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  • Parsing some particular statements with antlr3 in C target

    - by JCD
    Hello all! I have some questions about antlr3 with tree grammar in C target. I have almost done my interpretor (functions, variables, boolean and math expressions ok) and i have kept the most difficult statements for the end (like if, switch, etc.) 1) I would like interpreting a simple loop statement: repeat: ^(REPEAT DIGIT stmt); I've seen many examples but nothing about the tree walker (only a topic here with the macros MARK() / REWIND(m) + @init / @after but not working (i've antlr errors: "unexpected node at offset 0")). How can i interpret this statement in C? 2) Same question with a simple if statement: if: ^(IF condition stmt elseifstmt* elsestmt?); The problem is to skip the statement if the condition is false and test the other elseif/else statements. 3) I have some statements which can stop the script (like "break" or "exit"). How can i interrupt the tree walker and skip the following tokens? 4) When a lexer or parser error is detected, antlr returns an error. But i would like to make my homemade error messages. How can i have the line number where parser crashed? Ask me if you want more details. Thanks you very much (and i apologize for my poor english)

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  • jQuery's getScript and the local file system-- limitations/alternatives?

    - by user210099
    Right now I'm working on a help-system which is based on a local file system. It is intended to be shipped with a product which is not used on internet-enabled machines, so it must be a stand alone webpage, without any dependencies on a web server. This introduces a few challenges. Namely, the directory structure that the files exist in require navigating "up and over" to access some .js files which are required to display the help system. This use to be implemented using the jQuery getScript function, but I have ran into some problems using this on the local file system. At first glance, it seemed that if my webpage was being served out of the C:/dev/webpage/html/ directory, and the files I needed were in C:/dev/webpage/js/(topic)/file.js, I could just build an absolute path (file:///...) and pass that into the getScript function. However, after testing this, it does not seem that the getScript function will let me go up a level from the html directory (where the html file is located which has the main code for the webpage). Unfortunately, I can not change the directory structure, nor can I change the .js file structure/format. Is there an alternative for loading/executing javascript files that are in a file structure where I need to go "up and over"? Thanks,

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  • Flush kernel's TCP buffer with `MSG_MORE`-flagged packets

    - by timn
    send()'s man page reveals the MSG_MORE flag which is asserted to act like TCP_CORK. I have a wrapper function around send(): int SocketConnection_Write(SocketConnection *this, void *buf, int len) { errno = 0; int sent = send(this->fd, buf, len, MSG_NOSIGNAL); if (errno == EPIPE || errno == ENOTCONN) { throw(exc, &SocketConnection_NotConnectedException); } else if (errno == ECONNRESET) { throw(exc, &SocketConnection_ConnectionResetException); } else if (sent != len) { throw(exc, &SocketConnection_LengthMismatchException); } return sent; } Assuming I want to use the kernel buffer, I could go with TCP_CORK, enable whenever it is necessary and then disable it to flush the buffer. But on the other hand, thereby the need for an additional system call arises. Thus, the usage of MSG_MORE seems more appropriate to me. I'd simply change the above send() line to: int sent = send(this->fd, buf, len, MSG_NOSIGNAL | MSG_MORE); According to lwm.net, packets will be flushed automatically if they are large enough: If an application sets that option on a socket, the kernel will not send out short packets. Instead, it will wait until enough data has shown up to fill a maximum-size packet, then send it. When TCP_CORK is turned off, any remaining data will go out on the wire. But this section only refers to TCP_CORK. Now, what is the proper way to flush MSG_MORE packets? I can only think of two possibilities: Call send() with an empty buffer and without MSG_MORE being set Re-apply the TCP_CORK option as described on this page Unfortunately the whole topic is very poorly documented and I couldn't find much on the Internet. I am also wondering how to check that everything works as expected? Obviously running the server through strace' is not an option. So the only simplest way would be to usenetcat' and then look at its `strace' output? Or will the kernel handle traffic differently transmitted over a loopback interface?

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  • How to determine the (natural) language of a document?

    - by Robert Petermeier
    I have a set of documents in two languages: English and German. There is no usable meta information about these documents, a program can look at the content only. Based on that, the program has to decide which of the two languages the document is written in. Is there any "standard" algorithm for this problem that can be implemented in a few hours' time? Or alternatively, a free .NET library or toolkit that can do this? I know about LingPipe, but it is Java Not free for "semi-commercial" usage This problem seems to be surprisingly hard. I checked out the Google AJAX Language API (which I found by searching this site first), but it was ridiculously bad. For six web pages in German to which I pointed it only one guess was correct. The other guesses were Swedish, English, Danish and French... A simple approach I came up with is to use a list of stop words. My app already uses such a list for German documents in order to analyze them with Lucene.Net. If my app scans the documents for occurrences of stop words from either language the one with more occurrences would win. A very naive approach, to be sure, but it might be good enough. Unfortunately I don't have the time to become an expert at natural-language processing, although it is an intriguing topic.

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  • Why is Available Physical Memory (dwAvailPhys) > Available Virtual Memory (dwAvailVirtual) in call G

    - by Andrew
    I am playing with an MSDN sample to do memory stress testing (see: http://msdn.microsoft.com/en-us/magazine/cc163613.aspx) and an extension of that tool that specifically eats physical memory (see http://www.donationcoder.com/Forums/bb/index.php?topic=14895.0;prev_next=next). I am obviously confused though on the differences between Virtual and Physical Memory. I thought each process has 2 GB of virtual memory (although I also read 1.5 GB because of "overhead". My understanding was that some/all/none of this virtual memory could be physical memory, and the amount of physical memory used by a process could change over time (memory could be swapped out to disc, etc.)I further thought that, in general, when you allocate memory, the operating system could use physical memory or virtual memory. From this, I conclude that dwAvailVirtual should always be equal to or greater than dwAvailPhys in the call GlobalMemoryStatus. However, I often (always?) see the opposite. What am I missing. I apologize in advance if my question is not well formed. I'm still trying to get my head around the whole memory management system in Windows. Tutorials/Explanations/Book recs are most welcome! Andrew

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  • SQL SERVER 2008 JOIN hints

    - by Nai
    Hi all, Recently, I was trying to optimise this query UPDATE Analytics SET UserID = x.UserID FROM Analytics z INNER JOIN UserDetail x ON x.UserGUID = z.UserGUID Estimated execution plan show 57% on the Table Update and 40% on a Hash Match (Aggregate). I did some snooping around and came across the topic of JOIN hints. So I added a LOOP hint to my inner join and WA-ZHAM! The new execution plan shows 38% on the Table Update and 58% on an Index Seek. So I was about to start applying LOOP hints to all my queries until prudence got the better of me. After some googling, I realised that JOIN hints are not very well covered in BOL. Therefore... Can someone please tell me why applying LOOP hints to all my queries is a bad idea. I read somewhere that a LOOP JOIN is default JOIN method for query optimiser but couldn't verify the validity of the statement? When are JOIN hints used? When the sh*t hits the fan and ghost busters ain't in town? What's the difference between LOOP, HASH and MERGE hints? BOL states that MERGE seems to be the slowest but what is the application of each hint? Thanks for your time and help people! I'm running SQL Server 2008 BTW. The statistics mentioned above are ESTIMATED execution plans.

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  • Reference for proper handling of PID file on Unix

    - by bignose
    Where can I find a well-respected reference that details the proper handling of PID files on Unix? On Unix operating systems, it is common practice to “lock” a program (often a daemon) by use of a special lock file: the PID file. This is a file in a predictable location, often ‘/var/run/foo.pid’. The program is supposed to check when it starts up whether the PID file exists and, if the file does exist, exit with an error. So it's a kind of advisory, collaborative locking mechanism. The file contains a single line of text, being the numeric process ID (hence the name “PID file”) of the process that currently holds the lock; this allows an easy way to automate sending a signal to the process that holds the lock. What I can't find is a good reference on expected or “best practice” behaviour for handling PID files. There are various nuances: how to actually lock the file (don't bother? use the kernel? what about platform incompatibilities?), handling stale locks (silently delete them? when to check?), when exactly to acquire and release the lock, and so forth. Where can I find a respected, most-authoritative reference (ideally on the level of W. Richard Stevens) for this small topic?

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  • I can't get SetSystemTime to work in Windows Vista using C# with Interop (P/Invoke).

    - by Andrew
    Hi, I'm having a hard time getting SetSystemTime working in my C# code. SetSystemtime is a kernel32.dll function. I'm using P/invoke (interop) to call it. SetSystemtime returns false and the error is "Invalid Parameter". I've posted the code below. I stress that GetSystemTime works just fine. I've tested this on Vista and Windows 7. Based on some newsgroup postings I've seen I have turned off UAC. No difference. I have done some searching for this problem. I found this link: http://groups.google.com.tw/group/microsoft.public.dotnet.framework.interop/browse_thread/thread/805fa8603b00c267 where the problem is reported but no resolution seems to be found. Notice that UAC is also mentioned but I'm not sure this is the problem. Also notice that this gentleman gets no actual Win32Error. Can someone try my code on XP? Can someone tell me what I'm doing wrong and how to fix it. If the answer is to somehow change permission settings programatically, I'd need an example. I would have thought turning off UAC should cover that though. I'm not required to use this particular way (SetSystemTime). I'm just trying to introduce some "clock drift" to stress test something. If there's another way to do it, please tell me. Frankly, I'm surprised I need to use Interop to change the system time. I would have thought there is a .NET method. Thank you very much for any help or ideas. Andrew Code: using System; using System.Collections.Generic; using System.Linq; using System.Text; using System.Runtime.InteropServices; namespace SystemTimeInteropTest { class Program { #region ClockDriftSetup [StructLayout(LayoutKind.Sequential)] public struct SystemTime { [MarshalAs(UnmanagedType.U2)] public short Year; [MarshalAs(UnmanagedType.U2)] public short Month; [MarshalAs(UnmanagedType.U2)] public short DayOfWeek; [MarshalAs(UnmanagedType.U2)] public short Day; [MarshalAs(UnmanagedType.U2)] public short Hour; [MarshalAs(UnmanagedType.U2)] public short Minute; [MarshalAs(UnmanagedType.U2)] public short Second; [MarshalAs(UnmanagedType.U2)] public short Milliseconds; } [DllImport("kernel32.dll")] public static extern void GetLocalTime( out SystemTime systemTime); [DllImport("kernel32.dll")] public static extern void GetSystemTime( out SystemTime systemTime); [DllImport("kernel32.dll", SetLastError = true)] public static extern bool SetSystemTime( ref SystemTime systemTime); //[DllImport("kernel32.dll", SetLastError = true)] //public static extern bool SetLocalTime( //ref SystemTime systemTime); [System.Runtime.InteropServices.DllImportAttribute("kernel32.dll", EntryPoint = "SetLocalTime")] [return: System.Runtime.InteropServices.MarshalAsAttribute(System.Runtime.InteropServices.UnmanagedType.Bool)] public static extern bool SetLocalTime([InAttribute()] ref SystemTime lpSystemTime); #endregion ClockDriftSetup static void Main(string[] args) { try { SystemTime sysTime; GetSystemTime(out sysTime); sysTime.Milliseconds += (short)80; sysTime.Second += (short)3000; bool bResult = SetSystemTime(ref sysTime); if (bResult == false) throw new System.ComponentModel.Win32Exception(); } catch (Exception ex) { Console.WriteLine("Drift Error: " + ex.Message); } } } }

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  • Question - Setting dynamic HTML using Javascript to iFrames on Windows Mobile 6.1 - IE Mobile6

    - by swaroop
    Hi Experts, (excuse me if this is not the right forum to post - i couldn't find anything related to non-native programming and related to this topic) I Am trying to set a dynamic HTML into an iFrame on the webpage. I have tried a couple of things but none of them seem to work. I m able to read the innerHTML but can't seem to update it. // Able to read using document.getElementById('iFrameIdentifier').innerHTML; // On Desktop IE, this code works document.getElementById('iFrameId').contentWindow.document.open(); document.getElementById('iFrameId').contentWindow.document.write(dynamicHTML); document.getElementById('iFrameId').contentWindow.document.close(); Ideally the same function should work as how it works for div's but it says 'Object doesn't support this method or property". I have also tried document.getElementById('iFrameId').document.body.innerHTML. This apparently replaces the whole HTML of the page and not just the innerHTML. I have tried out a couple of things and they didn't work document.getElementById('iFrameId').body.innerHTML document.frames[0].document.body.innerHTML My purpose is to have a container element which can contain dynamic HTML that's set to it. I've been using it well till now when I observed that the setting innerHTML on a div is taking increasing amount of time because of the onClicks or other JS methods that are attached to the anchors and images in the dynamic HTML. Appears the JS methods or the HTML is some how not getting cleaned up properly (memory leak?) Also being discussed - http://www.experts-exchange.com/Programming/Languages/Scripting/JavaScript/Q_26185526.html#a32779090

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  • Android ignores scrollbarsize

    - by Maragues
    Hi, I'm trying to modify a ListView scrollbar's width without success <ListView android:id="@+id/android:list" android:layout_width="fill_parent" android:layout_height="wrap_content" android:choiceMode="singleChoice" android:scrollbars="vertical" android:scrollbarTrackVertical="@drawable/scrollbar_vertical_track" android:scrollbarThumbVertical="@drawable/scrollbar_vertical_thumb" android:scrollbarSize="4px" android:clickable="true"/> First I tried using a drawable image 4px wide, but the .png was resized. Then I tried using a shape extracted from SamplesApi, without success. <shape xmlns:android="http://schemas.android.com/apk/res/android" android:width="40px"> <gradient android:startColor="#505050" android:endColor="#C0C0C0" android:angle="0"/> <corners android:radius="0dp" /> I've tried with and without the android:width attribute. There's a question on the same topic (http://stackoverflow.com/questions/2565083/width-of-a-scroll-bar-in-android), but it doesn't try anything different that what I'm already trying. As far as I know, creating my own theme shouldn't change the output. There's an example in SamplesApi (Views/ScrollBars). I tried modifying the scrollbarSize attribute without result. I know about ninepatch images, but there's an attribute which should do what I want. Any hint? Thanks in advance.

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  • Error displaying a WinForm in Design mode with a custom control on it.

    - by George
    I have a UserControl that is part of a Class library. I reference this project from my solution. This adds a control from the referenced project to my toolbox. I add tghe control to a form. Everything looks good, I compile all and run. Perfect... But when I close the .frm with the control on it and re-open it, I get this error. The code continues to run. It may have something to do with namespaces. The original namespace was simply "Design" and this was ambiguous and conflicting so i decided to rename it. I think that's when my problems began. To prevent possible data loss before loading the designer, the following errors must be resolved: 2 Errors Ignore and Continue Why am I seeing this page? Could not find type 'Besi.Winforms.HtmlEditor.Editor'. Please make sure that the assembly that contains this type is referenced. If this type is a part of your development project, make sure that the project has been successfully built using settings for your current platform or Any CPU. Instances of this error (1) 1. There is no stack trace or error line information available for this error. Help with this error Could not find an associated help topic for this error. Check Windows Forms Design-Time error list Forum posts about this error Search the MSDN Forums for posts related to this error The variable 'Editor1' is either undeclared or was never assigned. Go to code Instances of this error (1) 1. BesiAdmin frmOrder.Designer.vb Line:775 Column:1 Show Call Stack at System.ComponentModel.Design.Serialization.CodeDomSerializerBase.Error(IDesignerSerializationManager manager, String exceptionText, String helpLink) at System.ComponentModel.Design.Serialization.CodeDomSerializerBase.DeserializeExpression(IDesignerSerializationManager manager, String name, CodeExpression expression) at System.ComponentModel.Design.Serialization.CodeDomSerializerBase.DeserializeExpression(IDesignerSerializationManager manager, String name, CodeExpression expression) at System.ComponentModel.Design.Serialization.CodeDomSerializerBase.DeserializeStatement(IDesignerSerializationManager manager, CodeStatement statement) Help with this error MSDN Help Forum posts about this error Search the MSDN Forums for posts related to this error

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  • vimscript: calling dictionary functions with call()

    - by intuited
    I'm hoping to call a "static" dictionary function using call(). By "static" I mean that the keyword 'dict' is not used in the function's definition. I use this nomenclature in the hopes that the effect of this keyword is to declare a static member function as is possible in java/C++/etc, ie to put the function name in the class namespace but allow it to be called without referencing an object. However this doesn't seem to work. For example: " Setup: let testdict = { } funct! testdict.funct() echo "called" endfunct " Tests: " Following each line is an indented comment " containing its output in message land, ie what was echoed. call testdict.funct() " called echo testdict.funct " 667 echo string(testdict.funct) " function('667') echo function('667') " E475: Invalid argument: 667 echo function('testdict.funct') " testdict.funct call call(testdict.funct, [ ]) " E725: Calling dict function without Dictionary: 667 " Same deal if there's an intermediate variable involved. let TestdictDotFunct = testdict.funct echo TestdictDotFunct " 667 echo string(TestdictDotFunct) " function('667') call TestdictDotFunct() " E725: Calling dict function without Dictionary: 667 From the help topic E725: It is also possible to add a function without the "dict" attribute as a Funcref to a Dictionary, but the "self" variable is not available then. So logic would seem to indicate that if "self" is not available, then it should be possible to call the function referenced by the Funcref without a Dictionary. However this doesn't seem to be the case. Am I missing something? Vim version info: $ aptitude show vim-gnome Package: vim-gnome State: installed Automatically installed: no Version: 2:7.2.245-2ubuntu2

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  • How to determine if "html" or "body" scrolls the window.

    - by David Murdoch
    The code below is used to find the element that can be scrolled (body or html) via javascript. var scrollElement = (function (tags) { var el, $el, init; // iterate through the tags... while (el = tags.pop()) { $el = $(el); // if the scrollTop value is already > 0 then this element will work if ( $el.scrollTop() > 0){ return $el; } // if scrollTop is 0 try to scroll. else if($el.scrollTop( 1 ).scrollTop() > 0) { // if that worked reset the scroll top and return the element return $el.scrollTop(0); } } return $(); } (["html", "body"])); // do stuff with scrollElement...like: // scrollElement.animate({"scrollTop":target.offset().top},1000); This code works perfectly when the height of the document is greater than the height of the window. However, when the height of the document is the same or less than the window the method above will not work because scrollTop() will always be equal to 0. This becomes a problem if the DOM is updated and the height of the document grows beyond the height of the window after the code runs. Also, I generally don't wait until document.ready to set up my javascript handlers (this generally works). I could append a tall div to the body temporarily to force the method above to work BUT that would required the document to be ready in IE (you can't add a node to the body element before the tag is closed). For more reading on the document.ready "anti-pattern" topic read this. So, I'd love to find a solution that finds the scrollable element even when the document is short. Any ideas?

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  • Is SHA-1 secure for password storage?

    - by Tgr
    Some people throw around remarks like "SHA-1 is broken" a lot, so I'm trying to understand what exactly that means. Let's assume I have a database of SHA-1 password hashes, and an attacker whith a state of the art SHA-1 breaking algorithm and a botnet with 100,000 machines gets access to it. (Having control over 100k home computers would mean they can do about 10^15 operations per second.) How much time would they need to find out the password of any one user? find out the password of a given user? find out the password of all users? find a way to log in as one of the users? find a way to log in as a specific user? How does that change if the passwords are salted? Does the method of salting (prefix, postfix, both, or something more complicated like xor-ing) matter? Here is my current understanding, after some googling. Please correct in the answers if I misunderstood something. If there is no salt, a rainbow attack will immediately find all passwords (except extremely long ones). If there is a sufficiently long random salt, the most effective way to find out the passwords is a brute force or dictionary attack. Neither collision nor preimage attacks are any help in finding out the actual password, so cryptographic attacks against SHA-1 are no help here. It doesn't even matter much what algorithm is used - one could even use MD5 or MD4 and the passwords would be just as safe (there is a slight difference because computing a SHA-1 hash is slower). To evaluate how safe "just as safe" is, let's assume that a single sha1 run takes 1000 operations and passwords contain uppercase, lowercase and digits (that is, 60 characters). That means the attacker can test 1015*60*60*24 / 1000 ~= 1017 potential password a day. For a brute force attack, that would mean testing all passwords up to 9 characters in 3 hours, up to 10 characters in a week, up to 11 characters in a year. (It takes 60 times as much for every additional character.) A dictionary attack is much, much faster (even an attacker with a single computer could pull it off in hours), but only finds weak passwords. To log in as a user, the attacker does not need to find out the exact password; it is enough to find a string that results in the same hash. This is called a first preimage attack. As far as I could find, there are no preimage attacks against SHA-1. (A bruteforce attack would take 2160 operations, which means our theoretical attacker would need 1030 years to pull it off. Limits of theoretical possibility are around 260 operations, at which the attack would take a few years.) There are preimage attacks against reduced versions of SHA-1 with negligible effect (for the reduced SHA-1 which uses 44 steps instead of 80, attack time is down from 2160 operations to 2157). There are collision attacks against SHA-1 which are well within theoretical possibility (the best I found brings the time down from 280 to 252), but those are useless against password hashes, even without salting. In short, storing passwords with SHA-1 seems perfectly safe. Did I miss something?

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  • Problem with MessageContract, Generic return types and clientside naming

    - by Soeteman
    I'm building a web service which uses MessageContracts, because I want to add custom fields to my SOAP header. In a previous topic, I learned that a composite response has to be wrapped. For this purpose, I devised a generic ResponseWrapper class. [MessageContract(WrapperNamespace = "http://mynamespace.com", WrapperName="WrapperOf{0}")] public class ResponseWrapper<T> { [MessageBodyMember(Namespace = "http://mynamespace.com")] public T Response { get; set; } } I made a ServiceResult base class, defined as follows: [MessageContract(WrapperNamespace = "http://mynamespace.com")] public class ServiceResult { [MessageBodyMember] public bool Status { get; set; } [MessageBodyMember] public string Message { get; set; } [MessageBodyMember] public string Description { get; set; } } To be able to include the request context in the response, I use a derived class of ServiceResult, which uses generics: [MessageContract(WrapperNamespace = "http://mynamespace.com", WrapperName = "ServiceResultOf{0}")] public class ServiceResult<TRequest> : ServiceResult { [MessageBodyMember] public TRequest Request { get; set; } } This is used in the following way [OperationContract()] ResponseWrapper<ServiceResult<HCCertificateRequest>> OrderHealthCertificate(RequestContext<HCCertificateRequest> context); I expected my client code to be generated as ServiceResultOfHCCertificateRequest OrderHealthCertificate(RequestContextOfHCCertificateRequest context); Instead, I get the following: ServiceResultOfHCCertificateRequestzSOTD_SSj OrderHealthCertificate(CompType1 c1, CompType2 c2, HCCertificateRequest context); CompType1 and CompType2 are properties of the RequestContext class. The problem is that a hash is added to the end of ServiceResultOfHCCertificateRequestzSOTD_SSj. How do I need define my generic return types in order for the client type to be generated as expected (without the hash)?

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  • Getting values from DataGridView back to XDocument (using LINQ-to-XML)

    - by Pretzel
    Learning LINQ has been a lot of fun so far, but despite reading a couple books and a bunch of online resources on the topic, I still feel like a total n00b. Recently, I just learned that if my query returns an Anonymous type, the DataGridView I'm populating will be ReadOnly (because, apparently Anonymous types are ReadOnly.) Right now, I'm trying to figure out the easiest way to: Get a subset of data from an XML file into a DataGridView, Allow the user to edit said data, Stick the changed data back into the XML file. So far I have Steps 1 and 2 figured out: public class Container { public string Id { get; set; } public string Barcode { get; set; } public float Quantity { get; set; } } // For use with the Distinct() operator public class ContainerComparer : IEqualityComparer<Container> { public bool Equals(Container x, Container y) { return x.Id == y.Id; } public int GetHashCode(Container obj) { return obj.Id.GetHashCode(); } } var barcodes = (from src in xmldoc.Descendants("Container") where src.Descendants().Count() > 0 select new Container { Id = (string)src.Element("Id"), Barcode = (string)src.Element("Barcode"), Quantity = float.Parse((string)src.Element("Quantity").Attribute("value")) }).Distinct(new ContainerComparer()); dataGridView1.DataSource = barcodes.ToList(); This works great at getting the data I want from the XML into the DataGridView so that the user has a way to manipulate the values. Upon doing a Step-thru trace of my code, I'm finding that the changes to the values made in DataGridView are not bound to the XDocument object and as such, do not propagate back. How do we take care of Step 3? (getting the data back to the XML) Is it possible to Bind the XML directly to the DataGridView? Or do I have to write another LINQ statement to get the data from the DGV back to the XDocument? Suggstions?

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  • Shopping list for developing Windows app on Mac

    - by raj.tiwari
    Folks, I need to maintain a C#/.Net desktop application. So, I need to set myself up with Windows(7?) and Visual Studio. My current development machine is a Macbook Pro and I would like to continue using it. Overall, I am considering the following recipe: Install VMWare Fusion or Parallels or VirtualBox for running the Windows OS Buy a version of Windows to develop on Buy Windows Developer tools Having been in the open source universe all this time, I am utterly unfamiliar with the options/packages in the Windows world. I could use some help on the following: Does the recipe above look fine, or do I need to change something? What is a good VM environment to buy/use? VirtualBox is free, but Parallels/VMWare promise Windows app that blend in with my Mac windows. Could use some help on this topic Does MSFT sell a package deal which has bare bones Windows 7 and the necessary dev tools, or do I need to buy the OS and dev tools separately? Since I only need Windows to churn this C# desktop application, What is the OS version and flavor or Visual Studio I should get? Thanks in advance for any pointers. -Raj

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  • How to implement an offline reader writer lock

    - by Peter Morris
    Some context for the question All objects in this question are persistent. All requests will be from a Silverlight client talking to an app server via a binary protocol (Hessian) and not WCF. Each user will have a session key (not an ASP.NET session) which will be a string, integer, or GUID (undecided so far). Some objects might take a long time to edit (30 or more minutes) so we have decided to use pessimistic offline locking. Pessimistic because having to reconcile conflicts would be far too annoying for users, offline because the client is not permanently connected to the server. Rather than storing session/object locking information in the object itself I have decided that any aggregate root that may have its instances locked should implement an interface ILockable public interface ILockable { Guid LockID { get; } } This LockID will be the identity of a "Lock" object which holds the information of which session is locking it. Now, if this were simple pessimistic locking I'd be able to achieve this very simply (using an incrementing version number on Lock to identify update conflicts), but what I actually need is ReaderWriter pessimistic offline locking. The reason is that some parts of the application will perform actions that read these complex structures. These include things like Reading a single structure to clone it. Reading multiple structures in order to create a binary file to "publish" the data to an external source. Read locks will be held for a very short period of time, typically less than a second, although in some circumstances they could be held for about 5 seconds at a guess. Write locks will mostly be held for a long time as they are mostly held by humans. There is a high probability of two users trying to edit the same aggregate at the same time, and a high probability of many users needing to temporarily read-lock at the same time too. I'm looking for suggestions as to how I might implement this. One additional point to make is that if I want to place a write lock and there are some read locks, I would like to "queue" the write lock so that no new read locks are placed. If the read locks are removed withing X seconds then the write lock is obtained, if not then the write lock backs off; no new read-locks would be placed while a write lock is queued. So far I have this idea The Lock object will have a version number (int) so I can detect multi-update conflicts, reload, try again. It will have a string[] for read locks A string to hold the session ID that has a write lock A string to hold the queued write lock Possibly a recursion counter to allow the same session to lock multiple times (for both read and write locks), but not sure about this yet. Rules: Can't place a read lock if there is a write lock or queued write lock. Can't place a write lock if there is a write lock or queued write lock. If there are no locks at all then a write lock may be placed. If there are read locks then a write lock will be queued instead of a full write lock placed. (If after X time the read locks are not gone the lock backs off, otherwise it is upgraded). Can't queue a write lock for a session that has a read lock. Can anyone see any problems? Suggest alternatives? Anything? I'd appreciate feedback before deciding on what approach to take.

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  • Should a Perl constructor return an undef or a "invalid" object?

    - by DVK
    Question: What is considered to be "Best practice" - and why - of handling errors in a constructor?. "Best Practice" can be a quote from Schwartz, or 50% of CPAN modules use it, etc...; but I'm happy with well reasoned opinion from anyone even if it explains why the common best practice is not really the best approach. As far as my own view of the topic (informed by software development in Perl for many years), I have seen three main approaches to error handling in a perl module (listed from best to worst in my opinion): Construct an object, set an invalid flag (usually "is_valid" method). Often coupled with setting error message via your class's error handling. Pros: Allows for standard (compared to other method calls) error handling as it allows to use $obj->errors() type calls after a bad constructor just like after any other method call. Allows for additional info to be passed (e.g. 1 error, warnings, etc...) Allows for lightweight "redo"/"fixme" functionality, In other words, if the object that is constructed is very heavy, with many complex attributes that are 100% always OK, and the only reason it is not valid is because someone entered an incorrect date, you can simply do "$obj->setDate()" instead of the overhead of re-executing entire constructor again. This pattern is not always needed, but can be enormously useful in the right design. Cons: None that I'm aware of. Return "undef". Cons: Can not achieve any of the Pros of the first solution (per-object error messages outside of global variables and lightweight "fixme" capability for heavy objects). Die inside the constructor. Outside of some very narrow edge cases, I personally consider this an awful choice for too many reasons to list on the margins of this question. UPDATE: Just to be clear, I consider the (otherwise very worthy and a great design) solution of having very simple constructor that can't fail at all and a heavy initializer method where all the error checking occurs to be merely a subset of either case #1 (if initializer sets error flags) or case #3 (if initializer dies) for the purposes of this question. Obviously, choosing such a design, you automatically reject option #2.

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  • Why Java language does not offer a way to declare getters and setters of a given "field" through ann

    - by zim2001
    I actually happily design and develop JEE Applications for quite 9 years, but I realized recently that as time goes by, I feel more and more fed up of dragging all these ugly bean classes with their bunch of getters and setters. Considering a basic bean like this : public class MyBean { // needs getter AND setter private int myField1; // needs only a getter, no setter private int myField2; // needs only a setter, no getter private int myField3; /** * Get the field1 * @return the field1 */ public int getField1() { return myField1; } /** * Set the field1 * @param value the value */ public void setField1(int value) { myField1 = value; } /** * Get the field2 * @return the field2 */ public int getField2() { return myField2; } /** * Set the field3 * @param value the value */ public void setField3(int value) { myField3 = value; } } I'm dreaming of something like this : public class MyBean { @inout(public,public) private int myField1; @out(public) private int myField2; @in(public) private int myField3; } No more stupid javadoc, just tell the important thing... It would still be possible to mix annotation and written down getters or setters, to cover cases when it should do non-trivial sets and gets. In other words, annotation would auto-generate the getter / setter code piece except when a literate one is provided. Moreover, I'm also dreaming of replacing things like that : MyBean b = new MyBean(); int v = b.getField1(); b.setField3(v+1); by such : MyBean b = new MyBean(); int v = b.field1; b.field3 = v+1; In fact, writing "b.field1" on the right side of an expression would be semantically identical to write "b.getField1()", I mean as if it has been replaced by some kind of a preprocessor. It's just an idea but I'm wondering if I'm alone on that topic, and also if it has major flaws. I'm aware that this question doesn't exactly meet the SO credo (we prefer questions that can be answered, not just discussed) so I flag it community wiki...

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  • PayPal: IPN vs PDT

    - by Tom
    Hi, I'm having some trouble choosing between PayPal's Instant Payment Notification (IPN) and Payment Data Transfer (PDT). Basically, users buy a one-off product on my site, pay on PayPal, and return to my site. I understand how IPN works but I'm now seeing that I might be able to trigger the various actions that take place after a successful purchase more easily with PDT, as the data gets returned there and then (as opposed to needing a separate listener). However, PayPal's PDT documentation contains this cryptic line: "PDT is not meant to be used with credit card or Express Checkout transactions." ... but I can't find anything further whatsoever on the topic. (1) Are credit cards REALLY not meant to be used with PDT? I would like more than a sentence. (2) Does that mean that a user must have/create a PayPal account to pay? (3) Does it mean that if I want to allow users to pay with their PayPal accounts AND/OR with credit cards directly, I must implement IPN? Could anyone who's gone through this kindly shed some light? Thank you.

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  • Databinding question: DataGridView <=> XDocument (using LINQ-to-XML)

    - by Pretzel
    Learning LINQ has been a lot of fun so far, but despite reading a couple books and a bunch of online resources on the topic, I still feel like a total n00b. Recently, I just learned that if my query returns an Anonymous type, the DataGridView I'm populating will be ReadOnly (because, apparently Anonymous types are ReadOnly.) Right now, I'm trying to figure out the easiest way to: Get a subset of data from an XML file into a DataGridView, Allow the user to edit said data, Stick the changed data back into the XML file. So far I have Steps 1 and 2 figured out: public class Container { public string Id { get; set; } public string Barcode { get; set; } public float Quantity { get; set; } } // For use with the Distinct() operator public class ContainerComparer : IEqualityComparer<Container> { public bool Equals(Container x, Container y) { return x.Id == y.Id; } public int GetHashCode(Container obj) { return obj.Id.GetHashCode(); } } var barcodes = (from src in xmldoc.Descendants("Container") where src.Descendants().Count() > 0 select new Container { Id = (string)src.Element("Id"), Barcode = (string)src.Element("Barcode"), Quantity = float.Parse((string)src.Element("Quantity").Attribute("value")) }).Distinct(new ContainerComparer()); dataGridView1.DataSource = barcodes.ToList(); This works great at getting the data I want from the XML into the DataGridView so that the user has a way to manipulate the values. Upon doing a Step-thru trace of my code, I'm finding that the changes to the values made in DataGridView are not bound to the XDocument object and as such, do not propagate back. How do we take care of Step 3? (getting the data back to the XML) Is it possible to Bind the XML directly to the DataGridView? Or do I have to write another LINQ statement to get the data from the DGV back to the XDocument? Suggstions?

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  • Beginning 3.2+ iPhone development

    - by Dinah
    I'm interested in learning Objective C for iPhone development. This is a topic which I realize has been covered to death. The qualifying difference is: I'd like to start learning beginning with the latest version (the most recent iPhone OS as of May, 2010 is ver. 3.2 and 4 beta is also out). I'd like to not have to wade through or unlearn legacy information. Using the links I've found throughout related topics on Stack Overflow, I'll read a blog post or tutorial which will say one thing, but then the comments will say, "this is different now in version xyz." For example, I've found this a few times regarding memory management/garbage collection. I assume that Apple's "getting started" doc.s will have the most recent info but many SO posts have said that those are not the most clear. The Stanford iPhone course looks great, but how do I know if it still applies to the most recent versions? Where should one start learning Objective C for iPhone development starting with version 3.2 or later without having as much exposure to legacy information?

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  • Database warehoue design: fact tables and dimension tables

    - by morpheous
    I am building a poor man's data warehouse using a RDBMS. I have identified the key 'attributes' to be recorded as: sex (true/false) demographic classification (A, B, C etc) place of birth date of birth weight (recorded daily): The fact that is being recorded My requirements are to be able to run 'OLAP' queries that allow me to: 'slice and dice' 'drill up/down' the data and generally, be able to view the data from different perspectives After reading up on this topic area, the general consensus seems to be that this is best implemented using dimension tables rather than normalized tables. Assuming that this assertion is true (i.e. the solution is best implemented using fact and dimension tables), I would like to see some help in the design of these tables. 'Natural' (or obvious) dimensions are: Date dimension Geographical location Which have hierarchical attributes. However, I am struggling with how to model the following fields: sex (true/false) demographic classification (A, B, C etc) The reason I am struggling with these fields is that: They have no obvious hierarchical attributes which will aid aggregation (AFAIA) - which suggest they should be in a fact table They are mostly static or very rarely change - which suggests they should be in a dimension table. Maybe the heuristic I am using above is too crude? I will give some examples on the type of analysis I would like to carryout on the data warehouse - hopefully that will clarify things further. I would like to aggregate and analyze the data by sex and demographic classification - e.g. answer questions like: How does male and female weights compare across different demographic classifications? Which demographic classification (male AND female), show the most increase in weight this quarter. etc. Can anyone clarify whether sex and demographic classification are part of the fact table, or whether they are (as I suspect) dimension tables.? Also assuming they are dimension tables, could someone elaborate on the table structures (i.e. the fields)? The 'obvious' schema: CREATE TABLE sex_type (is_male int); CREATE TABLE demographic_category (id int, name varchar(4)); may not be the correct one.

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  • Optimized Publish/Subcribe JMS Broker Cluster and Conflicting Posts on StackOverFlow for the Answer

    - by Gene
    Hi, I am looking to build a publish/subscribe distributed messaging framework that can manage huge volumes of message traffic with some intelligence at the broker level. I don't know if there's a topology that describes this, but this is the model I'm going after: EXAMPLE MODEL A A) There are two running message brokers (ideally all on localhost if possible, for easier demo-ing) : Broker-A Broker-B B) Each broker will have 2 listeners and 1 publisher. Example Figure [subscriber A1, subscriber A2, publisher A1] <-- BrokerA <-- BrokerB <-- [publisher B1, subscriber B1, subscriber B2] IF a message-X is published to broker A and there no subscribers for it among the listeners on Broker-B (via criteria in Message Selectors or Broker routing rules), then that message-X will never be published to Broker-B. ELSE, broker A will publish the message to broker B, where one of the broker B listeners/subscribers/services is expecting that message based on the subscription criteria. Is Clustering the Correct Approach? At first, I concluded that the "Broker Clustering" concept is what I needed to support this. However, as I have come to understand it, the typical use of clustering entails either: message redundancy across all brokers ... or Competing Consumers pattern ... and neither of these satisfy the requirement in the EXAMPLE MODEL A. What is the Correct Approach? My question is, does anyone know of a JMS implementation that supports the model I described? I scanned through all the stackoverflow post titles for the search: JMS and Cluster. I found these two informative, but seemingly conflicting posts: Says the EXAMPLE MODEL A is/should-be implicitly supported: http://stackoverflow.com/questions/2255816/jms-consumer-with-activemq-network-of-brokers " this means you pick a broker, connect to it, and let the broker network sort it out amongst themselves. In theory." Says the EXAMPLE MODEL A IS NOT suported: http://stackoverflow.com/questions/2017520/how-does-a-jms-topic-subscriber-in-a-clustered-application-server-recieve-message "All the instances of PropertiesSubscriber running on different app servers WILL get that message." Any suggestions would be greatly appreciated. Thanks very much for reading my post, Gene

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