } else if (sender == rbProduction) { dgvContracts.Columns.AddRange(searchSettings.GetProductionColumns()); this.contractsBindingSource.DataMember = "Production"; this.productionTableAdapter.Fill(this.searchDialogDataSet.Production); } else if (sender == rbContracts) { dgvContracts.Columns.AddRange(searchSettings.GetContractsColumns()); this.contractsBindingSource.DataMember = "Contracts"; this.contractsTableAdapter.Fill(this.searchDialogDataSet.Contracts); } } } Here is the GetxxxColumns function public DataGridViewColumn[] GetPreProductionColumns() { this.dgvTxtPreAccount.Visible = DgvTxtPreAccountVisable; this.dgvTxtPreImpromedAccNum.Visible = DgvTxtPreImpromedAccNumVisable; this.dgvTxtPreCreateDate.Visible = DgvTxtPreCreateDateVisable; this.dgvTxtPreCurrentSoftware.Visible = DgvTxtPreCurrentSoftwareVisable; this.dgvTxtPreConversionRequired.Visible = DgvTxtPreConversionRequiredVisable; this.dgvTxtPreConversionLevel.Visible = DgvTxtPreConversionLevelVisable; this.dgvTxtPreProgrammer.Visible = DgvTxtPreProgrammerVisable; this.dgvCbxPreEdge.Visible = DgvCbxPreEdgeVisable; this.dgvCbxPreEducationRequired.Visible = DgvCbxPreEducationRequiredVisable; this.dgvTxtPreTargetMonth.Visible = DgvTxtPreTargetMonthVisable; this.dgvCbxPreEdgeDatesDate.Visible = DgvCbxPreEdgeDatesDateVisable; this.dgvTxtPreStartDate.Visible = DgvTxtPreStartDateVisable; this.dgvTxtPreUserName.Visible = DgvTxtPreUserNameVisable; this.dgvCbxPreProductionId.Visible = DgvCbxPreProductionIdVisable; return new System.Windows.Forms.DataGridViewColumn[] { this.dgvTxtPreAccount, this.dgvTxtPreImpromedAccNum, this.dgvTxtPreCreateDate, this.dgvTxtPreCurrentSoftware, this.dgvTxtPreConversionRequired, this.dgvTxtPreConversionLevel, this.dgvTxtPreProgrammer, this.dgvCbxPreEdge, this.dgvCbxPreEducationRequired, this.dgvTxtPreTargetMonth, this.dgvCbxPreEdgeDatesDate, this.dgvTxtPreStartDate, this.dgvTxtPreUserName, this.dgvCbxPreProductionId, this.dgvTxtCmnHold, this.dgvTxtCmnConcern, this.dgvTxtCmnAccuracyStatus, this.dgvTxtCmnEconomicStatus, this.dgvTxtCmnSoftwareStatus, this.dgvTxtCmnServiceStatus, this.dgvTxtCmnHardwareStatus, this.dgvTxtCmnAncillaryStatus, this.dgvTxtCmnFlowStatus, this.dgvTxtCmnImpromedAccountNum, this.dgvTxtCmnOpportunityId}; } public DataGridViewColumn[] GetProductionColumns() { this.dgvcTxtProAccount.Visible = DgvTxtProAccountVisable; this.dgvTxtProImpromedAccNum.Visible = DgvTxtProImpromedAccNumVisable; this.dgvTxtProCreateDate.Visible = DgvTxtProCreateDateVisable; this.dgvTxtProConvRequired.Visible = DgvTxtProConvRequiredVisable; this.dgvTxtProEdgeRequired.Visible = DgvTxtProEdgeRequiredVisable; this.dgvTxtProStartDate.Visible = DgvTxtProStartDateVisable; this.dgvTxtProHardwareRequired.Visible = DgvTxtProHardwareReqiredVisable; this.dgvTxtProStandardDate.Visible = DgvTxtProStandardDateVisable; this.dgvTxtProSystemScheduleDate.Visible = DgvTxtProSystemScheduleDateVisable; this.dgvTxtProHwSystemCompleteDate.Visible = DgvTxtProHwSystemCompleteDateVisable; this.dgvTxtProHardwareTechnician.Visible = DgvTxtProHardwareTechnicianVisable; return new System.Windows.Forms.DataGridViewColumn[] { this.dgvcTxtProAccount, this.dgvTxtProImpromedAccNum, this.dgvTxtProCreateDate, this.dgvTxtProConvRequired, this.dgvTxtProEdgeRequired, this.dgvTxtProStartDate, this.dgvTxtProHardwareRequired, this.dgvTxtProStandardDate, this.dgvTxtProSystemScheduleDate, this.dgvTxtProHwSystemCompleteDate, this.dgvTxtProHardwareTechnician, this.dgvTxtCmnHold, this.dgvTxtCmnConcern, this.dgvTxtCmnAccuracyStatus, this.dgvTxtCmnEconomicStatus, this.dgvTxtCmnSoftwareStatus, this.dgvTxtCmnServiceStatus, this.dgvTxtCmnHardwareStatus, this.dgvTxtCmnAncillaryStatus, this.dgvTxtCmnFlowStatus, this.dgvTxtCmnImpromedAccountNum, this.dgvTxtCmnOpportunityId}; } public DataGridViewColumn[] GetContractsColumns() { this.dgvTxtConAccount.Visible = this.DgvTxtConAccountVisable; this.dgvTxtConAccuracyStatus.Visible = this.DgvTxtConAccuracyStatusVisable; this.dgvTxtConCreateDate.Visible = this.DgvTxtConCreateDateVisable; this.dgvTxtConEconomicStatus.Visible = this.DgvTxtConEconomicStatusVisable; this.dgvTxtConHardwareStatus.Visible = this.DgvTxtConHardwareStatusVisable; this.dgvTxtConImpromedAccNum.Visible = this.DgvTxtConImpromedAccNumVisable; this.dgvTxtConServiceStatus.Visible = this.DgvTxtConServiceStatusVisable; this.dgvTxtConSoftwareStatus.Visible = this.DgvTxtConSoftwareStatusVisable; this.dgvCbxConPreProductionId.Visible = this.DgvCbxConPreProductionIdVisable; this.dgvCbxConProductionId.Visible = this.DgvCbxConProductionVisable; return new System.Windows.Forms.DataGridViewColumn[] { this.dgvTxtConAccount, this.dgvTxtConImpromedAccNum, this.dgvTxtConCreateDate, this.dgvTxtConAccuracyStatus, this.dgvTxtConEconomicStatus, this.dgvTxtConSoftwareStatus, this.dgvTxtConServiceStatus, this.dgvTxtConHardwareStatus, this.dgvCbxConPreProductionId, this.dgvCbxConProductionId, this.dgvTxtCmnHold, this.dgvTxtCmnConcern, this.dgvTxtCmnAccuracyStatus, this.dgvTxtCmnEconomicStatus, this.dgvTxtCmnSoftwareStatus, this.dgvTxtCmnServiceStatus, this.dgvTxtCmnHardwareStatus, this.dgvTxtCmnAncillaryStatus, this.dgvTxtCmnFlowStatus, this.dgvTxtCmnImpromedAccountNum, this.dgvTxtCmnOpportunityId}; } The issue is when I check a button the first time, everything shows up ok. I choose another view, everything is ok. But when I click on the first view the columns are out of order (it is like they are in reverse order but it is not exactly the same). this happens only to the first page you click on, the other two are fine. You can click off and click back on as many times as you want after those initial steps, The first list you selected at the start will be out of order the other two will be correct. Any ideas on what could be causing this?

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  • How can I implement NotOfType<T> in LINQ that has a nice calling syntax?

    - by Lette
    I'm trying to come up with an implementation for NotOfType, which has a readable call syntax. NotOfType should be the complement to OfType<T> and would consequently yield all elements that are not of type T My goal was to implement a method which would be called just like OfType<T>, like in the last line of this snippet: public abstract class Animal {} public class Monkey : Animal {} public class Giraffe : Animal {} public class Lion : Animal {} var monkey = new Monkey(); var giraffe = new Giraffe(); var lion = new Lion(); IEnumerable<Animal> animals = new Animal[] { monkey, giraffe, lion }; IEnumerable<Animal> fewerAnimals = animals.NotOfType<Giraffe>(); However, I can not come up with an implementation that supports that specific calling syntax. This is what I've tried so far: public static class EnumerableExtensions { public static IEnumerable<T> NotOfType<T>(this IEnumerable<T> sequence, Type type) { return sequence.Where(x => x.GetType() != type); } public static IEnumerable<T> NotOfType<T, TExclude>(this IEnumerable<T> sequence) { return sequence.Where(x => !(x is TExclude)); } } Calling these methods would look like this: // Animal is inferred IEnumerable<Animal> fewerAnimals = animals.NotOfType(typeof(Giraffe)); and // Not all types could be inferred, so I have to state all types explicitly IEnumerable<Animal> fewerAnimals = animals.NotOfType<Animal, Giraffe>(); I think that there are major drawbacks with the style of both of these calls. The first one suffers from a redundant "of type/type of" construct, and the second one just doesn't make sense (do I want a list of animals that are neither Animals nor Giraffes?). So, is there a way to accomplish what I want? If not, could it be possible in future versions of the language? (I'm thinking that maybe one day we will have named type arguments, or that we only need to explicitly supply type arguments that can't be inferred?) Or am I just being silly?

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  • Passing objects to a UITypeEditor

    - by Kath
    I am currently hoping to use a PropertyGrid to allow users to edit some of my classes, however I've hit a wall with passing objects to the UITypeEditor(s) they use. When the user presses the drop down I want to show a listbox of already loaded textures to choose from, if they want to use a texture the application hasn't loaded yet they can click a button to choose one from a file dialog. In case I make no sense here a mock of the form: . My problem: To fill the listbox I need access to the class that manages the list of resources from the UITypeEditor. Now I've solved this problem for my own classes by giving them a reference on creation to their managing object. In the UITypeEditor I then use that reference to access what I need. However I can't do this for classes I haven't written, such as the XNA Texture2D class. Here are what the classes I'm using look like: class StaticGeometryChunk { // Geometry data to draw with. Contains a reference to its managing // class for use in its UITypeEditor. public GeometryData { get; set; } .... } class Material { // These are XNA classes. I can't just add a reference to its managing // class (I think?). public Texture2D Texture1 { get; set; } public Texture2D Texture2 { get; set; } .... } I've been looking at my options and they seem to be: Make the managing classes static. I don't really want to do this. There are several managing classes as each resource is loaded differently. There are also classes that need to be created before these and are passed in. Make the managing classes singletons. I don't really want to do this either. It seems like a quick and dirty way to "hide" the problem instead of "solve" it. I also might want the option of having several managing classes in the future which the singletons eliminate. Create a wrapper class which holds the reference to a managing class and its target (such as the XNA Texture2D). This is currently what I'm thinking of doing. Its would be quite simple and quick to do but something about it nags me but I don't know what. Any thoughts on the above or other methods to pass what I need into the UITypeEditor? Thank you for reading.

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  • How to access a matrix in a matlab struct's field from a mex function?

    - by B. Ruschill
    I'm trying to figure out how to access a matrix that is stored in a field in a matlab structure from a mex function. That's awfully long winded... Let me explain: I have a matlab struct that was defined like the following: matrixStruct = struct('matrix', {4, 4, 4; 5, 5, 5; 6, 6 ,6}) I have a mex function in which I would like to be able to receive a pointer to the first element in the matrix (matrix[0][0], in c terms), but I've been unable to figure out how to do that. I have tried the following: /* Pointer to the first element in the matrix (supposedly)... */ double *ptr = mxGetPr(mxGetField(prhs[0], 0, "matrix"); /* Incrementing the pointer to access all values in the matrix */ for(i = 0; i < 3; i++){ printf("%f\n", *(ptr + (i * 3))); printf("%f\n", *(ptr + 1 + (i * 3))); printf("%f\n", *(ptr + 2 + (i * 3))); } What this ends up printing is the following: 4.000000 0.000000 0.000000 0.000000 0.000000 0.000000 0.000000 0.000000 0.000000 I have also tried variations of the following, thinking that perhaps it was something wonky with nested function calls, but to no avail: /* Pointer to the first location of the mxArray */ mxArray *fieldValuePtr = mxGetField(prhs[0], 0, "matrix"); /* Get the double pointer to the first location in the matrix */ double *ptr = mxGetPr(fieldValuePtr); /* Same for loop code here as written above */ Does anyone have an idea as to how I can achieve what I'm trying to, or what I am potentially doing wrong? Thanks! Edit: As per yuk's comment, I tried doing similar operations on a struct that has a field called array which is a one-dimensional array of doubles. The struct containing the array is defined as follows: arrayStruct = struct('array', {4.44, 5.55, 6.66}) I tried the following on the arrayStruct from within the mex function: mptr = mxGetPr(mxGetField(prhs[0], 0, "array")); printf("%f\n", *(mptr)); printf("%f\n", *(mptr + 1)); printf("%f\n", *(mptr + 2)); ...but the output followed what was printed earlier: 4.440000 0.000000 0.000000

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  • Help with C# program design implementation: multiple array of lists or a better way?

    - by Bob
    I'm creating a 2D tile-based RPG in XNA and am in the initial design phase. I was thinking of how I want my tile engine to work and came up with a rough sketch. Basically I want a grid of tiles, but at each tile location I want to be able to add more than one tile and have an offset. I'd like this so that I could do something like add individual trees on the world map to give more flair. Or set bottles on a bar in some town without having to draw a bunch of different bar tiles with varying bottles. But maybe my reach is greater than my grasp. I went to implement the idea and had something like this in my Map object: List<Tile>[,] Grid; But then I thought about it. Let's say I had a world map of 200x200, which would actually be pretty small as far as RPGs go. That would amount to 40,000 Lists. To my mind I think there has to be a better way. Now this IS pre-mature optimization. I don't know if the way I happen to design my maps and game will be able to handle this, but it seems needlessly inefficient and something that could creep up if my game gets more complex. One idea I have is to make the offset and the multiple tiles optional so that I'm only paying for them when needed. But I'm not sure how I'd do this. A multiple array of objects? object[,] Grid; So here's my criteria: A 2D grid of tile locations Each tile location has a minimum of 1 tile, but can optionally have more Each extra tile can optionally have an x and y offset for pinpoint placement Can anyone help with some ideas for implementing such a design (don't need it done for me, just ideas) while keeping memory usage to a minimum? If you need more background here's roughly what my Map and Tile objects amount to: public struct Map { public Texture2D Texture; public List<Rectangle> Sources; //Source Rectangles for where in Texture to get the sprite public List<Tile>[,] Grid; } public struct Tile { public int Index; //Where in Sources to find the source Rectangle public int X, Y; //Optional offsets }

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  • .NET: Is there a way to finagle a default namespace in an XPath 1.0 query?

    - by Cheeso
    I'm building a tool that performs xpath 1.0 queries on XHTML documents. The requirement to use a namespace prefix in the query is killing me. The query looks like this: html/body/div[@class='contents']/div[@class='body']/ div[@class='pgdbbyauthor']/h2[a[@name][starts-with(.,'Quick')]]/ following-sibling::ul[1]/li/a (all on one line) ...which is bad enough, except because it's xpath 1.0, I need to use an explicit namespace prefix on each QName, so it looks like this: ns1:html/ns1:body/ns1:div[@class='contents']/ns1:div[@class='body']/ ns1:div[@class='pgdbbyauthor']/ns1:h2[ns1:a[@name][starts-with(.,'Quick')]]/ following-sibling::ns1:ul[1]/ns1:li/ns1:a To set up the query, I do something like this: var xpathDoc = new XPathDocument(new StringReader(theText)); var nav = xpathDoc.CreateNavigator(); var xmlns = new XmlNamespaceManager(nav.NameTable); foreach (string prefix in xmlNamespaces.Keys) xmlns.AddNamespace(prefix, xmlNamespaces[prefix]); XPathNodeIterator selection = nav.Select(xpathExpression, xmlns); But what I want is for the xpathExpression to use the implicit default namespace. Is there a way for me to transform the unadorned xpath expression, after it's been written, to inject a namespace prefix for each element name in the query? I'm thinking, anything between two slashes, I could inject a prefix there. Excepting of course axis names like "parent::" and "preceding-sibling::" . And wildcards. That's what I mean by "finagle a default namespace". Is this hack gonna work? Addendum Here's what I mean. suppose I have an xpath expression, and before passing it to nav.Select(), I transform it. Something like this: string FixupWithDefaultNamespace(string expr) { string s = expr; s = Regex.Replace(s, "^(?!::)([^/:]+)(?=/)", "ns1:$1"); // beginning s = Regex.Replace(s, "/([^/:]+)(?=/)", "/ns1:$1"); // stanza s = Regex.Replace(s, "::([A-Za-z][^/:*]*)(?=/)", "::ns1:$1"); // axis specifier s = Regex.Replace(s, "\\[([A-Za-z][^/:*\\(]*)(?=[\\[\\]])", "[ns1:$1"); // predicate s = Regex.Replace(s, "/([A-Za-z][^/:]*)(?!<::)$", "/ns1:$1"); // end s = Regex.Replace(s, "^([A-Za-z][^/:]*)$", "ns1:$1"); // edge case s = Regex.Replace(s, "([-A-Za-z]+)\\(([^/:\\.,\\)]+)(?=[,\\)])", "$1(ns1:$2"); // xpath functions return s; } This actually works for simple cases I tried. To use the example from above - if the input is the first xpath expression, the output I get is the 2nd one, with all the ns1 prefixes. The real question is, is it hopeless to expect this Regex.Replace approach to work, as the xpath expressions get more complicated?

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  • Implementing Skip List in C++

    - by trikker
    [SOLVED] So I decided to try and create a sorted doubly linked skip list... I'm pretty sure I have a good grasp of how it works. When you insert x the program searches the base list for the appropriate place to put x (since it is sorted), (conceptually) flips a coin, and if the "coin" lands on a then that element is added to the list above it(or a new list is created with element in it), linked to the element below it, and the coin is flipped again, etc. If the "coin" lands on b at anytime then the insertion is over. You must also have a -infinite stored in every list as the starting point so that it isn't possible to insert a value that is less than the starting point (meaning that it could never be found.) To search for x, you start at the "top-left" (highest list lowest value) and "move right" to the next element. If the value is less than x than you continue to the next element, etc. until you have "gone too far" and the value is greater than x. In this case you go back to the last element and move down a level, continuing this chain until you either find x or x is never found. To delete x you simply search x and delete it every time it comes up in the lists. For now, I'm simply going to make a skip list that stores numbers. I don't think there is anything in the STL that can assist me, so I will need to create a class List that holds an integer value and has member functions, search, delete, and insert. The problem I'm having is dealing with links. I'm pretty sure I could create a class to handle the "horizontal" links with a pointer to the previous element and the element in front, but I'm not sure how to deal with the "vertical" links (point to corresponding element in other list?) If any of my logic is flawed please tell me, but my main questions are: How to deal with vertical links and whether my link idea is correct Now that I read my class List idea I'm thinking that a List should hold a vector of integers rather than a single integer. In fact I'm pretty positive, but would just like some validation. I'm assuming the coin flip would simply call int function where rand()%2 returns a value of 0 or 1 and if it's 0 then a the value "levels up" and if it's 0 then the insert is over. Is this incorrect? How to store a value similar to -infinite? Edit: I've started writing some code and am considering how to handle the List constructor....I'm guessing that on its construction, the "-infinite" value should be stored in the vectorname[0] element and I can just call insert on it after its creation to put the x in the appropriate place.

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