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  • Junit (3.8.1) testing that an exception is thrown (works in unit test, fails when added to a testSui

    - by Mike Cargal
    I'm trying to test that I'm throwing an exception when appropriate. In my test class I have a method similar to the following: public void testParseException() { try { ClientEntitySingleton.getInstance(); fail("should have thrown exception."); } catch (RuntimeException re) { assertEquals( "<exception message>", re.getMessage()); } } This works fine (green bar) whenever I run that single unitTest class. However, when I add that test to a testSuite, I get a red bar Unit test failure reported on the exception. One more thing... it works in the testSuite, if it's the first test in the suite. Actually, I'm doing two of these tests and just figured out that if I make them the first two tests in the suite, all is good, but I get this failure if a "regular" test precedes it. So I have a work-around, but no real answer. Any ideas? Heres'a stack trace of the "failure" java.lang.RuntimeException: ProcEntity client dn="Xxxxxx/Xxxx/XXX" is defined multiple times. at com.someco.someprod.clientEntityManagement.ClientEntitySingleton.addClientEntity(ClientEntitySingleton.java:247) at com.someco.someprod.clientEntityManagement.ClientEntitySingleton.startElement(ClientEntitySingleton.java:264) at org.apache.xerces.parsers.AbstractSAXParser.startElement(Unknown Source) at org.apache.xerces.impl.XMLDocumentFragmentScannerImpl.scanStartElement(Unknown Source) at org.apache.xerces.impl.XMLDocumentFragmentScannerImpl$FragmentContentDispatcher.dispatch(Unknown Source) at org.apache.xerces.impl.XMLDocumentFragmentScannerImpl.scanDocument(Unknown Source) at org.apache.xerces.parsers.XML11Configuration.parse(Unknown Source) at org.apache.xerces.parsers.XML11Configuration.parse(Unknown Source) at org.apache.xerces.parsers.XMLParser.parse(Unknown Source) at org.apache.xerces.parsers.AbstractSAXParser.parse(Unknown Source) at com.someco.someprod.clientEntityManagement.ClientEntitySingleton.parse(ClientEntitySingleton.java:216) at com.someco.someprod.clientEntityManagement.ClientEntitySingleton.reload(ClientEntitySingleton.java:303) at com.someco.someprod.clientEntityManagement.ClientEntitySingleton.setInputSourceProvider(ClientEntitySingleton.java:88) at com.someco.someprod.clientEntityManagement.test.TestClientBase.setUp(TestClientBase.java:17) at com.someco.someprod.clientEntityManagement.test.TestClientEntityDup.setUp(TestClientEntityDup.java:8) at junit.framework.TestCase.runBare(TestCase.java:125) at junit.framework.TestResult$1.protect(TestResult.java:106) at junit.framework.TestResult.runProtected(TestResult.java:124) at junit.framework.TestResult.run(TestResult.java:109) at junit.framework.TestCase.run(TestCase.java:118) at junit.framework.TestSuite.runTest(TestSuite.java:208) at junit.framework.TestSuite.run(TestSuite.java:203) at junit.framework.TestSuite.runTest(TestSuite.java:208) at junit.framework.TestSuite.run(TestSuite.java:203) at org.eclipse.jdt.internal.junit.runner.junit3.JUnit3TestReference.run(JUnit3TestReference.java:128) at org.eclipse.jdt.internal.junit.runner.TestExecution.run(TestExecution.java:38) at org.eclipse.jdt.internal.junit.runner.RemoteTestRunner.runTests(RemoteTestRunner.java:460) at org.eclipse.jdt.internal.junit.runner.RemoteTestRunner.runTests(RemoteTestRunner.java:673) at org.eclipse.jdt.internal.junit.runner.RemoteTestRunner.run(RemoteTestRunner.java:386) at org.eclipse.jdt.internal.junit.runner.RemoteTestRunner.main(RemoteTestRunner.java:196)

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  • Start a short video when an incoming call is detected, first case using the emulator.

    - by Emanuel
    I want to be able to start a short video on an incoming phone call. The video will loop until the call is answered. I've loaded the video onto the emulator sdcard then created the appropriate level avd with a path to the sdcard.iso file on disk. Since I'm running on a Mac OS x snow leopard I am able to confirm the contents of the sdcard. All testing has be done on the Android emulator. In a separate project TestVideo I created an activity that just launches the video from the sdcard. That works as expected. Then I created another project TestIncoming that creates an activity that creates a PhoneStateListener that overrides the onCallStateChanged(int state, String incomingNumber) method. In the onCallStateChanged() method I check if state == TelephonyManager.CALL_STATE_RINGING. If true I create an Intent that starts the video. I'm actually using the code from the TestVideo project above. Here is the code snippet. PhoneStateListener callStateListener = new PhoneStateListener() { @Override public void onCallStateChanged(int state, String incomingNumber) { if(state == TelelphonyManager.CALL_STATE_RINGING) { Intent launchVideo = new Intent(MyActivity.this, LaunchVideo.class); startActivity(launchVideo); } } }; The PhoneStateListener is added to the TelephonyManager.listen() method like so, telephonyManager.listen(callStateListener, PhoneStateListener.LISTEN_CALL_STATE); Here is the part I'm unclear on, the manifest. What I've tried is the following: <?xml version="1.0" encoding="utf-8"?> <manifest xmlns:android="http://schemas.android.com/apk/res/android" package="com.example.incomingdemo" android:versionCode="1" android:versionName="1.0"> <application android:icon="@drawable/icon" android:label="@string/app_name"> <activity android:name=".IncomingVideoDemo" android:label="@string/app_name"> <intent-filter> <action android:name="android.intent.action.ANSWER" /> <category android:name="android.intent.category.DEFAULT" /> </intent-filter> </activity> <activity android:name=".LaunchVideo" android:label="LaunchVideo"> </activity> </application> <uses-sdk android:minSdkVersion="2" /> <uses-permission android:name="android.permission.READ_PHONE_STATE"/> </manifest> I've run the debugger after setting breakpoints in the IncomingVideoDemo activity where the PhoneStateListener is created and none of the breakpoints are hit. Any insights into solving this problem is greatly appreciated. Thanks.

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  • Why is numpy's einsum faster than numpy's built in functions?

    - by Ophion
    Lets start with three arrays of dtype=np.double. Timings are performed on a intel CPU using numpy 1.7.1 compiled with icc and linked to intel's mkl. A AMD cpu with numpy 1.6.1 compiled with gcc without mkl was also used to verify the timings. Please note the timings scale nearly linearly with system size and are not due to the small overhead incurred in the numpy functions if statements these difference will show up in microseconds not milliseconds: arr_1D=np.arange(500,dtype=np.double) large_arr_1D=np.arange(100000,dtype=np.double) arr_2D=np.arange(500**2,dtype=np.double).reshape(500,500) arr_3D=np.arange(500**3,dtype=np.double).reshape(500,500,500) First lets look at the np.sum function: np.all(np.sum(arr_3D)==np.einsum('ijk->',arr_3D)) True %timeit np.sum(arr_3D) 10 loops, best of 3: 142 ms per loop %timeit np.einsum('ijk->', arr_3D) 10 loops, best of 3: 70.2 ms per loop Powers: np.allclose(arr_3D*arr_3D*arr_3D,np.einsum('ijk,ijk,ijk->ijk',arr_3D,arr_3D,arr_3D)) True %timeit arr_3D*arr_3D*arr_3D 1 loops, best of 3: 1.32 s per loop %timeit np.einsum('ijk,ijk,ijk->ijk', arr_3D, arr_3D, arr_3D) 1 loops, best of 3: 694 ms per loop Outer product: np.all(np.outer(arr_1D,arr_1D)==np.einsum('i,k->ik',arr_1D,arr_1D)) True %timeit np.outer(arr_1D, arr_1D) 1000 loops, best of 3: 411 us per loop %timeit np.einsum('i,k->ik', arr_1D, arr_1D) 1000 loops, best of 3: 245 us per loop All of the above are twice as fast with np.einsum. These should be apples to apples comparisons as everything is specifically of dtype=np.double. I would expect the speed up in an operation like this: np.allclose(np.sum(arr_2D*arr_3D),np.einsum('ij,oij->',arr_2D,arr_3D)) True %timeit np.sum(arr_2D*arr_3D) 1 loops, best of 3: 813 ms per loop %timeit np.einsum('ij,oij->', arr_2D, arr_3D) 10 loops, best of 3: 85.1 ms per loop Einsum seems to be at least twice as fast for np.inner, np.outer, np.kron, and np.sum regardless of axes selection. The primary exception being np.dot as it calls DGEMM from a BLAS library. So why is np.einsum faster that other numpy functions that are equivalent? The DGEMM case for completeness: np.allclose(np.dot(arr_2D,arr_2D),np.einsum('ij,jk',arr_2D,arr_2D)) True %timeit np.einsum('ij,jk',arr_2D,arr_2D) 10 loops, best of 3: 56.1 ms per loop %timeit np.dot(arr_2D,arr_2D) 100 loops, best of 3: 5.17 ms per loop The leading theory is from @sebergs comment that np.einsum can make use of SSE2, but numpy's ufuncs will not until numpy 1.8 (see the change log). I believe this is the correct answer, but have not been able to confirm it. Some limited proof can be found by changing the dtype of input array and observing speed difference and the fact that not everyone observes the same trends in timings.

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  • Historical / auditable database

    - by Mark
    Hi all, This question is related to the schema that can be found in one of my other questions here. Basically in my database I store users, locations, sensors amongst other things. All of these things are editable in the system by users, and deletable. However - when an item is edited or deleted I need to store the old data; I need to be able to see what the data was before the change. There are also non-editable items in the database, such as "readings". They are more of a log really. Readings are logged against sensors, because its the reading for a particular sensor. If I generate a report of readings, I need to be able to see what the attributes for a location or sensor was at the time of the reading. Basically I should be able to reconstruct the data for any point in time. Now, I've done this before and got it working well by adding the following columns to each editable table: valid_from valid_to edited_by If valid_to = 9999-12-31 23:59:59 then that's the current record. If valid_to equals valid_from, then the record is deleted. However, I was never happy with the triggers I needed to use to enforce foreign key consistency. I can possibly avoid triggers by using the extension to the "PostgreSQL" database. This provides a column type called "period" which allows you to store a period of time between two dates, and then allows you to do CHECK constraints to prevent overlapping periods. That might be an answer. I am wondering though if there is another way. I've seen people mention using special historical tables, but I don't really like the thought of maintainling 2 tables for almost every 1 table (though it still might be a possibility). Maybe I could cut down my initial implementation to not bother checking the consistency of records that aren't "current" - i.e. only bother to check constraints on records where the valid_to is 9999-12-31 23:59:59. Afterall, the people who use historical tables do not seem to have constraint checks on those tables (for the same reason, you'd need triggers). Does anyone have any thoughts about this? PS - the title also mentions auditable database. In the previous system I mentioned, there is always the edited_by field. This allowed all changes to be tracked so we could always see who changed a record. Not sure how much difference that might make. Thanks.

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  • bug in my jquery code while trying replace html elements with own values

    - by loviji
    I today ask a question, about using Jquery, replace html elements with own values. link text And I use answer, and get a problem. function replaceWithValues not works same in all cases.I call this function two times: 1. btnAddParam click 2. btnCancelEdit click $("#btnAddParam").click(function() { var lastRow = $('#mainTable tr:last'); var rowState = $("#mainTable tr:last>td:first"); replaceWithValues(lastRow, rowState); var htmlToAppend = "<tr bgcolor='#B0B0B0' ><td class='textField' er='editable'><input value='' type='text' /></td><td><textarea cols='40' rows='3' ></textarea></td><td>" + initSelectType(currentID) + "</td><td><input id='txt" + currentID + "3' type='text' class='measureUnit' /></td><td><input type='checkbox' /></td><td></td></tr>"; $("#mainTable").append(htmlToAppend); }); //buttonCancelEdit located in end of row $('#mainTable input:button').unbind().live('click', function() { var row = $(this).closest('tr'); var rowState = $(this).closest('tr').find("td:first"); replaceWithValues(row, rowState); $(this).remove(); }); //do row editable -- replaceWithElements $('#mainTable tr').unbind().live('click', function() { if ($(this).find("td:first").attr("er") == "readable") { var rowState = $(this).closest('tr').find("td:first"); replaceWithElements($(this), rowState); } }); function replaceWithValues(row, er) { if (er.attr("er") == "editable") { var inputElements = $('td > input:text', row); inputElements.each(function() { var value = $(this).val(); $(this).replaceWith(value); }); er.attr("er", "readable"); } } function replaceWithElements(row, er) { if (er.attr("er") == "readable") { var tdinit = $("<td>").attr("er", "editable").addClass("textField"); $('.textField', row).each(function() { var element = tdinit.append($("<input type='text' value="+$.trim($(this).text())+" />")); $(this).empty().replaceWith(element); }); row.find("td:last").append("<input type='button'/>"); //$('.selectField') ... //$('.textAreaField') ... } } $("#btnAddParam").click() function works well. it call function replaceWithValues. I call $('#mainTable tr').unbind().live('click', function() { } to do row editable, and it creates a button in the end of row. After user can click this button and call function $('#mainTable input:button').unbind().live('click', function() {}. and this function call function replaceWithValues. but in this case it doesn't work.

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  • Java object to XML Elements?

    - by DaveKub
    I'm working on a webservices client app and I have it mostly working. I can retrieve and read data from the third-party webservice fine. Now I need to submit some data and I'm stuck. The classes for the objects I'm retrieving/submitting were generated from XSD files via the xjc tool. The part I'm stuck on is turning one of those objects into an XML tree to submit to the webservice. When I retrieve/send a request from/to the ws, it contains a 'payload' object. This is defined in java code as (partial listing): @XmlAccessorType(XmlAccessType.FIELD) @XmlType(name = "PayloadType", propOrder = { "compressed", "document", "any", "format" }) public class PayloadType { @XmlElement(name = "Compressed") protected String compressed; @XmlElement(name = "Document") protected List<String> document; @XmlAnyElement protected List<Element> any; protected String format; public List<Element> getAny() { if (any == null) { any = new ArrayList<Element>(); } return this.any; } } The only field I'm concerned with is the 'any' field which contains an XML tree. When I retrieve data from the ws, I read that field with something like this: ('root' is of org.w3c.dom.Element type and is the result of calling 'getAny().get(0)' on the payload object) NodeList nl = root.getElementsByTagName("ns1:Process"); // "ns1:Process" is an XML node to do something with if (nl != null && nl.getLength() > 0) { for (int i = 0; i < nl.getLength(); i++) { Element proc = (Element) nl.item(i); try { // do something with the 'proc' Element here... } catch (Exception ex) { // handle problems here... } } } Submitting data is where I'm stuck. How do I take a java object created from one of the classes generated from XSD and turn it into an Element object that I can add to the 'any' List of the payload object?? For instance, if I have a DailyData class and I create and populate it with data: DailyData dData = new DailyData(); dData.setID = 34; dData.setValues = "3,5,76,23"; How do I add that 'dData' object to the 'any' List of the payload object? It has to be an Element. Do I do something with a JAXBContext marshaller? I've used that to dump the 'dData' object to the screen to check the XML structure. I'm sure the answer is staring me in the face but I just can't see it! Dave

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  • Verify Authenticode signature as being from our company for automatic updater

    - by James Johnston
    I am implementing an automatic update feature and need some advice on how to do this securely using best practices. I would like to use the downloaded file's Authenticode signature to verify that it is safe to run (i.e. originates from our company and hasn't been tampered with). My question is very similar to question #2008519. The bottom-line question: what's the best, most secure way to check Authenticode signatures for an automatic update feature? What fields in the certificate should be checked? Requirements being: (1) check signature is valid, (2) check it's my signature, (3) old clients can still update when my certificate expires and I get a new one. Here's some background information / ideas from my research: I believe this could be broken into two steps: Verify that the signature is valid. I believe this should be easy using WinVerifyTrust as outlined in http://msdn.microsoft.com/en-us/library/aa382384(VS.85).aspx - I don't expect problems here. Verify that the signature corresponds to our company, and not another company. This seems to be a more difficult question to answer: One possibility is to check some of the strings in the signature. Could be obtained via code at MS KB article #323809, but this article doesn't make recommendations on what fields should be checked for this type of application (or any other, for that matter). Question #1072540 also illustrates how to get some certificate info, but again doesn't recommend what fields to actually check. My concern is that the strings might not be the best check: what if another person is able to obtain a certificate with the same name, for example? Or if there's a valid reason for us to change the strings in the future? The person at question #2008519 has a very similar requirement. His need for a "TrustedByUs" function is identical to mine. However, he goes about doing the check by comparing public keys. While this would work in the short-term, it seems like it won't work for an automatic update feature. This is because code signing certificates are only valid for 2 - 3 years max. Therefore, in the future, when we buy a new certificate in 2 years, the old clients wouldn't be able to update any more due to the change in public key.

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  • Override variables while testing a standalone Perl script

    - by BrianH
    There is a Perl script in our environment that I now need to maintain. It is full of bad practices, including using (and re-using) global variables throughout the script. Before I start making changes to the script, I was going to try to write some test scripts so I can have a good regression base. To do this, I was going to use a method described on this page. I was starting by writing tests for a single subroutine. I put this line somewhat near the top of the script I am testing: return 1 if ( caller() ); That way, in my test script, I can require 'script_to_test.pl'; and it won't execute the whole script. The first subroutine I was going to test makes a lot of use of global variables that are set throughout the script. My thought was to try to override these variables in my test script, something like this: require_ok('script_to_test.pl'); $var_from_other_script = 'Override Value'; ok( sub_from_other_script() ); Unfortunately (for me), the script I am testing has a massive "my" block at the top, where it declares all variables used in the script. This prevents my test script from seeing/changing the variables in the script I'm running tests against. I've played with Exporter, Test::Mock..., and some other modules, but it looks like if I want to be able to change any variables I am going to have to modify the other script in some fashion. My goal is to not change the other script, but to get some good tests running so when I do start changing the other script, I can make sure I didn't break anything. The script is about 10,000 lines (3,000 of them in the main block), so I'm afraid that if I start changing things, I will affect other parts of the code, so having a good test suite would help. Is this possible? Can a calling script modify variables in another script declared with "my"? And please don't jump in with answers like, "Just re-write the script from scratch", etc. That may be the best solution, but it doesn't answer my question, and we don't have the time/resources for a re-write.

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  • Hosting a WCF Service Lib through a Windows service get a System.InvalidOperationException: attempti

    - by JohnL
    I have a WCF Service Library containing five service contracts. The library is hosted through a Windows Service. Most if not all my configuration for the WCF Library is declaritive. The only thing I am doing in code for configuration is to pass the type of the class implementing the service contracts into ServiceHost. I then call Open on each of the services during the Windows Service OnStart event. Here is the error message I get: Service cannot be started. System.InvalidOperationException: Service '[Fubu.Conversion.Service1' has zero application (non-infrastructure) endpoints. This might be because no configuration file was found for your application, or because no service element matching the service name could be found in the configuration file, or because no endpoints were defined in the service element. at System.ServiceModel.Description.DispatcherBuilder.EnsureThereAreNonMexEndpoints(ServiceDescription description) at System.ServiceModel.Description.DispatcherBuilder.InitializeServiceHost(ServiceDescription description, ServiceHostBase serviceHost) at System.ServiceModel.ServiceHostBase.InitializeRuntime() at System.ServiceModel.ServiceHostBase.OnBeginOpen() at System.ServiceModel.ServiceHostBase.OnOpen(TimeSpan timeout) at System.ServiceModel.Channels.CommunicationObject.Open(TimeSpan timeout) at System.ServiceModel.Channels.CommunicationObject.Open() at Fubu.RemotingHost.RemotingHost.StartServ... protected override void OnStart(string[] args) { // Uncomment to debug this properly //System.Diagnostics.Debugger.Break(); StartService1(); StartService2(); StartService3(); StartService4(); StartService5(); } Each of the above simply do the following: private void StartSecurityService() { host = new ServiceHost(typeof(Service1)); host.Open(); } Service Lib app.congfig summary <services> <service behaviorConfiguration="DefaultServiceBehavior" name="Fubu.Conversion.Service1"> <endpoint address="" binding="netTcpBinding" bindingConfiguration="TCPBindingConfig" name="Service1" bindingName="TCPEndPoint" contract="Fubu.Conversion.IService1"> <identity> <dns value="localhost" /> </identity> </endpoint> <endpoint address="mex" binding="mexTcpBinding" bindingConfiguration="" name="mexSecurity" bindingName="TcpMetaData" contract="IMetadataExchange" /> <host> <baseAddresses> <add baseAddress="net.tcp://localhost:8025/Fubu/Conversion/Service1/" /> </baseAddresses> </host> </service> ... Contract is set up as follows: namespace Fubu.Conversion.Service1 { [ServiceContract(Namespace = "net.tcp://localhost:8025/Fubu")] public interface IService1 { I have looked "high and low" for a solution without any luck. Is the answer obvious? The solution to this does not appear to be. Thanks

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  • How to sort my paws?

    - by Ivo Flipse
    In my previous question I got an excellent answer that helped me detect where a paw hit a pressure plate, but now I'm struggling to link these results to their corresponding paws: I manually annotated the paws (RF=right front, RH= right hind, LF=left front, LH=left hind). As you can see there's clearly a pattern repeating pattern and it comes back in aknist every measurement. Here's a link to a presentation of 6 trials that were manually annotated. My initial thought was to use heuristics to do the sorting, like: There's a ~60-40% ratio in weight bearing between the front and hind paws; The hind paws are generally smaller in surface; The paws are (often) spatially divided in left and right. However, I’m a bit skeptical about my heuristics, as they would fail on me as soon as I encounter a variation I hadn’t thought off. They also won’t be able to cope with measurements from lame dogs, whom probably have rules of their own. Furthermore, the annotation suggested by Joe sometimes get's messed up and doesn't take into account what the paw actually looks like. Based on the answers I received on my question about peak detection within the paw, I’m hoping there are more advanced solutions to sort the paws. Especially because the pressure distribution and the progression thereof are different for each separate paw, almost like a fingerprint. I hope there's a method that can use this to cluster my paws, rather than just sorting them in order of occurrence. So I'm looking for a better way to sort the results with their corresponding paw. For anyone up to the challenge, I have pickled a dictionary with all the sliced arrays that contain the pressure data of each paw (bundled by measurement) and the slice that describes their location (location on the plate and in time). To clarfiy: walk_sliced_data is a dictionary that contains ['ser_3', 'ser_2', 'sel_1', 'sel_2', 'ser_1', 'sel_3'], which are the names of the measurements. Each measurement contains another dictionary, [0, 1, 2, 3, 4, 5, 6, 7, 8, 9, 10] (example from 'sel_1') which represent the impacts that were extracted. Also note that 'false' impacts, such as where the paw is partially measured (in space or time) can be ignored. They are only useful because they can help recognizing a pattern, but won't be analyzed. And for anyone interested, I’m keeping a blog with all the updates regarding the project!

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  • LINQ to SQL Could not find key member. Only fails on server.

    - by Adam Carr
    I have a scenario where I am inheriting from an abstract class in my partial linq to sql auto generated class implementation. My base abstract class has an abstract property called ID which I have flagged inside my LINQ to SQL model with the instance modifier override. This works fine locally without any issues. I have also done some development on another machine and it works fine there too (both in VS2008 and using Subversion). I am running CI with TeamCity and the build succeeds and deploys as desired. The problem is when the server tries to hit the database for the first time via the LINQ to SQL data context, it generates the following error. "Could not find key member 'Id' of key 'Id' on type 'CustomType'. The key may be wrong or the field or property on 'CustomType' has changed names." I have tried changing my configuration by not implementing the Id field in my base class but this still fails. Why does it work on both of my DEV machines but not on the server? I am using LINQ to SQL in another project that runs on this server just fine. FYI: LINQ to SQL, SQL 2008, .NET 3.5, SERVER 2008, IIS 7.0 UPDATE I have gone back and added the same table a second time in the same data model but without a base class and have then displayed the results from that table and got no errors. This tells me it has something to do with my base abstract class and the need to flag a property on one of my linq to sql model classes (that belongs to a key relationship) with the instance modifier of override. No answer to this yet but am getting closer. UPDATE I have fixed my issue by simply changing my approach to my problem but I am still interested in why this doesn't work. I created a new WinSrv2008 VPC and patched it, deployed a pre-built version of my site to it and still got the same error. I now assume the issue is like what the person said here, a dependency issue with VS2008. My question is what or what? Will install VS2008 on the VPC to see if it works after that.

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  • Display the form again ?

    - by noralain
    Hi all, I want to ask about the form in javascript .. I want to do a game that the user enter the correct word, then alert message will apeared for correct word.. When the user do the first word correctly, the program will display another word (to be corrected) .. but the problem which i faced that i can't make the form display again to continue play the game .. i used : var d = document.getElementById("form1"); d.style.visibility = "visible"; but it doesn't work !! This is my code: <title>Word Decoder</title> <script type="text/javascript"> function checkWord(word, score){ var ok = words[score].valueOf(); var ok1 = document.getElementById("wordid"); if(ok1.value == ok){ score ++; alert("Correct, your score is: " + score); var d = document.getElementById("form1"); d.style.visibility = "visible"; return false; } else { alert("Wrong Spelling"); return false; } } </script> </head> <body> <script type="text/javascript"> var words = new Array ("apple", "orange", "banana", "manago", "table"); var reWords = new Array ("alpep", "ergano", "aaabnn", "goamna", "lbeat"); var count = 0; var score = 0; "</br>"; </script> <form id="form1"> <br> <dir id="displayForm" style="position: relative; visibility: visible; display: block"> <h3><b> <script> document.write(reWords[score]);</script> </b></h3> <br> Enter the correct word: <input type="text" value="" id="wordid"/> <input type="submit" value="Check Answer ??" onclick="return checkWord(wordid, score);" /> </dir> </form> </body> Can help me to solve the problem? Again: I want the game will display a scrambled word and the user must unscrambled the word to move to the other word. The problem is i can't display the form again to make the user unscrambled the second, third ..etc words..

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  • Constraint Satisfaction Problem

    - by Carl Smotricz
    I'm struggling my way through Artificial Intelligence: A Modern Approach in order to alleviate my natural stupidity. In trying to solve some of the exercises, I've come up against the "Who Owns the Zebra" problem, Exercise 5.13 in Chapter 5. This has been a topic here on SO but the responses mostly addressed the question "how would you solve this if you had a free choice of problem solving software available?" I accept that Prolog is a very appropriate programming language for this kind of problem, and there are some fine packages available, e.g. in Python as shown by the top-ranked answer and also standalone. Alas, none of this is helping me "tough it out" in a way as outlined by the book. The book appears to suggest building a set of dual or perhaps global constraints, and then implementing some of the algorithms mentioned to find a solution. I'm having a lot of trouble coming up with a set of constraints suitable for modelling the problem. I'm studying this on my own so I don't have access to a professor or TA to get me over the hump - this is where I'm asking for your help. I see little similarity to the examples in the chapter. I was eager to build dual constraints and started out by creating (the logical equivalent of) 25 variables: nationality1, nationality2, nationality3, ... nationality5, pet1, pet2, pet3, ... pet5, drink1 ... drink5 and so on, where the number was indicative of the house's position. This is fine for building the unary constraints, e.g. The Norwegian lives in the first house: nationality1 = { :norway }. But most of the constraints are a combination of two such variables through a common house number, e.g. The Swede has a dog: nationality[n] = { :sweden } AND pet[n] = { :dog } where n can range from 1 to 5, obviously. Or stated another way: nationality1 = { :sweden } AND pet1 = { :dog } XOR nationality2 = { :sweden } AND pet2 = { :dog } XOR nationality3 = { :sweden } AND pet3 = { :dog } XOR nationality4 = { :sweden } AND pet4 = { :dog } XOR nationality5 = { :sweden } AND pet5 = { :dog } ...which has a decidedly different feel to it than the "list of tuples" advocated by the book: ( X1, X2, X3 = { val1, val2, val3 }, { val4, val5, val6 }, ... ) I'm not looking for a solution per se; I'm looking for a start on how to model this problem in a way that's compatible with the book's approach. Any help appreciated.

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  • Problems using FluentNHibernate + SQLite with .NET4?

    - by stiank81
    I have a WPF application running with VS2010 .Net3.5 using Nhibernate with FluentNHibernate + SQLite, and all works fine. Now I want to change to use .Net4, but this has turned into a more painful experience then I expected.. When setting up the connection a FluentConfigurationException is thrown from FluentConfiguration.BuildConfiguration saying: An invalid or incomplete configuration was used while creating a SessionFactory. Check PotentialReasons collection, and InnerException for more details. The inner exception gives us more information: Could not create the driver from NHibernate.Driver.SQLite20Driver, NHibernate, Version=2.1.2.4000, Culture=neutral, PublicKeyToken=aa95f207798dfdb4. It has an InnerException again: Exception has been thrown by the target of an invocation. Which again has an InnerException: The IDbCommand and IDbConnection implementation in the assembly System.Data.SQLite could not be found. Ensure that the assembly System.Data.SQLite is located in the application directory or in the Global Assembly Cache. If the assembly is in the GAC, use element in the application configuration file to specify the full name of the assembly. Now - to me it sounds like it doesn't find System.Data.SQLite.dll, but I can't understand this. Everywhere this is referenced I have "Copy Local", and I have verified that it is in every build folder for projects using SQLite. I have also copied it manually to every Debug folder of the solution - without luck. Notes: This is exactly the same code that worked just fine before I upgraded to .Net4. I did see some x64 x86 mismatch problems earlier, but I have switched to use x86 as the target platform and for all referenced dlls. I have verified that all files in the Debug-folder are x86. I have tried the precompiled Fluent dlls, I have tried compiling myself, and I have compiled my own version of Fluent using .Net4. I see that there are also others that have seen this problem, but I haven't really seen any solution yet. After @devio's answer I tried adding a reference to the SQLite dll. This didn't change anything, but I hope I made it right though.. This is what I added to the root node of the app.config file: <runtime> <assemblyBinding xmlns="urn:schemas-microsoft-com:asm.v1"> <qualifyAssembly partialName="System.Data.SQLite" fullName="System.Data.SQLite, Version=1.0.60.0, Culture=neutral, PublicKeyToken=db937bc2d44ff139" /> </assemblyBinding> </runtime> Anyone out there using Fluent with .Net4 and SQLite successfully? Help! I'm lost...

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  • Any tool(s) for knowing the layout (segments) of running process in Windows?

    - by claws
    I've always been curious about How exactly the process looks in memory? What are the different segments(parts) in it? How exactly will be the program (on the disk) & process (in the memory) are related? My previous question: http://stackoverflow.com/questions/1966920/more-info-on-memory-layout-of-an-executable-program-process In my quest, I finally found a answer. I found this excellent article that cleared most of my queries: http://www.linuxforums.org/articles/understanding-elf-using-readelf-and-objdump_125.html In the above article, author shows how to get different segments of the process (LINUX) & he compares it with its corresponding ELF file. I'm quoting this section here: Courious to see the real layout of process segment? We can use /proc//maps file to reveal it. is the PID of the process we want to observe. Before we move on, we have a small problem here. Our test program runs so fast that it ends before we can even dump the related /proc entry. I use gdb to solve this. You can use another trick such as inserting sleep() before it calls return(). In a console (or a terminal emulator such as xterm) do: $ gdb test (gdb) b main Breakpoint 1 at 0x8048376 (gdb) r Breakpoint 1, 0x08048376 in main () Hold right here, open another console and find out the PID of program "test". If you want the quick way, type: $ cat /proc/`pgrep test`/maps You will see an output like below (you might get different output): [1] 0039d000-003b2000 r-xp 00000000 16:41 1080084 /lib/ld-2.3.3.so [2] 003b2000-003b3000 r--p 00014000 16:41 1080084 /lib/ld-2.3.3.so [3] 003b3000-003b4000 rw-p 00015000 16:41 1080084 /lib/ld-2.3.3.so [4] 003b6000-004cb000 r-xp 00000000 16:41 1080085 /lib/tls/libc-2.3.3.so [5] 004cb000-004cd000 r--p 00115000 16:41 1080085 /lib/tls/libc-2.3.3.so [6] 004cd000-004cf000 rw-p 00117000 16:41 1080085 /lib/tls/libc-2.3.3.so [7] 004cf000-004d1000 rw-p 004cf000 00:00 0 [8] 08048000-08049000 r-xp 00000000 16:06 66970 /tmp/test [9] 08049000-0804a000 rw-p 00000000 16:06 66970 /tmp/test [10] b7fec000-b7fed000 rw-p b7fec000 00:00 0 [11] bffeb000-c0000000 rw-p bffeb000 00:00 0 [12] ffffe000-fffff000 ---p 00000000 00:00 0 Note: I add number on each line as reference. Back to gdb, type: (gdb) q So, in total, we see 12 segment (also known as Virtual Memory Area--VMA). But I want to know about Windows Process & PE file format. Any tool(s) for getting the layout (segments) of running process in Windows? Any other good resources for learning more on this subject? EDIT: Are there any good articles which shows the mapping between PE file sections & VA segments?

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  • Searches (and general querying) with HBase and/or Cassandra (best practices?)

    - by alexeypro
    I have User model object with quite few fields (properties, if you wish) in it. Say "firstname", "lastname", "city" and "year-of-birth". Each user also gets "unique id". I want to be able to search by them. How do I do that properly? How to do that at all? My understanding (will work for pretty much any key-value storage -- first goes key, then value) u:123456789 = serialized_json_object ("u" as a simple prefix for user's keys, 123456789 is "unique id"). Now, thinking that I want to be able to search by firstname and lastname, I can save in: f:Steve = u:384734807,u:2398248764,u:23276263 f:Alex = u:12324355,u:121324334 so key is "f" - which is prefix for firstnames, and "Steve" is actual firstname. For "u:Steve" we save as value all user id's who are "Steve's". That makes every search very-very easy. Querying by few fields (properties) -- say by firstname (i.e. "Steve") and lastname (i.e. "l:Anything") is still easy - first get list of user ids from "f:Steve", then list from "l:Anything", find crossing user ids, an here you go. Problems (and there are quite a few): Saving, updating, deleting user is a pain. It has to be atomic and consistent operation. Also, if we have size of value limited to some value - then we are in (potential) trouble. And really not of an answer here. Only zipping the list of user ids? Not too cool, though. What id we want to add new field to search by. Eventually. Say by "city". We certainly can do the same way "c:Los Angeles" = ..., "c:Chicago" = ..., but if we didn't foresee all those "search choices" from the very beginning, then we will have to be able to create some night job or something to go by all existing User records and update those "c:CITY" for them... Quite a big job! Problems with locking. User "u:123" updates his name "Alex", and user "u:456" updates his name "Alex". They both have to update "f:Alex" with their id's. That means either we get into overwriting problem, or one update will wait for another (and imaging if there are many of them?!). What's the best way of doing that? Keeping in mind that I want to search by many fields? P.S. Please, the question is about HBase/Cassandra/NoSQL/Key-Value storages. Please please - no advices to use MySQL and "read about" SELECTs; and worry about scaling problems "later". There is a reason why I asked MY question exactly the way I did. :-)

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  • Lazy loading the addthis script? (or lazy loading external js content dependent on already fired eve

    - by Keith Bentrup
    I want to have the addthis widget available for my users, but I want to lazy load it so that my page loads as quickly as possible. However, after trying it via a script tag and then via my lazy loading method, it appears to only work via the script tag. In the obfuscated code, I see something that looks like it's dependent on the DOMContentLoaded event (at least for firefox). Since the DOMContentLoaded event has already fired, the widget doesn't render properly. What to do? I could just use a script tag (slower)... or could I fire (in a cross browser way) the DOMContentLoaded (or equivalent) event? I have a feeling this may not be possible b/c I believe that (like jQuery) there are multiple tests of the content ready event, and so multiple simulated events would have to occur. Nonetheless, this is an interesting problem b/c I have seen a couple widgets now assume that you are including their stuff via static script tags. It would be nice if they wrote code that was more useful to developers concerned about speed, but until then, is there a work around?? And/or are any of my assumptions wrong? Edit: Because the 1st answer to the question seemed to miss the point of my problem, I wanted to clarify the situation. This is about a specific problem. I'm not looking for yet another lazy load script or check if some dependencies are loaded script. Specifically this problem deals with external widgets that you do not have control over and may or may not be obfuscated delaying the load of the external widgets until they are needed or at least, til substantially after everything else has been loaded including other deferred elements b/c of the how the widget was written, precludes existing, typical lazy loading paradigms While it's esoteric, I have seen it happen with a couple widgets - where the widget developers assume that you're just willing to throw in another script tag at the bottom of the page. I'm looking to save those 500-1000 ms** though as numerous studies by yahoo, google, and amazon show it to be important to your user's experience. **My testing with hammerhead and personal experience indicates that this will be my savings in this case.

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  • Stack and queue operations on the same array.

    - by Passonate Learner
    Hi. I've been thinking about a program logic, but I cannot draw a conclusion to my problem. Here, I've implemented stack and queue operations to a fixed array. int A[1000]; int size=1000; int top; int front; int rear; bool StackIsEmpty() { return (top==0); } bool StackPush( int x ) { if ( top >= size ) return false; A[top++] = x; return true; } int StackTop( ) { return A[top-1]; } bool StackPop() { if ( top <= 0 ) return false; A[--top] = 0; return true; } bool QueueIsEmpty() { return (front==rear); } bool QueuePush( int x ) { if ( rear >= size ) return false; A[rear++] = x; return true; } int QueueFront( ) { return A[front]; } bool QueuePop() { if ( front >= rear ) return false; A[front++] = 0; return true; } It is presumed(or obvious) that the bottom of the stack and the front of the queue is pointing at the same location, and vice versa(top of the stack points the same location as rear of the queue). For example, integer 1 and 2 is inside an array in order of writing. And if I call StackPop(), the integer 2 will be popped out, and if I call QueuePop(), the integer 1 will be popped out. My problem is that I don't know what happens if I do both stack and queue operations on the same array. The example above is easy to work out, because there are only two values involved. But what if there are more than 2 values involved? For example, if I call StackPush(1); QueuePush(2); QueuePush(4); StackPop(); StackPush(5); QueuePop(); what values will be returned in the order of bottom(front) from the final array? I know that if I code a program, I would receive a quick answer. But the reason I'm asking this is because I want to hear a logical explanations from a human being, not a computer.

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  • NSMutableArray can't be added to

    - by Dan Ray
    I've had this sort of problem before, and it didn't get a satisfactory answer. I have a viewcontroller with a property called "counties" that is an NSMutableArray. I'm going to drill down a navigation screen to a view that is about selecting the counties for a geographical search. So the search page drills down to the "select counties" page. I pass NSMutableArray *counties to the second controller as I push the second one on the navigation stack. I actually set that second controller's "selectedCounties" property (also an NSMutableArray) with a pointer to my first controller's "counties", as you'll see below. When I go to addObject to that, though, I get this: *** Terminating app due to uncaught exception 'NSInternalInconsistencyException', reason: '*** -[NSCFArray insertObject:atIndex:]: mutating method sent to immutable object' Here's my code: in SearchViewController.h: @interface SearchViewController : UIViewController { .... NSMutableArray *counties; } .... @property (nonatomic, retain) NSMutableArray *counties; in SearchViewController.m: - (void)getLocationsView { [keywordField resignFirstResponder]; SearchLocationsViewController *locationsController = [[SearchLocationsViewController alloc] initWithNibName:@"SearchLocationsView" bundle:nil]; [self.navigationController pushViewController:locationsController animated:YES]; [locationsController setSelectedCounties:self.counties]; [locationsController release]; } in SearchLocationsViewController.h: @interface EventsSearchLocationsViewController : UIViewController <UITableViewDelegate, UITableViewDataSource> { ... NSMutableArray *selectedCounties; } ... @property (nonatomic, retain) NSMutableArray *selectedCounties; in SearchLocationsViewController.m (the point here is, we're toggling each element of a table being active or not in the list of selected counties): -(void)tableView:(UITableView *)tableView didSelectRowAtIndexPath:(NSIndexPath *)indexPath { UITableViewCell *cell = [tableView cellForRowAtIndexPath:indexPath]; if ([self.selectedCounties containsObject:[self.counties objectAtIndex:indexPath.row]]) { //we're deselcting! [self.selectedCounties removeObject:[self.counties objectAtIndex:indexPath.row]]; cell.accessoryView = [[UIImageView alloc] initWithImage:[UIImage imageNamed:@"red_check_inactive.png"]]; } else { [self.selectedCounties addObject:[self.counties objectAtIndex:indexPath.row]]; cell.accessoryView = [[UIImageView alloc] initWithImage:[UIImage imageNamed:@"red_check_active.png"]]; } [tableView deselectRowAtIndexPath:indexPath animated:YES]; } We die at [self.selectedCounties addObject.... there. Now, when I NSLog myself [self.selectedCounties class], it tells me it's an NSCFArray. How does this happen? I understand about class bundles (or I THINK I do anyway), but this is explicitly a specific type, and it's losing it subclassing at some point in a way that kills the whole thing. I just completely don't understand why that would happen.

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  • Unique element ID, even if element doesn't have one

    - by Robert J. Walker
    I'm writing a GreaseMonkey script where I'm iterating through a bunch of elements. For each element, I need a string ID that I can use to reference that element later. The element itself doesn't have an id attribute, and I can't modify the original document to give it one (although I can make DOM changes in my script). I can't store the references in my script because when I need them, the GreaseMonkey script itself will have gone out of scope. Is there some way to get at an "internal" ID that the browser uses, for example? A Firefox-only solution is fine; a cross-browser solution that could be applied in other scenarios would be awesome. Edit: If the GreaseMonkey script is out of scope, how are you referencing the elements later? They GreaseMonkey script is adding events to DOM objects. I can't store the references in an array or some other similar mechanism because when the event fires, the array will be gone because the GreaseMonkey script will have gone out of scope. So the event needs some way to know about the element reference that the script had when the event was attached. And the element in question is not the one to which it is attached. Can't you just use a custom property on the element? Yes, but the problem is on the lookup. I'd have to resort to iterating through all the elements looking for the one that has that custom property set to the desired id. That would work, sure, but in large documents it could be very time consuming. I'm looking for something where the browser can do the lookup grunt work. Wait, can you or can you not modify the document? I can't modify the source document, but I can make DOM changes in the script. I'll clarify in the question. Can you not use closures? Closuses did turn out to work, although I initially thought they wouldn't. See my later post. It sounds like the answer to the question: "Is there some internal browser ID I could use?" is "No."

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  • An IOCP documentation interpretation question - buffer ownership ambiguity

    - by Poni
    Since I'm not a native English speaker I might be missing something so maybe someone here knows better than me. Taken from WSASend's doumentation at MSDN: lpBuffers [in] A pointer to an array of WSABUF structures. Each WSABUF structure contains a pointer to a buffer and the length, in bytes, of the buffer. For a Winsock application, once the WSASend function is called, the system owns these buffers and the application may not access them. This array must remain valid for the duration of the send operation. Ok, can you see the bold text? That's the unclear spot! I can think of two translations for this line (might be something else, you name it): Translation 1 - "buffers" refers to the OVERLAPPED structure that I pass this function when calling it. I may reuse the object again only when getting a completion notification about it. Translation 2 - "buffers" refer to the actual buffers, those with the data I'm sending. If the WSABUF object points to one buffer, then I cannot touch this buffer until the operation is complete. Can anyone tell what's the right interpretation to that line? And..... If the answer is the second one - how would you resolve it? Because to me it implies that for each and every data/buffer I'm sending I must retain a copy of it at the sender side - thus having MANY "pending" buffers (in different sizes) on an high traffic application, which really going to hurt "scalability". Statement 1: In addition to the above paragraph (the "And...."), I thought that IOCP copies the data to-be-sent to it's own buffer and sends from there, unless you set SO_SNDBUF to zero. Statement 2: I use stack-allocated buffers (you know, something like char cBuff[1024]; at the function body - if the translation to the main question is the second option (i.e buffers must stay as they are until the send is complete), then... that really screws things up big-time! Can you think of a way to resolve it? (I know, I asked it in other words above).

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  • Would someone mind giving suggestions for this new assembly language?

    - by Noctis Skytower
    Greetings! Last semester in college, my teacher in the Computer Languages class taught us the esoteric language named Whitespace. In the interest of learning the language better with a very busy schedule (midterms), I wrote an interpreter and assembler in Python. An assembly language was designed to facilitate writing programs easily, and a sample program was written with the given assembly mnemonics. Now that it is summer, a new project has begun with the objective being to rewrite the interpreter and assembler for Whitespace 0.3, with further developments coming afterwards. Since there is so much extra time than before to work on its design, you are presented here with an outline that provides a revised set of mnemonics for the assembly language. This post is marked as a wiki for their discussion. Have you ever had any experience with assembly languages in the past? Were there some instructions that you thought should have been renamed to something different? Did you find yourself thinking outside the box and with a different paradigm than in which the mnemonics were named? If you can answer yes to any of those questions, you are most welcome here. Subjective answers are appreciated! hold N Push the number onto the stack copy Duplicate the top item on the stack copy N Copy the nth item on the stack (given by the argument) onto the top of the stack swap Swap the top two items on the stack drop Discard the top item on the stack drop N Slide n items off the stack, keeping the top item add Addition sub Subtraction mul Multiplication div Integer Division mod Modulo save Store load Retrieve L: Mark a location in the program call L Call a subroutine goto L Jump unconditionally to a label if=0 L Jump to a label if the top of the stack is zero if<0 L Jump to a label if the top of the stack is negative return End a subroutine and transfer control back to the caller exit End the program print chr Output the character at the top of the stack print int Output the number at the top of the stack input chr Read a character and place it in the location given by the top of the stack input int Read a number and place it in the location given by the top of the stack Question: How would you redesign, rewrite, or rename the previous mnemonics and for what reasons?

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  • WCF web service: response is 200/ok, but response body is empty

    - by user1021224
    I am creating a WCF web api service. My problem is that some methods return a 200/OK response, but the headers and the body are empty. In setting up my web service, I created an ADO.NET Entity Data Model. I chose ADO.NET DbContext Generator when I added a code generation item. In the Model.tt document, I changed HashSet and ICollection to List. I built my website. It used to be that when I coded a method to return a List of an entity (like List<Customer> or List<Employee> in the Northwind database), it worked fine. Over time, I could not return a List of any of those, and could only grab one entity. Now, it's gotten to a point where I can return a List<string> or List<int>, but not a List or an instance of any entity. When I try to get a List<AnyEntity>, the response is 200/OK, but the response headers and body are empty. I have tried using the debugger and Firefox's Web Console. Using FF's WC, I could only get an "undefined" status code. I am not sure where to go from here. EDIT: In trying to grab all Areas from the database, I do this: [WebGet(UriTemplate = "areas")] public List<a1Areas> AllAreas() { return context.a1Areas.ToList(); } I would appreciate any more methods for debugging this. Thanks in advance. Found the answer, thanks to Merlyn! In my Global.asax file, I forgot to comment out two lines that took care of proxies and disposing of my context object. The code is below: void Application_BeginRequest(object sender, EventArgs e) { var context = new AssignmentEntities(); context.Configuration.ProxyCreationEnabled = false; HttpContext.Current.Items["_context"] = context; } void Application_EndRequest(object sender, EventArgs e) { var context = HttpContext.Current.Items["_context"] as AssignmentEntities; if (context != null) { context.Dispose(); } }

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  • Python/Biophysics- Trying to code a simple stochastic simulation!

    - by user359597
    Hey guys- I'm trying to figure out what to make of the following code- this is not the clear, intuitive python I've been learning. Was it written in C or something then wrapped in a python fxn? The code I wrote (not shown) is using the same math, but I couldn't figure out how to write a conditional loop. If anyone could explain/decipher/clean this up, I'd be really appreciative. I mean- is this 'good' python- or does it look funky? I'm brand new to this- but it's like the order of the fxns is messed up? I understand Gillespie's- I've successfully coded several simpler simulations. So in a nutshell- good code-(pythonic)? order? c? improvements? am i being an idiot? The code shown is the 'answer,' to the following question from a biophysics text (petri-net not shown and honestly not necessary to understand problem): "In a programming language of your choice, implement Gillespie’s First Reaction Algorithm to study the temporal behaviour of the reaction A---B in which the transition from A to B can only take place if another compound, C, is present, and where C dynamically interconverts with D, as modelled in the Petri-net below. Assume that there are 100 molecules of A, 1 of C, and no B or D present at the start of the reaction. Set kAB to 0.1 s-1 and both kCD and kDC to 1.0 s-1. Simulate the behaviour of the system over 100 s." def sim(): # Set the rate constants for all transitions kAB = 0.1 kCD = 1.0 kDC = 1.0 # Set up the initial state A = 100 B = 0 C = 1 D = 0 # Set the start and end times t = 0.0 tEnd = 100.0 print "Time\t", "Transition\t", "A\t", "B\t", "C\t", "D" # Compute the first interval transition, interval = transitionData(A, B, C, D, kAB, kCD, kDC) # Loop until the end time is exceded or no transition can fire any more while t <= tEnd and transition >= 0: print t, '\t', transition, '\t', A, '\t', B, '\t', C, '\t', D t += interval if transition == 0: A -= 1 B += 1 if transition == 1: C -= 1 D += 1 if transition == 2: C += 1 D -= 1 transition, interval = transitionData(A, B, C, D, kAB, kCD, kDC) def transitionData(A, B, C, D, kAB, kCD, kDC): """ Returns nTransition, the number of the firing transition (0: A->B, 1: C->D, 2: D->C), and interval, the interval between the time of the previous transition and that of the current one. """ RAB = kAB * A * C RCD = kCD * C RDC = kDC * D dt = [-1.0, -1.0, -1.0] if RAB > 0.0: dt[0] = -math.log(1.0 - random.random())/RAB if RCD > 0.0: dt[1] = -math.log(1.0 - random.random())/RCD if RDC > 0.0: dt[2] = -math.log(1.0 - random.random())/RDC interval = 1e36 transition = -1 for n in range(len(dt)): if dt[n] > 0.0 and dt[n] < interval: interval = dt[n] transition = n return transition, interval if __name__ == '__main__': sim()

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  • Zend database query result converts column values to null

    - by David Zapata
    Hi again. I am using the next instructions to get some registers from my Database. Create the needed models (from the params module): $obj_paramtype_model = new Params_Model_DbTable_Paramtype(); $obj_param_model = new Params_Model_DbTable_Param(); Getting the available locales from the database // This returns a Zend_Db_Table_Row_Abstract class object $obj_paramtype = $obj_paramtype_model->getParamtypeByValue('available_locales'); // This is a query used to add conditions to the next sentence. This is executed from the Params_Model_DbTable_Param instance class, that depends from Params_Model_DbTable_Paramtype class (reference map and dependentTables arrays are fine in both classes) $obj_select = $this->select()->where('deleted_at IS NULL')->order('name'); // Execute the next query, applying the select restrictions. This returns a Zend_Db_Table_Rowset_Abstract class object. This means "Find Params by Paramtype" $obj_params_rowset = $obj_paramtype->findDependentRowset('Params_Model_DbTable_Param', 'Paramtype', $obj_paramtype); // Here the firebug log displays the queries.... Zend_Registry::get('log')->debug($obj_params_rowset); I have a profiler for all my DB executions from Zend. At this point the log and profiler objects (that includes Firebug writers), shows the executed SQL Queries, and the last line displays the resulting Zend_Db_Table_Rowset_Abstract class object. If I execute the SQL Queries in some MySQL Client, the results are as expected. But the Zend Firebug log writer displays as NULL the column values with latin characters (ñ). In other words, the external SQL client shows es_CO | Español de Colombia and en_US | English of United States but the Query results from Zend displays (and returns) es_CO | null and en_US | English of United States. I've deleted the ñ character from Español de Colombia and the query results are just fine in my Zend Log Firebug screen, and in the final Zend Form element. The MySQL database, tables and columns are in UTF-8 - utf8_unicode_ci collation. All my zend framework pages are in UTF-8 charset. I'm using XAMPP 1.7.1 (PHP 5.2.9, Apache at port 90 and MySQL 5.1.33-community) running on Windows 7 Ultimate; Zend Framework 1.10.1. I'm sorry if there is so much information, but I don't really know why could that happen, so I tryed to provide as much related information as I could to help to find some answer.

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