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  • How I May Have Taken A Wrong Path in Programming

    - by Ygam
    I am in a major stump right now. I am a BSIT graduate, but I only started actual programming less than a year ago. I observed that I have the following attitude in programming: I tend to be more of a purist, scorning unelegant approaches to solving problems using code I tend to look at anything in a large scale, planning everything before I start coding, either in simple flowcharts or complex UML charts I have a really strong impulse on refactoring my code, even if I miss deadlines or prolong development times I am obsessed with good directory structures, file naming conventions, class, method, and variable naming conventions I tend to always want to study something new, even, as I said, at the cost of missing deadlines I tend to see software development as something to engineer, to architect; that is, seeing how things relate to each other and how blocks of code can interact (I am a huge fan of loose coupling) i.e the OOP thinking I tend to combine OOP and procedural coding whenever I see fit I want my code to execute fast (thus the elegant approaches and refactoring) This bothers me because I see my colleagues doing much better the other way around (aside from the fact that they started programming since our first year in college). By the other way around I mean, they fire up coding, gets the job done much faster because they don't have to really look at how clean their codes are or how elegant their algorithms are, they don't bother with OOP however big their projects are, they mostly use web APIs, piece them together and voila! Working code! CLients are happy, they get paid fast, at the expense of a really unmaintainable or hard-to-read code that lacks structure and conventions, or slow executions of certain actions (which the common reasoning against would be that internet connections are much faster these days, hardware is more powerful). The excuse I often receive is clients don't care about how you write the code, but they do care about how long you deliver it. If it works then all is good. Now, did my "purist" approach to programming may have been the wrong way to start programming? Should I just dump these purist concepts and just code the hell up because I have seen it: clients don't really care how beautifully coded it is?

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  • Is going for a BCS the right move for me?

    - by Michel Carroll
    I'm at a fork in the road. I need somebody to give me some advice from their personal journey in IT. At the moment, I have a college diploma (2 years) in Computer Programmer, and about 2 years of professional experience in the field of software. I'm currently freelancing my programming skills to the public, and am enjoying a nice income, and the rewards of flexibly working on a variety of projects with different cool people. I'm young (21 years old), passionate about software, technology, the internet, and also business. I know if I ever want to dwell deeper into the software industry, I might have a hard time doing so without a Bachelors in Computer Science. On one side, I think I'm better off getting my BCS while I'm still young and malleable. Also, the thought of learning even more stuff in my field is really exciting to me. On the flip side, it means another 3-4 years of studying, and jeopardizing my chances of going on vacation and accumulating wealth for a long time. Considering that I'm already pretty successful with my college diploma, do you think it's a good idea for me to go get my BCS? Will it open up many more doors in the future?

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  • Is there a definitive reference document for Ruby syntax?

    - by JSW
    I'm searching for a definitive document on Ruby syntax. I know about the definitive documents for the core API and standard library, but what about the syntax itself? For instance, such a document should cover: reserved words, string literals syntax, naming rules for variables/classes/modules, all the conditional statements and their permutations, and so forth. I know there are many books and tutorials, yes, but every one of them is essentially a tutorial, each one having a range of different depth and focus. They will all, by necessity of brevity and narrative flow, omit certain details of the language that the author deems insignificant. For instance, did you know that you can use a case statement without an initial case value, and it will then execute the first true when clause? Any given Ruby book or tutorial may or may not cover that particular lesser-known functionality of the case syntax. It's not discussed in the section in "Programming Ruby" about case statements. But that is just one small example. So far the best documentation I've found is the rubyspec project, which appears to be an attempt to write a complete test suite for the language. That's not bad, but it's a bit hard to use from a practical standpoint as a developer working on my own projects. Am I just missing something or is there really no definitive readable document defining the whole of Ruby syntax?

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  • Building a system that allows users to see a video only once

    - by Bart van Heukelom
    My client wants to distribute a video to some people, specifically car dealers, but he doesn't want the video to end up on Youtube or something like that. Therefore he wants the recipients of the video to be able to see it only once. My idea to implement this is: Generate a unique key per viewer Send each viewer a link to a page with a Flash based video player, with their key in the URL Have Flash get the video from the server. On the server the key is checked and the file sent (using php's readfile or something equivalent). Then the key is invalidated. I was thinking this wouldn't take more than a day to build. I know that if you want somebody to be able to play something, you implicitly give them the power to record it as well, but the client just wants me to make it as hard as possible. Do you think this is secure enough for the intended audience? Anything else I can do to add some security without exceeding the development time of 1 day? I'm also interested in ready made solutions, if they exist.

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  • Stuck trying to get Log4Net to work with Dependency Injection

    - by Pure.Krome
    I've got a simple winform test app i'm using to try some Log4Net Dependency Injection stuff. I've made a simple interface in my Services project :- public interface ILogging { void Debug(string message); // snip the other's. } Then my concrete type will be using Log4Net... public class Log4NetLogging : ILogging { private static ILog Log4Net { get { return LogManager.GetLogger( MethodBase.GetCurrentMethod().DeclaringType); } } public void Debug(string message) { if (Log4Net.IsDebugEnabled) { Log4Net.Debug(message); } } } So far so good. Nothing too hard there. Now, in a different project (and therefore namesapce), I try and use this ... public partial class Form1 : Form { public Form1() { FileInfo fileInfo = new FileInfo("Log4Net.config"); log4net.Config.XmlConfigurator.Configure(fileInfo); } private void Foo() { // This would be handled with DI, but i've not set it up // (on the constructor, in this code example). ILogging logging = new Log4NetLogging(); logging.Debug("Test message"); } } Ok .. also pretty simple. I've hardcoded the ILogging instance but that is usually dependency injected via the constructor. Anyways, when i check this line of code... return LogManager.GetLogger(MethodBase.GetCurrentMethod().DeclaringType); the DeclaringType type value is of the Service namespace, not the type of the Form (ie. X.Y.Z.Form1) which actually called the method. Without passing the type INTO method as another argument, is there anyway using reflection to figure out the real method that called it?

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  • git commit best practices

    - by Ivan Z. Siu
    I am using git to manage a C++ project. When I am working on the projects, I find it hard to organize the changes into commits when changing things that are related to many places. For example, I may change a class interface in a .h file, which will affect the corresponding .cpp file, and also other files using it. I am not sure whether it is reasonable to put all the stuff into one big commit. Intuitively, I think the commits should be modular, each one of them corresponds to a functional update/change, so that the collaborators could pick things accordingly. But seems that sometimes it is inevitable to include lots of files and changes to make a functional change actually work. Searching did not yield me any good suggestion or tips. Hence I wonder if anyone could give me some best practices when doing commits. Thanks! PS. I've been using git for a while and I know how to interactively add/rebase/split/amend/... What I am asking is the PHILOSOPHY part.

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  • Developing a 2D Game for Windows Phone 8

    - by Vaccano
    I would like to develop a 2D game for Windows Phone 8. I am a professional Application Developer by day and this seems like a fun hobby. But I have been disapointed trying to get going. It seems that 2D games (far and away the majority of games) do not have any real support. It seems the Windows Phone makers did not include support for Direct2D. So unless you are planning to make a fully 3D app, you are out of luck. So, if you just wanted to make a nice 2D app, these are your choices: Write your game using Xaml and C# (Performance Issues?) Write your game using Direct3D and but only draw on one plane. Use the DirectX Took Kit found on codeplex. It allows you to use the dying XNA framework's API for development. Number 3 seems the best for my game. But I hate to waste my time learning the XNA api when Microsoft has clearly stated that it is not going to be supported going forward. Number 2 would work, but 3D development is really hard. I would rather not have to do all that to get the 2D effect. (Assuming Direct2D is easier. I have yet to look into that.) Number 1 seems the easiest, but I worry that my app will not run well if it is based off of xaml rendering rather than DirectX. What is the suggested method from Microsoft? And who decided that 2D games were going to get shortchanged?

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  • python os.mkfifo() for Windows

    - by user302099
    Hello. Short version (if you can answer the short version it does the job for me, the rest is mainly for the benefit of other people with a similar task): In python in Windows, I want to create 2 file objects, attached to the same file (it doesn't have to be an actual file on the hard-drive), one for reading and one for writing, such that if the reading end tries to read it will never get EOF (it will just block until something is written). I think in linux os.mkfifo() would do the job, but in Windows it doesn't exist. What can be done? (I must use file-objects). Some extra details: I have a python module (not written by me) that plays a certain game through stdin and stdout (using raw_input() and print). I also have a Windows executable playing the same game, through stdin and stdout as well. I want to make them play one against the other, and log all their communication. Here's the code I can write (the get_fifo() function is not implemented, because that's what I don't know to do it Windows): class Pusher(Thread): def __init__(self, source, dest, p1, name): Thread.__init__(self) self.source = source self.dest = dest self.name = name self.p1 = p1 def run(self): while (self.p1.poll()==None) and\ (not self.source.closed) and (not self.source.closed): line = self.source.readline() logging.info('%s: %s' % (self.name, line[:-1])) self.dest.write(line) self.dest.flush() exe_to_pythonmodule_reader, exe_to_pythonmodule_writer =\ get_fifo() pythonmodule_to_exe_reader, pythonmodule_to_exe_writer =\ get_fifo() p1 = subprocess.Popen(exe, shell=False, stdin=subprocess.PIPE, stdout=subprocess.PIPE) old_stdin = sys.stdin old_stdout = sys.stdout sys.stdin = exe_to_pythonmodule_reader sys.stdout = pythonmodule_to_exe_writer push1 = Pusher(p1.stdout, exe_to_pythonmodule_writer, p1, '1') push2 = Pusher(pythonmodule_to_exe_reader, p1.stdin, p1, '2') push1.start() push2.start() ret = pythonmodule.play() sys.stdin = old_stdin sys.stdout = old_stdout

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  • OnConnect event not firing when using TClientSocket inside a TThread on non-blocking mode

    - by mathematician1975
    I am trying to make use of Borlands TClientSocket component in non-blocking mode inside a multithreaded C++ Windows application. I am creating multiple threads (classes derived from TThread), each of which creates its own TClientSocket object. I then assign member functions of the thread class to act as event handlers for the OnConnect, OnDisconnect and OnSocketError events of the socket. The problem I am having here is that whenever I call the TClientSocket::Open() function from within the TThread::Execute() function, the OnConnect event never fires. However, When I call the Open() function from the VCL thread prior to the TThread::Execute() function getting called, all of the events fire and I can use the thread-socket combination as I would like. Now I have not read anything in documentation that says that TClientSocket should not be used in non-blocking mode when used inside a thread, but it appears to me that there is perhaps something wrong conceptually in the way I am trying to use this class. Borland documentation is quite poor on the subject and these components have now been deprecated so reliable information is hard to come by. Despite being deprecated I have to use them as there is no alternative in the Builder 6 package I have. Can anyone please advise me if there is a right/wrong way to use TThread and a non-blocking TClientSocket in combination. I have never had problems using it as part of the VCL thread and never had problems using TServerSocket before and I really cannot understand why some events are not firing.

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  • How to design data storage for partitioned tagging system?

    - by Morgan Cheng
    How to design data storage for huge tagging system (like digg or delicious)? There is already discussion about it, but it is about centralized database. Since the data is supposed to grow, we'll need to partition the data into multiple shards soon or later. So, the question turns to be: How to design data storage for partitioned tagging system? The tagging system basically has 3 tables: Item (item_id, item_content) Tag (tag_id, tag_title) TagMapping(map_id, tag_id, item_id) That works fine for finding all items for given tag and finding all tags for given item, if the table is stored in one database instance. If we need to partition the data into multiple database instances, it is not that easy. For table Item, we can partition its content with its key item_id. For table Tag, we can partition its content with its key tag_id. For example, we want to partition table Tag into K databases. We can simply choose number (tag_id % K) database to store given tag. But, how to partition table TagMapping? The TagMapping table represents the many-to-many relationship. I can only image to have duplication. That is, same content of TagMappping has two copies. One is partitioned with tag_id and the other is partitioned with item_id. In scenario to find tags for given item, we use partition with tag_id. If scenario to find items for given tag, we use partition with item_id. As a result, there is data redundancy. And, the application level should keep the consistency of all tables. It looks hard. Is there any better solution to solve this many-to-many partition problem?

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  • Is There a Better Way to Feed Different Parameters into Functions with If-Statements?

    - by FlowofSoul
    I've been teaching myself Python for a little while now, and I've never programmed before. I just wrote a basic backup program that writes out the progress of each individual file while it is copying. I wrote a function that determines buffer size so that smaller files are copied with a smaller buffer, and bigger files are copied with a bigger buffer. The way I have the code set up now doesn't seem very efficient, as there is an if loop that then leads to another if loops, creating four options, and they all just call the same function with different parameters. import os import sys def smartcopy(filestocopy, dest_path, show_progress = False): """Determines what buffer size to use with copy() Setting show_progress to True calls back display_progress()""" #filestocopy is a list of dictionaries for the files needed to be copied #dictionaries are used as the fullpath, st_mtime, and size are needed if len(filestocopy.keys()) == 0: return None #Determines average file size for which buffer to use average_size = 0 for key in filestocopy.keys(): average_size += int(filestocopy[key]['size']) average_size = average_size/len(filestocopy.keys()) #Smaller buffer for smaller files if average_size < 1024*10000: #Buffer sizes determined by informal tests on my laptop if show_progress: for key in filestocopy.keys(): #dest_path+key is the destination path, as the key is the relative path #and the dest_path is the top level folder copy(filestocopy[key]['fullpath'], dest_path+key, callback = lambda pos, total: display_progress(pos, total, key)) else: for key in filestocopy.keys(): copy(filestocopy[key]['fullpath'], dest_path+key, callback = None) #Bigger buffer for bigger files else: if show_progress: for key in filestocopy.keys(): copy(filestocopy[key]['fullpath'], dest_path+key, 1024*2600, callback = lambda pos, total: display_progress(pos, total, key)) else: for key in filestocopy.keys(): copy(filestocopy[key]['fullpath'], dest_path+key, 1024*2600) def display_progress(pos, total, filename): percent = round(float(pos)/float(total)*100,2) if percent <= 100: sys.stdout.write(filename + ' - ' + str(percent)+'% \r') else: percent = 100 sys.stdout.write(filename + ' - Completed \n') Is there a better way to accomplish what I'm doing? Sorry if the code is commented poorly or hard to follow. I didn't want to ask someone to read through all 120 lines of my poorly written code, so I just isolated the two functions. Thanks for any help.

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  • How to learn a C++ GUI library effectively?

    - by Chan
    Hello everyone, I have many options for GUI in my head while searching in stackoverflow, but these are what I chose among others: Qt gtkmm GTK+ I used GTK+ couple years ago, and I felt so painful when using C API without string object and containers. I prefer C++ style, I then switched to C++ gtkmm, but the documentation was bad at that time. I found no help when encountering an issue. Now I want to give a hard try for Qt4, but I really want to know how to learn a GUI librarie effectively. With core C++, I usually pick up a problem and try to solve it in different ways using that particular technique, functionality. On the other hand, after skimming through the documentation from Qt site, I don't think this way of studying is applicable, since the GUI classes and APIs are so much bigger. Plus I'm still in school, so I won't have much time to play all the day long with it. How do you guys learn GUI before? Can anyone share some experiences how they learn thing, that would be an invaluable input for me! Best regards, Chan Nguyen

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  • What's best choice career-wise, to know a little about a lot or a lot about a little?

    - by nimo
    I work as a developer at a rather small company and we are providing a web application that is used by a big base of customers. Because we are so small everyone have to be able to do a lot of different tasks. It ranges from advanced support, developing the product (programming: c/c++, c#, php, sql, javascript, html, css), handle network configuration and network related issues and even sometimes go on sales meetings with potential customers. My concern is that I don't really specialize in any specific area. I know and learn little about a lot. I have graduated from school two years ago and this is my first real employment and when I look at other positions out there they always require so and so many years of experience in a specific area (for example 5 years of C#). For me to get that kind of specialized experience will be really hard at my current job. My question for you is what is, in your opinion, best choice career-wise, to know a little about a lot or a lot about a little? What path did you take? pros and cons that comes with that choice.

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  • I don't like Python functions that take two or more iterables. Is it a good idea?

    - by Xavier Ho
    This question came from looking at this question on Stackoverflow. def fringe8((px, py), (x1, y1, x2, y2)): Personally, it's been one of my pet peeves to see a function that takes two arguments with fixed-number iterables (like a tuple) or two or more dictionaries (Like in the Shotgun API). It's just hard to use, because of all the verbosity and double-bracketed enclosures. Wouldn't this be better: >>> class Point(object): ... def __init__(self, x, y): ... self.x = x ... self.y = y ... >>> class Rect(object): ... def __init__(self, x1, y1, x2, y2): ... self.x1 = x1 ... self.y1 = y1 ... self.x2 = x2 ... self.y2 = y2 ... >>> def fringe8(point, rect): ... # ... ... >>> >>> point = Point(2, 2) >>> rect = Rect(1, 1, 3, 3) >>> >>> fringe8(point, rect) Is there a situation where taking two or more iterable arguments is justified? Obviously the standard itertools Python library needs that, but I can't see it being pretty in maintainable, flexible code design.

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  • XSLT, worth investing time in, any actual alternatives?

    - by Keeno
    I realise this has been a few other questions on this topic, and people are saying use your language of choice to manipulate the xml etc etc however, not quite fit my question exactly. Firstly, the scope of the project: We want to develop platform independant e-learning, currently, its a bunch of HTML pages but as they grow and develop they become hard to maintain. The idea: Generate up an XML file + Schema, then produce some XSLT files that process the XML into the eLearning modiles. XML to HTML via XSLT. Why: We would like the flexibily to be able to easy reformat the content (i realise CSS is a viable alternative here) If we decide to alter the pages layout or functionality in anyway, im guessing altering the "shared" XSLT files would be easier than updating the HTML files. So far, we have about 30 modules, with up to 10-30 pages each Depending on some "parameters" we could output drastically different page layouts/structures, above and beyond what CSS can do Now, all this has to be platform independant, and to be able to run "offline" i.e. without a server powering the HTML Negatives ive read so far for XSLT: Overheard? Not exactly sure why...is it the compute power need to convert to HTML? Difficult to learn Better alternatives Now, what I would like to know exactly is: are there actually any viable alternatives for this "offline"? Am I going about it in the correct manner, do you guys have any advice or alternatives. Thanks!

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  • jquery dialog is clearing my form fields and I need to return a value from a jquery dialog

    - by Seth
    1.) I have a jQuery dialog that is opened whenever a particular textbox is focused. The dialog's contents are loaded from ajax and the unique ID of the textbox that was focused is passed in the ajax call (like this): $('[name=start_airport[]],[name=finish_airport[]]').click(function(){   var id = $(this).attr('id');   if($('#use_advanced_airport_selector').attr('checked')) {     $('#advanced_airport_selector').dialog({       open : function() {         $(this).load('/flight-booker/advanced-airport-selector.php?callerID='+id);       }     });     $('#advanced_airport_selector').dialog('open');   } }); (where advanced_airport_selector is an empty div) THAT PART WORKS FINE. However, when I make my ajax call within my dialog, all my form values are reset! No matter what I do, when that dialog opens, all form values are reset (not just the value of the textbox that was focused). I simply don't understand what would cause this behavior! But that's only issue #1. 2.) I need to be able to return a value from that dialog box. I am passing the ID in the ajax query so that I can use a jquery selector to update the caller's value after certain actions are performed within the dialog box. However, I can't actually access that textbox because of DOM_ERRORS that I've never come across. It doesn't make any sense! There's way to much code to post, and it's really hard to explain, so sorry if I'm unclear as to what I'm asking.

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  • Ajax Request not working. onSuccess and onFailure not triggering

    - by Kye
    Hi all, trying to make a page which will recursively call a function until a limit has been reached and then to stop. It uses an ajax query to call an external script (which just echo's "done" for now) howver with neither onSuccess or onFailure triggering i'm finding it hard to find the problem. Here is the javascript for it. In the header for the webpage there is a script to an ajax.js document which contains the request data. I know the ajax.js works as I've used it on another website var Rooms = "1"; var Items = "0"; var ccode = "9999/1"; var x = 0; function echo(string,start){ var ajaxDisplay = document.getElementById('ajaxDiv'); if(start) {ajaxDisplay.innerHTML = string;} else {ajaxDisplay.innerHTML = ajaxDisplay.innerHTML + string;} } function locations() { echo("Uploading location "+x+" of " + Rooms,true); Ajax.Request("Perform/location.php", { method:'get', parameters: {ccode: ccode, x: x}, onSuccess: function(reply) {alert("worked"); if(x<Rooms) { x++; locations(); } else { x=0; echo("Done",true); } }, onFailure: function() {alert("not worked"); echo("not done"); } }); alert("boo"); } Any help or advice will be most appreciated.

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  • What should I do with an over-bloated select-box/drop-down

    - by Tristan Havelick
    All web developers run into this problem when the amount of data in their project grows, and I have yet to see a definitive, intuitive best practice for solving it. When you start a project, you often create forms with tags to help pick related objects for one-to-many relationships. For instance, I might have a system with Neighbors and each Neighbor belongs to a Neighborhood. In version 1 of the application I create an edit user form that has a drop down for selecting users, that simply lists the 5 possible neighborhoods in my geographically limited application. In the beginning, this works great. So long as I have maybe 100 records or less, my select box will load quickly, and be fairly easy to use. However, lets say my application takes off and goes national. Instead of 5 neighborhoods I have 10,000. Suddenly my little drop-down takes forever to load, and once it loads, its hard to find your neighborhood in the massive alphabetically sorted list. Now, in this particular situation, having hierarchical data, and letting users drill down using several dynamically generated drop downs would probably work okay. However, what is the best solution when the objects/records being selected are not hierarchical in nature? In the past, of done this with a popup with a search box, and a list, but this seems clunky and dated. In today's web 2.0 world, what is a good way to find one object amongst many for ones forms? I've considered using an Ajaxifed search box, but this seems to work best for free text, and falls apart a little when the data to be saved is just a reference to another object or record. Feel free to cite specific libraries with generic solutions to this problem, or simply share what you have done in your projects in a more general way

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  • How to iterate JPA collections in Google App engine

    - by palto
    Hi I use Google App Engine with datanucleus and JPA. I'm having a real hard time grasping how I'm supposed to read stuff from data store and pass it to JSP. If I load a list of POJOs with entitymanager and pass it to JSP, it crashes to org.datanucleus.exceptions.NucleusUserException: Object Manager has been closed. I understand why this is happening. Obviously because I fetch the list, close the entity manager and pass it to JSP, at which point it will fail because the list is lazy. How do I make the list NOT lazy without resorting to hacks like calling size() or something like that? Here is what I'm trying to do: @Override protected void doGet(HttpServletRequest req, HttpServletResponse resp) throws ServletException, IOException { req.setAttribute("parties", getParties()); RequestDispatcher dispatcher = getServletContext().getRequestDispatcher("/WEB-INF/parties.jsp"); dispatcher.forward(req, resp); } private List<Party> getParties(){ EntityManager em = entityManagerProvider.get(); try{ Query query = em.createQuery("SELECT p FROM Party p"); return query.getResultList(); }finally{ em.close(); } }

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  • Custom Android control with children

    - by Gromix
    Hi, I'm trying to create a custom Android control that contains a LinearLayout. You can think of it as an extended LinearLayout with fancy borders, a background, an image on the left... I could do it all in XML (works great) but since I have dozens of occurences in my app it's getting hard to maintain. I thought it would be nicer to have something like this: /* Main.xml */ <MyFancyLayout> <TextView /> /* what goes inside my control's linear layout */ </MyfancyLayout> How would you approach this? I'd like to avoid re-writing the whole linear layout onMeasure / onLayout methods. This is what I have for the moment: /* MyFancyLayout.xml */ <TableLayout> <ImageView /> <LinearLayout id="container" /> /* where I want the real content to go */ </TableLayout> and /* MyFancyLayout.java */ public class MyFancyLayout extends LinearLayout { public MyFancyLayout(Context context) { super(context); View.inflate(context, R.layout.my_fancy_layout, this); } } How would you go about inserting the user-specified content (the TextView in main.xml) in the right place (id=container)? Cheers! Romain ----- edit ------- Still no luck on this, so I changed my design to use a simpler layout and decided to live with a bit of repeated XML. Still very interested in anyone knows how to do this though!

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  • How slow are bit fields in C++

    - by Shane MacLaughlin
    I have a C++ application that includes a number of structures with manually controlled bit fields, something like #define FLAG1 0x0001 #define FLAG2 0x0002 #define FLAG3 0x0004 class MyClass { ' ' unsigned Flags; int IsFlag1Set() { return Flags & FLAG1; } void SetFlag1Set() { Flags |= FLAG1; } void ResetFlag1() { Flags &= 0xffffffff ^ FLAG1; } ' ' }; For obvious reasons I'd like to change this to use bit fields, something like class MyClass { ' ' struct Flags { unsigned Flag1:1; unsigned Flag2:1; unsigned Flag3:1; }; ' ' }; The one concern I have with making this switch is that I've come across a number of references on this site stating how slow bit fields are in C++. My assumption is that they are still faster than the manual code shown above, but is there any hard reference material covering the speed implications of using bit fields on various platforms, specifically 32bit and 64bit windows. The application deals with huge amounts of data in memory and must be both fast and memory efficient, which could well be why it was written this way in the first place.

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  • Perl, strings, floats, unit testing and regexps!

    - by Chris R
    OK, as a preface this question potentially is 'stupider' than my normal level of question - however this problem has been annoying me for the last few days so I'll ask it anyway. I'll give a mock example of what my problem is so I can hope to generalize it to my current problem. #!/usr/bin/perl -w use strict; use Test::More 'no_plan'; my $fruit_string = 'Apples cost $1.50'; my ($fruit, $price) = $fruit_string =~ /(\w+)s cost \$(\d+\.\d+)/; # $price += 0; # Uncomment for Great Success is ($price, 1.50, 'Great Success'); Now when this is run I get the message # Failed test 'Great Success' # got: '1.50' # expected: '1.5' To make the test work - I either uncomment the commented line, or use is ($price, '1.50', 'Great Success'). Both options do not work for me - I'm testing a huge amount of nested data using Test::Deep and cmp_deeply. My question is, how can you extract a double from a regexp then use it immediately as a double - or if there is a better way altogether let me know - and feel free to tell me to take up gardening or something lol, learning Perl is hard.

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  • Algorithm to pick values from set to match target value?

    - by CSharperWithJava
    I have a fixed array of constant integer values about 300 items long (Set A). The goal of the algorithm is to pick two numbers (X and Y) from this array that fit several criteria based on input R. Formal requirement: Pick values X and Y from set A such that the expression X*Y/(X+Y) is as close as possible to R. That's all there is to it. I need a simple algorithm that will do that. Additional info: The Set A can be ordered or stored in any way, it will be hard coded eventually. Also, with a little bit of math, it can be shown that the best Y for a given X is the closest value in Set A to the expression X*R/(X-R). Also, X and Y will always be greater than R From this, I get a simple iterative algorithm that works ok: int minX = 100000000; int minY = 100000000; foreach X in A if(X<=R) continue; else Y=X*R/(X-R) Y=FindNearestIn(A, Y);//do search to find closest useable Y value in A if( X*Y/(X+Y) < minX*minY/(minX+minY) ) then minX = X; minY = Y; end end end I'm looking for a slightly more elegant approach than this brute force method. Suggestions?

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  • Strategies for dealing with Circular references caused by JPA relationships?

    - by ams
    I am trying to partition my application into modules by features packaged into separate jars such as feature-a.jar, feature-b.jar, ... etc. Individual feature jars such as feature-a.jar should contain all the code for a feature a including jpa entities, business logic, rest apis, unit tests, integration test ... etc. The problem I am running into is that bi-directional relationships between JPA entities cause circular references between the jar files. For example Customer entity should be in customer.jar and the Order should be in order.jar but Customer references order and order references customer making it hard to split them into separate jars / eclipse projects. Options I see for dealing with the circular dependencies in JPA entities: Option 1: Put all the entities into one jar / one project Option 2: Don't map certain bi-directianl relationships to avoid circular dependencies across projects. Questions: What rules / principles have you used to decide when to do bi-directional mapping vs. not? Have you been able to break jpa entities into their own projects / jar by features if so how did you avoid the circular dependencies issues?

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  • wordpress php > div issue

    - by Philip Bateman
    Thanks in advance for you help Ive been doing this as a lovejob for friends and now im getting quotes of several hundred dollars for minor homepage variation and I'm not sure if its valid. I'm not a programmer myself, just trying hard :) Via the CafePress press75 theme, I'm trying to go from 1 / 2 / 3 column home layout, to 1-2 merged and 3, push the 2nd column data to the right and have the 1st column span as a 16:9 gallery (nextgengallery plugin installed). Is this really a complex thing from a coding perspective? The current guy talking to me is saying its going to cost $700 or 800 AUD to alter, which is rough when the template cost $85.. From this http://shocolate.com.au.previewdns.com/wp-content/uploads/2010/05/shocolatecurrent.jpg to this 'url+Shocolatelooklikethis.jpg' I was able to get the sidebar removed by taking out ‘‘ near the bottom of home.css.. Just can’t get the middle data to flow over it? This would be ideal as a result, as the system puts the latest selected blog post on the homepage, so if we can get rid of the sidebar div and have the text appear where it was, that would be ideal. Removing the sidebar from the bottom of home.php and setting the thumbnail width to say 450 gives me the result im after EXCEPT the text doesn’t fill where the sidebar is, it wraps underneath. Reference 'shocolate.com.au.previewdns.com' for current site Thank you!!! Phil (Melbourne)

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