Search Results

Search found 12502 results on 501 pages for 'kind'.

Page 483/501 | < Previous Page | 479 480 481 482 483 484 485 486 487 488 489 490  | Next Page >

  • An "elegant" way of identifying a field?

    - by Alix
    Hi. I'm writing a system that underlies programmer applications and that needs to detect their access to certain data. I can mostly do so with properties, like this: public class NiceClass { public int x { get; set; } } Then I go in and tweak the get and set accessors so that they handle the accesses appropriately. However this requires that the users (application programmers) define all of their data as properties. If the users want to use pre-existing classes that have "normal" fields (as opposed to properties), I cannot detect those accesses. Example: public class NotSoNiceClass { public int y; } I cannot detect accesses to y. However, I want to allow the use of pre-existing classes. As a compromise the users are responsible for notifying me whenever an access to that kind of data occurs. For example: NotSoNiceClass notSoNice; ... Write(notSoNice.y, 0); // (as opposed to notSoNice.y = 0;) Something like that. Believe me, I've researched this very thoroughly and even directly analysing the bytecode to detect accesses isn't reliable due to possible indirections, etc. I really do need the users to notify me. And now my question: could you recommend an "elegant" way to perform these notifications? (Yes, I know this whole situation isn't "elegant" to begin with; I'm trying not to make it worse ;) ). How would you do it? This is a problem for me because actually the situation is like this: I have the following class: public class SemiNiceClass { public NotSoNiceClass notSoNice { get; set; } public int z { get; set; } } If the user wants to do this: SemiNiceClass semiNice; ... semiNice.notSoNice.y = 0; They must instead do something like this: semiNice.Write("notSoNice").y = 0; Where Write will return a clone of notSoNice, which is what I wanted the set accessor to do anyway. However, using a string is pretty ugly: if later they refactor the field they'll have to go over their Write("notSoNice") accesses and change the string. How can we identify the field? I can only think of strings, ints and enums (i.e., ints again). But: We've already discussed the problem with strings. Ints are a pain. They're even worse because the user needs to remember which int corresponds to which field. Refactoring is equally difficult. Enums (such as NOT_SO_NICE and Z, i.e., the fields of SemiNiceClass) ease refactoring, but they require the user to write an enum per class (SemiNiceClass, etc), with a value per field of the class. It's annoying. I don't want them to hate me ;) So why, I hear you ask, can we not do this (below)? semiNice.Write(semiNice.notSoNice).y = 0; Because I need to know what field is being accessed, and semiNice.notSoNice doesn't identify a field. It's the value of the field, not the field itself. Sigh. I know this is ugly. Believe me ;) I'll greatly appreciate suggestions. Thanks in advance! (Also, I couldn't come up with good tags for this question. Please let me know if you have better ideas, and I'll edit them)

    Read the article

  • Single django instance with subdomains for each app in the django project

    - by jwesonga
    I have a django project (django+apache+mod_wsgi+nginx) with multiple apps, I'd like to map each app as a subdomain: project/ app1 (domain.com) app2 (sub1.domain.com) app3 (sub3.domain.com) I have a single .wsgi script serving the project, which is stored in a folder /apache. Below is my vhost file. I'm using a single vhost file instead of separate ones for each sub-domain: <VirtualHost *:8080> ServerAdmin [email protected] ServerName www.domain.com ServerAlias domain.com DocumentRoot /home/path/to/app/ Alias /admin_media/ /usr/local/lib/python2.6/dist-packages/django/contrib/admin/media <Directory /home/path/to/wsgi/apache/> Order deny,allow Allow from all </Directory> LogLevel warn ErrorLog /home/path/to/logs/apache_error.log CustomLog /home/path/to/logs/apache_access.log combined WSGIDaemonProcess domain.com user=www-data group=www-data threads=25 WSGIProcessGroup domain.com WSGIScriptAlias / /home/path/to/apache/kcdf.wsgi </VirtualHost> <VirtualHost *:8081> ServerAdmin [email protected] ServerName sub1.domain.com ServerAlias sub1.domain.com DocumentRoot /home/path/to/app Alias /admin_media/ /usr/local/lib/python2.6/dist-packages/django/contrib/admin/media <Directory /home/path/to/wsgi/apache/> Order deny,allow Allow from all </Directory> LogLevel warn ErrorLog /home/path/to/logs/apache_error.log CustomLog /home/path/to/logs/apache_access.log combined WSGIDaemonProcess sub1.domain.com user=www-data group=www-data threads=25 WSGIProcessGroup sub1.domain.com WSGIScriptAlias / /home/path/to/apache/kcdf.wsgi </VirtualHost> My Nginx configuration for the domain.com: server { listen 80; server_name domain.com; access_log off; error_log off; # proxy to Apache 2 and mod_wsgi location / { proxy_pass http://127.0.0.1:8080/; proxy_redirect off; proxy_set_header Host $host; proxy_set_header X-Real-IP $remote_addr; proxy_set_header X-Forwarded-For $proxy_add_x_forwarded_for; proxy_max_temp_file_size 0; client_max_body_size 10m; client_body_buffer_size 128k; proxy_connect_timeout 90; proxy_send_timeout 90; proxy_read_timeout 90; proxy_buffer_size 4k; proxy_buffers 4 32k; proxy_busy_buffers_size 64k; proxy_temp_file_write_size 64k; } } Configuration for the sub.domain.com: server { listen 80; server_name sub.domain.com; access_log off; error_log off; # proxy to Apache 2 and mod_wsgi location / { proxy_pass http://127.0.0.1:8081/; proxy_redirect off; proxy_set_header Host $host; proxy_set_header X-Real-IP $remote_addr; proxy_set_header X-Forwarded-For $proxy_add_x_forwarded_for; proxy_max_temp_file_size 0; client_max_body_size 10m; client_body_buffer_size 128k; proxy_connect_timeout 90; proxy_send_timeout 90; proxy_read_timeout 90; proxy_buffer_size 4k; proxy_buffers 4 32k; proxy_busy_buffers_size 64k; proxy_temp_file_write_size 64k; } } This set up doesn't seem to work, everything seems to point to the main domain. I've tried http://effbot.org/zone/django-multihost.htm which kind of worked but seems to have issues with loading my css,images,js files.

    Read the article

  • Calling webservice from WCF service

    - by Balaji
    I am having an issue consuming a webservice (c#.net) from a WCF service. The error i am getting is EndPointNotFoundException "TCP error code 10061: No connection could be made because the target machine actively refused it" I wrote a unit test to check if i could send a request to the web service and it worked fine [The unit test is using the same binding configuration as my WCF service] The web service and WCF service (client) have basichttp binding. Did anyone had similar kind of issue calling a webservice from a WCF service? The service Model section is as follows <system.serviceModel> <bindings> <basicHttpBinding> <binding name="DataService" closeTimeout="00:05:00" openTimeout="00:05:00" receiveTimeout="00:10:00" sendTimeout="00:05:00" allowCookies="false" bypassProxyOnLocal="false" hostNameComparisonMode="StrongWildcard" maxBufferSize="65536" maxBufferPoolSize="524288" maxReceivedMessageSize="65536" messageEncoding="Text" textEncoding="utf-8" transferMode="Buffered" useDefaultWebProxy="true"> <readerQuotas maxDepth="32" maxStringContentLength="8192" maxArrayLength="16384" maxBytesPerRead="4096" maxNameTableCharCount="16384"/> <security mode="None"> <transport clientCredentialType="None" proxyCredentialType="None" realm=""/> <message clientCredentialType="UserName" algorithmSuite="Default"/> </security> </binding> </basicHttpBinding> </bindings> <client> <endpoint address="http://10.22.33.67/Service/DataService.asmx" binding="basicHttpBinding" bindingConfiguration="DataService" contract="Service.DataService" name="DataService"/> </client> <services> <service name="TestToConsumeDataService.WCFHost.Service1" behaviorConfiguration="TestToConsumeDataService.WCFHost.Service1Behavior"> <!-- Service Endpoints --> <endpoint address="" binding="basicHttpBinding" contract="TestToConsumeDataService.WCFHost.IService1"> <!-- Upon deployment, the following identity element should be removed or replaced to reflect the identity under which the deployed service runs. If removed, WCF will infer an appropriate identity automatically. --> <identity> <dns value="localhost"/> </identity> </endpoint> <endpoint address="mex" binding="mexHttpBinding" contract="IMetadataExchange"/> </service> </services> <behaviors> <serviceBehaviors> <behavior name="TestToConsumeDataService.WCFHost.Service1Behavior"> <!-- To avoid disclosing metadata information, set the value below to false and remove the metadata endpoint above before deployment --> <serviceMetadata httpGetEnabled="true"/> <!-- To receive exception details in faults for debugging purposes, set the value below to true. Set to false before deployment to avoid disclosing exception information --> <serviceDebug includeExceptionDetailInFaults="false"/> </behavior> </serviceBehaviors> </behaviors> </system.serviceModel> The unit test project is also using the same service model section and it works. The only issue is while calling the service from another WCF service. Could you please suggest.

    Read the article

  • Django ImageField issue with JPEG's

    - by Kieran Lynn
    I am having a major issue with PIL (Python Image Library) in Django and have jumpped through a lot of hoops and have thus far not been able to figure out what the root of the issue is. The problem essentially breaks down to not being able to upload JPEG images through the ImageField in the Django admin. But the issue is not as simple as installing libjpeg. First, I installed PIL (through Buildout) and realized once it was installed that I had not installed libjpeg because JPEG support was not available. Having not setup the server myself, I just assumed that it was not installed and I compiled libjpeg 8 from the source. This ended up in my /usr/local/lib/ directory. I cleared out my Buildout files and rebuilt everything. This time when PIL compiled I had JPEG support. But I went to the Django Admin and tried to upload a JPEG though an ImageField with no luck. I got the "Upload a valid image. The file you uploaded was either not an image or a corrupted image" error. Just as a test I opened up a the Djano shell and ran the following: > import Image > i = Image.open( "/absolute_path/file.jpg" ) > print i <JpegImagePlugin.JpegImageFile image mode=RGB size=940x375 at 0x7F908C529BD8> This runs with no errors and shows that PIL is able to open JPEG's. After doing some reading, I come across this thread: Is it possible to control which libraries apache uses? Looks like PHP also uses libjpeg and is loading before Django, and therefor loading libjpeg 6.2 before. This is show when using lsof: COMMAND PID USER FD TYPE DEVICE SIZE/OFF NODE NAME apache2 2561 www-data mem REG 202,1 146032 639276 /usr/lib/libjpeg.so.62.0.0 So my thought is that I should be using libjpeg 6.2. So I removed libjpeg located in my /usr/local/lib directory. After rereading the PIL installation instructions, I realized that I might not have the dev/header files for libjpeg that PIL needs. So I also uninstalled libjpeg using the aptitude uninstaller (sudo aptitude remove libjpeg62). Then to ensure that I got the header files that PIL needed I installed libjpeg using aptitude: (sudo aptget install libjpeg62-dev). From here I cleaned out my Buildout directory, and reran Buildout, which in turn reinstalled PIL. Once again, I have JPEG support, now using the libjpeg62. So I go to test in the Django Admin. Still no JPEG support. So I wanted to test JPEG support in general and see if the exception was not handled, what kind of error it would throw. So in my homepage view I added the following code to open a JPEG image: import Image i = Image.open( "/absolute_path/file.jpg" ) v = i.verify() Then I pass i to the HTML view just to easily see the output. I deploy these changes to the server and restart. I am surprised not to see an error and get the following output: {{ i }} - <JpegImagePlugin.JpegImageFile image mode=RGB size=940x375 at 0x7F908C529BD8> {{ v }} - None So at this point I am really confused: Why can I successfully open a JPEG while the admin cannot? Am I missing something, is this not an issue with libjpeg? If not an issue with libjpeg, why can I upload a PNG with no issues? Any help would be much appreciated, I have been on this for 2 days debugging with no luck. Setup: 1. Rackspace Cloud Server 2. Ubuntu 10.04 3. Django 1.2.3 (Installed though Buildout) 4. PIL 1.1.7 (Installed though Buildout) 5. libjpeg 6.2 (installed through aptitude (sudo aptget install libjpeg62-dev)

    Read the article

  • Find optimal strategy and AI for the game 'Proximity'?

    - by smci
    'Proximity' is a strategy game of territorial domination similar to Othello, Go and Risk. Two players, uses a 10x12 hex grid. Game invented by Brian Cable in 2007. Seems to be a worthy game for discussing a) optimal algorithm then b) how to build an AI. Strategies are going to be probabilistic or heuristic-based, due to the randomness factor, and the insane branching factor (20^120). So it will be kind of hard to compare objectively. A compute time limit of 5s per turn seems reasonable. Game: Flash version here and many copies elsewhere on the web Rules: here Object: to have control of the most armies after all tiles have been placed. Each turn you received a randomly numbered tile (value between 1 and 20 armies) to place on any vacant board space. If this tile is adjacent to any ally tiles, it will strengthen each tile's defenses +1 (up to a max value of 20). If it is adjacent to any enemy tiles, it will take control over them if its number is higher than the number on the enemy tile. Thoughts on strategy: Here are some initial thoughts; setting the computer AI to Expert will probably teach a lot: minimizing your perimeter seems to be a good strategy, to prevent flips and minimize worst-case damage like in Go, leaving holes inside your formation is lethal, only more so with the hex grid because you can lose armies on up to 6 squares in one move low-numbered tiles are a liability, so place them away from your main territory, near the board edges and scattered. You can also use low-numbered tiles to plug holes in your formation, or make small gains along the perimeter which the opponent will not tend to bother attacking. a triangle formation of three pieces is strong since they mutually reinforce, and also reduce the perimeter Each tile can be flipped at most 6 times, i.e. when its neighbor tiles are occupied. Control of a formation can flow back and forth. Sometimes you lose part of a formation and plug any holes to render that part of the board 'dead' and lock in your territory/ prevent further losses. Low-numbered tiles are obvious-but-low-valued liabilities, but high-numbered tiles can be bigger liabilities if they get flipped (which is harder). One lucky play with a 20-army tile can cause a swing of 200 (from +100 to -100 armies). So tile placement will have both offensive and defensive considerations. Comment 1,2,4 seem to resemble a minimax strategy where we minimize the maximum expected possible loss (modified by some probabilistic consideration of the value ß the opponent can get from 1..20 i.e. a structure which can only be flipped by a ß=20 tile is 'nearly impregnable'.) I'm not clear what the implications of comments 3,5,6 are for optimal strategy. Interested in comments from Go, Chess or Othello players. (The sequel ProximityHD for XBox Live, allows 4-player -cooperative or -competitive local multiplayer increases the branching factor since you now have 5 tiles in your hand at any given time, of which you can only play one. Reinforcement of ally tiles is increased to +2 per ally.)

    Read the article

  • How can I read the verbose output from a Cmdlet in C# using Exchange Powershell

    - by mrkeith
    Environment: Exchange 2007 sp3 (2003 sp2 mixed mode) Visual Studio 2008, .Net 3.5 Hello, I'm working with an Exchange powershell move-mailbox cmdlet and have noted when I do so from the Exchange Management shell (using the Verbose switch) there is a ton of real-time information provided. To provide a little context, I'm attempting to create a UI application that moves mailboxes similarly to the Exchange Management Console but desire to support an input file and specific server/database destinations for each entry (and threading). Here's roughly what I have at present but I'm not sure if there is an event I need to register for or what... And to be clear, I desire to get this information in real-time so I may update my UI to reflect what's occurring in the move sequence for the appropriate user (pretty much like the native functionality offered in the Management Console). And in case you are wondering, the reason why I'm not content with the Management Console functionality is, I have an algorithm which I'm using to balance users depending on storage limit, Blackberry use, journaling, exception mailbox size etc which demands user be mapped to specific locations... and I do not desire to create many/several move groups for each common destination or to hunt for lists of users individually through the management console UI. I can not seem to find any good documentation or examples of how to tie into reading the verbose messages that are provided within the console using C# (I see value in being able to read this kind of information in many different scenarios). I've explored the Invoke and InvokeAsync methods and the StateChanged & DataReady events but none of these seem to provide the information (verbose comments) that I'm after. Any direction or examples that can be provided will be very appreciated! A code sample which is little more than how I would ordinarily call any other powershell command follows: // config to use ExMgmt shell, create runspace and open it RunspaceConfiguration rsConfig = RunspaceConfiguration.Create(); PSSnapInException snapInException = null; PSSnapInInfo info = rsConfig.AddPSSnapIn("Microsoft.Exchange.Management.PowerShell.Admin", out snapInException); if (snapInException != null) throw snapInException; Runspace runspace = RunspaceFactory.CreateRunspace(rsConfig); try { runspace.Open(); // create a pipeline and feed script text Pipeline pipeline = runspace.CreatePipeline(); string targetDatabase = @"myServer\myStorageGroup\myDB"; string mbxOwner = "[email protected]"; Command myMoveMailbox = new Command("Move-Mailbox", false, false); myMoveMailbox.Parameters.Add("Identity", mbxOwner); myMoveMailbox.Parameters.Add("TargetDatabase", targetDatabase); myMoveMailbox.Parameters.Add("Verbose"); myMoveMailbox.Parameters.Add("ValidateOnly"); myMoveMailbox.Parameters.Add("Confirm", false); pipeline.Commands.Add(myMoveMailbox); System.Collections.ObjectModel.Collection output = null; // these next few lines that are commented out are where I've tried // registering for events and calling asynchronously but this doesn't // seem to get me anywhere closer // //pipeline.StateChanged += new EventHandler(pipeline_StateChanged); //pipeline.Output.DataReady += new EventHandler(Output_DataReady); //pipeline.InvokeAsync(); //pipeline.Input.Close(); //return; tried these variations that are commented out but none seem to be useful output = pipeline.Invoke(); // Check for errors in the pipeline and throw an exception if necessary if (pipeline.Error != null && pipeline.Error.Count 0) { StringBuilder pipelineError = new StringBuilder(); pipelineError.AppendFormat("Error calling Test() Cmdlet. "); foreach (object item in pipeline.Error.ReadToEnd()) pipelineError.AppendFormat("{0}\n", item.ToString()); throw new Exception(pipelineError.ToString()); } foreach (PSObject psObject in output) { // blah, blah, blah // this is normally where I would read details about a particular PS command // but really pertains to a command once it finishes and has nothing to do with // the verbose messages that I'm after... since this part of the methods pertains // to the after-effects of a command having run, I'm suspecting I need to look to // the asynch invoke method but am not certain or knowing how. } } finally { runspace.Close(); } Thanks! Keith

    Read the article

  • Python/numpy tricky slicing problem

    - by daver
    Hi stack overflow, I have a problem with some numpy stuff. I need a numpy array to behave in an unusual manner by returning a slice as a view of the data I have sliced, not a copy. So heres an example of what I want to do: Say we have a simple array like this: a = array([1, 0, 0, 0]) I would like to update consecutive entries in the array (moving left to right) with the previous entry from the array, using syntax like this: a[1:] = a[0:3] This would get the following result: a = array([1, 1, 1, 1]) Or something like this: a[1:] = 2*a[:3] # a = [1,2,4,8] To illustrate further I want the following kind of behaviour: for i in range(len(a)): if i == 0 or i+1 == len(a): continue a[i+1] = a[i] Except I want the speed of numpy. The default behavior of numpy is to take a copy of the slice, so what I actually get is this: a = array([1, 1, 0, 0]) I already have this array as a subclass of the ndarray, so I can make further changes to it if need be, I just need the slice on the right hand side to be continually updated as it updates the slice on the left hand side. Am I dreaming or is this magic possible? Update: This is all because I am trying to use Gauss-Seidel iteration to solve a linear algebra problem, more or less. It is a special case involving harmonic functions, I was trying to avoid going into this because its really not necessary and likely to confuse things further, but here goes. The algorithm is this: while not converged: for i in range(len(u[:,0])): for j in range(len(u[0,:])): # skip over boundary entries, i,j == 0 or len(u) u[i,j] = 0.25*(u[i-1,j] + u[i+1,j] + u[i, j-1] + u[i,j+1]) Right? But you can do this two ways, Jacobi involves updating each element with its neighbours without considering updates you have already made until the while loop cycles, to do it in loops you would copy the array then update one array from the copied array. However Gauss-Seidel uses information you have already updated for each of the i-1 and j-1 entries, thus no need for a copy, the loop should essentially 'know' since the array has been re-evaluated after each single element update. That is to say, every time we call up an entry like u[i-1,j] or u[i,j-1] the information calculated in the previous loop will be there. I want to replace this slow and ugly nested loop situation with one nice clean line of code using numpy slicing: u[1:-1,1:-1] = 0.25(u[:-2,1:-1] + u[2:,1:-1] + u[1:-1,:-2] + u[1:-1,2:]) But the result is Jacobi iteration because when you take a slice: u[:,-2,1:-1] you copy the data, thus the slice is not aware of any updates made. Now numpy still loops right? Its not parallel its just a faster way to loop that looks like a parallel operation in python. I want to exploit this behaviour by sort of hacking numpy to return a pointer instead of a copy when I take a slice. Right? Then every time numpy loops, that slice will 'update' or really just replicate whatever happened in the update. To do this I need slices on both sides of the array to be pointers. Anyway if there is some really really clever person out there that awesome, but I've pretty much resigned myself to believing the only answer is to loop in C.

    Read the article

  • Google Maps: remember id of marker with open info window

    - by AP257
    I have a Google map that is showing a number of markers. When the user moves the map, the markers are redrawn for the new boundaries, using the code below: GEvent.addListener(map, "moveend", function() { var newBounds = map.getBounds(); for(var i = 0; i < places_json.places.length ; i++) { // if marker is within the new bounds then do... var latlng = new GLatLng(places_json.places[i].lat, places_json.places[i].lon); var html = "blah"; var marker = createMarker(latlng, html); map.addOverlay(marker); } }); My question is simple. If the user has clicked on a marker so that it is showing an open info window, currently when the boundaries are redrawn the info window is closed, because the marker is added again from scratch. How can I prevent this? It is not ideal, because often the boundaries are redrawn when the user clicks on a marker and the map moves to display the info window - so the info window appears and then disappears again :) I guess there are a couple of possible ways: remember which marker has an open info window, and open it again when the markers are redrawn don't actually re-add the marker with an open info window, just leave it there However, both require the marker with an open window to have some kind of ID number, and I don't know that this is actually the case in the Google Maps API. Anyone? ----------UPDATE------------------ I've tried doing it by loading the markers into an initial array, as suggested. This loads OK, but the page crashes after the map is dragged. <script type="text/javascript" src="{{ MEDIA_URL }}js/markerclusterer.js"></script> <script type='text/javascript'> function createMarker(point,html, hideMarker) { //alert('createMarker'); var icon = new GIcon(G_DEFAULT_ICON); icon.image = "http://chart.apis.google.com/chart?cht=mm&chs=24x32&chco=FFFFFF,008CFF,000000&ext=.png"; var tmpMarker = new GMarker(point, {icon: icon, hide: hideMarker}); GEvent.addListener(tmpMarker, "click", function() { tmpMarker.openInfoWindowHtml(html); }); return tmpMarker; } var map = new GMap2(document.getElementById("map_canvas")); map.addControl(new GSmallMapControl()); var mapLatLng = new GLatLng({{ place.lat }}, {{ place.lon }}); map.setCenter(mapLatLng, 12); map.addOverlay(new GMarker(mapLatLng)); // load initial markers from json array var markers = []; var initialBounds = map.getBounds(); for(var i = 0; i < places_json.places.length ; i++) { var latlng = new GLatLng(places_json.places[i].lat, places_json.places[i].lon); var html = "<strong><a href='/place/" + places_json.places[i].placesidx + "/" + places_json.places[i].area + "'>" + places_json.places[i].area + "</a></strong><br/>" + places_json.places[i].county; var hideMarker = true; if((initialBounds.getSouthWest().lat() < places_json.places[i].lat) && (places_json.places[i].lat < initialBounds.getNorthEast().lat()) && (initialBounds.getSouthWest().lng() < places_json.places[i].lon) && (places_json.places[i].lon < initialBounds.getNorthEast().lng()) && (places_json.places[i].placesidx != {{ place.placesidx }})) { hideMarker = false; } var marker = createMarker(latlng, html, hideMarker); markers.push(marker); } var markerCluster = new MarkerClusterer(map, markers, {maxZoom: 11}); </script>

    Read the article

  • The best cross platform (portable) arbitrary precision math library

    - by Siu Ching Pong - Asuka Kenji
    Dear ninjas / hackers / wizards, I'm looking for a good arbitrary precision math library in C or C++. Could you please give me some advices / suggestions? The primary requirements: It MUST handle arbitrarily big integers (my primary interest is on integers). In case that you don't know what the word arbitrarily big means, imagine something like 100000! (the factorial of 100000). The precision MUST NOT NEED to be specified during library initialization / object creation. The precision should ONLY be constrained by the available resources of the system. It SHOULD utilize the full power of the platform, and should handle "small" numbers natively. That means on a 64-bit platform, calculating 2^33 + 2^32 should use the available 64-bit CPU instructions. The library SHOULD NOT calculate this in the same way as it does with 2^66 + 2^65 on the same platform. It MUST handle addition (+), subtraction (-), multiplication (*), integer division (/), remainder (%), power (**), increment (++), decrement (--), gcd(), factorial(), and other common integer arithmetic calculations efficiently. Ability to handle functions like sqrt() (square root), log() (logarithm) that do not produce integer results is a plus. Ability to handle symbolic computations is even better. Here are what I found so far: Java's BigInteger and BigDecimal class: I have been using these so far. I have read the source code, but I don't understand the math underneath. It may be based on theories / algorithms that I have never learnt. The built-in integer type or in core libraries of bc / Python / Ruby / Haskell / Lisp / Erlang / OCaml / PHP / some other languages: I have ever used some of these, but I have no idea on which library they are using, or which kind of implementation they are using. What I have already known: Using a char as a decimal digit, and a char* as a decimal string and do calculations on the digits using a for-loop. Using an int (or a long int, or a long long) as a basic "unit" and an array of it as an arbitrary long integer, and do calculations on the elements using a for-loop. Booth's multiplication algorithm What I don't know: Printing the binary array mentioned above in decimal without using naive methods. Example of a naive method: (1) add the bits from the lowest to the highest: 1, 2, 4, 8, 16, 32, ... (2) use a char* string mentioned above to store the intermediate decimal results). What I appreciate: Good comparisons on GMP, MPFR, decNumber (or other libraries that are good in your opinion). Good suggestions on books / articles that I should read. For example, an illustration with figures on how a un-naive arbitrarily long binary to decimal conversion algorithm works is good. Any help. Please DO NOT answer this question if: you think using a double (or a long double, or a long long double) can solve this problem easily. If you do think so, it means that you don't understand the issue under discussion. you have no experience on arbitrary precision mathematics. Thank you in advance! Asuka Kenji

    Read the article

  • Changing html <-> ajax <-> php/mysql to threaded approach

    - by Saif Bechan
    I have an application that needs to be updated real-time. There are various counters and other information that have to come from the database and the system needs to be up to date for the user. My approach now is just a normal ajax request every second to get the new values from the database. There is a JavaScript which loops every second getting the values trough ajax. This works fine but I think its very inefficient. The problem There is an ajax script that loops every second requesting data from php # On the server it has to load the PHP interpeter The PHP file has to get the data and format it correctly # PHP has to make a connection with the mysql database Work with the database(reads,never writes) Format the data so it can be send Send the data back to the browser # Close the database connection, and close the php interpeter Last the browser has to read these values and update the various html parts Now with this approach it has to load the interpreter and make a db connection every second. I was thinking of a way to make this more efficient, and maybe use a threaded approach to this. Threaded aprouch Do a post to the PHP when you enter the page and keep the connection alive In PHP only load the interpreter once, and make a connection to the DB ones Every second send an ajax response to the javascript listener The javascript listener than just changes values as the response from php arrives. I think this approach will be a great optimization to the server load and overall performance. But I can spot some weak point in the system and i need some help with these. Problems with the approach PHP execution time limit I don't think PHP is designed for such a setup. I know there is a time limit on php script execution. I don't know if an everlasting loop in PHP will cause any serious cpu/memory problems. Sending ajax request without breaking I don't know if it is possible to have just one ajax post action and have open and accepting data. user exists the page What will happen when the user exists the page and the PHP script is still going. Will it go on forever. security issues so far i can't think of any security issues. Almost every setup you use have some security issues. Maybe there are some with this solution I do not know of. Open to other solution I really want to change the setup as it is now and move to a threaded approach or better. If someone has a better approach to tackle this I definitely want to hear that. Maybe the usage of some other scripts is better suited for having an ongoing runtime. I only know php and java so any suggestions are welcome and I am willing to dig trough. I know there are things like perl, python etcetera that are used for this type of threaded but i don't know which one is best suited. When using other script If the best way is to go with other type of script like perl,python etcetera I do have some critera. The script has to be accessible via ajax post If it accepts some kind of json encode/decode it would be nice The script has to be able to access the session file This is essential because I need to know if the user is logged in The script has to be able to easily talk to MySQL All comments are welcome, and I hope this question is helpful to other also. Cheers!

    Read the article

  • Phone-book Database Help - Python

    - by IDOntWantThat
    I'm new to programming and have an assignment I've been working at for awhile. I understand defining functions and a lot of the basics but I'm kind of running into a brick wall at this point. I'm trying to figure this one out and don't really understand how the 'class' feature works yet. I'd appreciate any help with this one; also any help with some python resources that have can dummy down how/why classes are used. You've been going to work on a database project at work for sometime now. Your boss encourages you to program the database in Python. You disagree, arguing that Python is not a database language but your boss persists by providing the source code below for a sample telephone database. He asks you to do two things: Evaluate the existing source code and extend it to make it useful for managers in the firm. (You do not need a GUI interface, just work on the database aspects: data entry and retrieval - of course you must get the program to run or properly work He wants you to critically evaluate Python as a database tool. Import the sample code below into the Python IDLE and enhance it, run it and debug it. Add features to make this a more realistic database tool by providing for easy data entry and retrieval. import shelve import string UNKNOWN = 0 HOME = 1 WORK = 2 FAX = 3 CELL = 4 class phoneentry: def __init__(self, name = 'Unknown', number = 'Unknown', type = UNKNOWN): self.name = name self.number = number self.type = type # create string representation def __repr__(self): return('%s:%d' % ( self.name, self.type )) # fuzzy compare or two items def __cmp__(self, that): this = string.lower(str(self)) that = string.lower(that) if string.find(this, that) >= 0: return(0) return(cmp(this, that)) def showtype(self): if self.type == UNKNOWN: return('Unknown') if self.type == HOME: return('Home') if self.type == WORK: return('Work') if self.type == FAX: return('Fax') if self.type == CELL: return('Cellular') class phonedb: def __init__(self, dbname = 'phonedata'): self.dbname = dbname; self.shelve = shelve.open(self.dbname); def __del__(self): self.shelve.close() self.shelve = None def add(self, name, number, type = HOME): e = phoneentry(name, number, type) self.shelve[str(e)] = e def lookup(self, string): list = [] for key in self.shelve.keys(): e = self.shelve[key] if cmp(e, string) == 0: list.append(e) return(list) # if not being loaded as a module, run a small test if __name__ == '__main__': foo = phonedb() foo.add('Sean Reifschneider', '970-555-1111', HOME) foo.add('Sean Reifschneider', '970-555-2222', CELL) foo.add('Evelyn Mitchell', '970-555-1111', HOME) print 'First lookup:' for entry in foo.lookup('reifsch'): print '%-40s %s (%s)' % ( entry.name, entry.number, entry.showtype() ) print print 'Second lookup:' for entry in foo.lookup('e'): print '%-40s %s (%s)' % ( entry.name, entry.number, entry.showtype() ) I'm not sure if I'm on the right track but here is what I have so far: def openPB(): foo = phonedb() print 'Please select an option:' print '1 - Lookup' print '2 - Add' print '3 - Delete' print '4 - Quit' entry=int(raw_input('>> ')) if entry==1: namelookup=raw_input('Please enter a name: ') for entry in foo.lookup(namelookup): print '%-40s %s (%s)' % (entry.name, entry.number, entry.showtype() ) elif entry==2: name=raw_input('Name: ') number=raw_input('Number: ') showtype=input('Type (UNKNOWN, HOME, WORK, FAX, CELL): \n>> ') for entry in foo.add(name, number, showtype): #Trying to figure out this part print '%-40s %s (%s)'% (entry.name, entry.number, entry.showtype() ) elif entry==3: delname=raw_input('Please enter a name to delete: ') # #Trying to figure out this part print "Contact '%s' has been deleted" (delname) elif entry==4: print "Phone book is now closed" quit else: print "Your entry was not recognized." openPB() openPB()

    Read the article

  • Persistence classes in Qt

    - by zarzych
    Hi, I'm porting a medium-sized CRUD application from .Net to Qt and I'm looking for a pattern for creating persistence classes. In .Net I usually created abstract persistence class with basic methods (insert, update, delete, select) for example: public class DAOBase<T> { public T GetByPrimaryKey(object primaryKey) {...} public void DeleteByPrimaryKey(object primaryKey) {...} public List<T> GetByField(string fieldName, object value) {...} public void Insert(T dto) {...} public void Update(T dto) {...} } Then, I subclassed it for specific tables/DTOs and added attributes for DB table layout: [DBTable("note", "note_id", NpgsqlTypes.NpgsqlDbType.Integer)] [DbField("note_id", NpgsqlTypes.NpgsqlDbType.Integer, "NoteId")] [DbField("client_id", NpgsqlTypes.NpgsqlDbType.Integer, "ClientId")] [DbField("title", NpgsqlTypes.NpgsqlDbType.Text, "Title", "")] [DbField("body", NpgsqlTypes.NpgsqlDbType.Text, "Body", "")] [DbField("date_added", NpgsqlTypes.NpgsqlDbType.Date, "DateAdded")] class NoteDAO : DAOBase<NoteDTO> { } Thanks to .Net reflection system I was able to achieve heavy code reuse and easy creation of new ORMs. The simplest way to do this kind of stuff in Qt seems to be using model classes from QtSql module. Unfortunately, in my case they provide too abstract an interface. I need at least transactions support and control over individual commits which QSqlTableModel doesn't provide. Could you give me some hints about solving this problem using Qt or point me to some reference materials? Update: Based on Harald's clues I've implemented a solution that is quite similar to the .Net classes above. Now I have two classes. UniversalDAO that inherits QObject and deals with QObject DTOs using metatype system: class UniversalDAO : public QObject { Q_OBJECT public: UniversalDAO(QSqlDatabase dataBase, QObject *parent = 0); virtual ~UniversalDAO(); void insert(const QObject &dto); void update(const QObject &dto); void remove(const QObject &dto); void getByPrimaryKey(QObject &dto, const QVariant &key); }; And a generic SpecializedDAO that casts data obtained from UniversalDAO to appropriate type: template<class DTO> class SpecializedDAO { public: SpecializedDAO(UniversalDAO *universalDao) virtual ~SpecializedDAO() {} DTO defaultDto() const { return DTO; } void insert(DTO dto) { dao->insert(dto); } void update(DTO dto) { dao->update(dto); } void remove(DTO dto) { dao->remove(dto); } DTO getByPrimaryKey(const QVariant &key); }; Using the above, I declare the concrete DAO class as following: class ClientDAO : public QObject, public SpecializedDAO<ClientDTO> { Q_OBJECT public: ClientDAO(UniversalDAO *dao, QObject *parent = 0) : QObject(parent), SpecializedDAO<ClientDTO>(dao) {} }; From within ClientDAO I have to set some database information for UniversalDAO. That's where my implementation gets ugly because I do it like this: QMap<QString, QString> fieldMapper; fieldMapper["client_id"] = "clientId"; fieldMapper["name"] = "firstName"; /* ...all column <-> field pairs in here... */ dao->setFieldMapper(fieldMapper); dao->setTable("client"); dao->setPrimaryKey("client_id"); I do it in constructor so it's not visible at a first glance for someone browsing through the header. In .Net version it was easy to spot and understand. Do you have some ideas how I could make it better?

    Read the article

  • Problem trying to achieve a join using the `comments` contrib in Django

    - by NiKo
    Hi, Django rookie here. I have this model, comments are managed with the django_comments contrib: class Fortune(models.Model): author = models.CharField(max_length=45, blank=False) title = models.CharField(max_length=200, blank=False) slug = models.SlugField(_('slug'), db_index=True, max_length=255, unique_for_date='pub_date') content = models.TextField(blank=False) pub_date = models.DateTimeField(_('published date'), db_index=True, default=datetime.now()) votes = models.IntegerField(default=0) comments = generic.GenericRelation( Comment, content_type_field='content_type', object_id_field='object_pk' ) I want to retrieve Fortune objects with a supplementary nb_comments value for each, counting their respectve number of comments ; I try this query: >>> Fortune.objects.annotate(nb_comments=models.Count('comments')) From the shell: >>> from django_fortunes.models import Fortune >>> from django.db.models import Count >>> Fortune.objects.annotate(nb_comments=Count('comments')) [<Fortune: My first fortune, from NiKo>, <Fortune: Another One, from Dude>, <Fortune: A funny one, from NiKo>] >>> from django.db import connection >>> connection.queries.pop() {'time': '0.000', 'sql': u'SELECT "django_fortunes_fortune"."id", "django_fortunes_fortune"."author", "django_fortunes_fortune"."title", "django_fortunes_fortune"."slug", "django_fortunes_fortune"."content", "django_fortunes_fortune"."pub_date", "django_fortunes_fortune"."votes", COUNT("django_comments"."id") AS "nb_comments" FROM "django_fortunes_fortune" LEFT OUTER JOIN "django_comments" ON ("django_fortunes_fortune"."id" = "django_comments"."object_pk") GROUP BY "django_fortunes_fortune"."id", "django_fortunes_fortune"."author", "django_fortunes_fortune"."title", "django_fortunes_fortune"."slug", "django_fortunes_fortune"."content", "django_fortunes_fortune"."pub_date", "django_fortunes_fortune"."votes" LIMIT 21'} Below is the properly formatted sql query: SELECT "django_fortunes_fortune"."id", "django_fortunes_fortune"."author", "django_fortunes_fortune"."title", "django_fortunes_fortune"."slug", "django_fortunes_fortune"."content", "django_fortunes_fortune"."pub_date", "django_fortunes_fortune"."votes", COUNT("django_comments"."id") AS "nb_comments" FROM "django_fortunes_fortune" LEFT OUTER JOIN "django_comments" ON ("django_fortunes_fortune"."id" = "django_comments"."object_pk") GROUP BY "django_fortunes_fortune"."id", "django_fortunes_fortune"."author", "django_fortunes_fortune"."title", "django_fortunes_fortune"."slug", "django_fortunes_fortune"."content", "django_fortunes_fortune"."pub_date", "django_fortunes_fortune"."votes" LIMIT 21 Can you spot the problem? Django won't LEFT JOIN the django_comments table with the content_type data (which contains a reference to the fortune one). This is the kind of query I'd like to be able to generate using the ORM: SELECT "django_fortunes_fortune"."id", "django_fortunes_fortune"."author", "django_fortunes_fortune"."title", COUNT("django_comments"."id") AS "nb_comments" FROM "django_fortunes_fortune" LEFT OUTER JOIN "django_comments" ON ("django_fortunes_fortune"."id" = "django_comments"."object_pk") LEFT OUTER JOIN "django_content_type" ON ("django_comments"."content_type_id" = "django_content_type"."id") GROUP BY "django_fortunes_fortune"."id", "django_fortunes_fortune"."author", "django_fortunes_fortune"."title", "django_fortunes_fortune"."slug", "django_fortunes_fortune"."content", "django_fortunes_fortune"."pub_date", "django_fortunes_fortune"."votes" LIMIT 21 But I don't manage to do it, so help from Django veterans would be much appreciated :) Hint: I'm using Django 1.2-DEV Thanks in advance for your help.

    Read the article

  • Encoding Problem with Zend Navigation using Zend Translate Spanish in XMLTPX File Special Characters

    - by Routy
    Hello, I have been attempting to use Zend Translate to display translated menu items to the user. It works fine until I introduce special characters into the translation files. I instantiate the Zend_Translate object in my bootstrap and pass it in as a translator into Zend_Navigation: $translate = new Zend_Translate( array('adapter' => 'tmx', 'content' => APPLICATION_PATH .'/languages/translation.tmx', 'locale' => 'es' ) ); $navigation->setUseTranslator($translate); I have used several different adapters (array,tmx) in order to see if that made a difference. I ended up with a TMX file that is encoded using ISO-8859-1 (otherwise that throws an XML parse error when introducing the menu item "Administrar Applicación". <?xml version="1.0" encoding="ISO-8859-1"?> <!DOCTYPE tmx SYSTEM "tmx14.dtd"> <tmx version="1.4"> <header creationtoolversion="1.0.0" datatype="tbx" segtype="sentence" adminlang="en" srclang="en" o-tmf="unknown" creationtool="XYZTool" > </header> <body> <tu tuid='link_signout'> <tuv xml:lang="en"><seg>Sign Out</seg></tuv> <tuv xml:lang="es"><seg>Salir</seg></tuv> </tu> <tu tuid='link_signin'> <tuv xml:lang="en"><seg>Login</seg></tuv> <tuv xml:lang="es"><seg>Acceder</seg></tuv> </tu> <tu tuid='Manage Application'> <tuv xml:lang="en"><seg>Manage Application</seg></tuv> <tuv xml:lang="es"><seg>Administrar Applicación</seg></tuv> </tu> </body> </tmx> Once I display the menu in the layout: echo $this->navigation()->menu(); It will display all menu items just fine, EXCEPT the one using special characters. It will simply be blank. NOW - If I use PHP's UTF8-encode inside of the zend framework class 'Menu' which I DO NOT want to do: Line 215 in Zend_View_Helper_Navigation_Menu: if ($this->getUseTranslator() && $t = $this->getTranslator()) { if (is_string($label) && !empty($label)) { $label = utf8_encode($t->translate($label)); } if (is_string($title) && !empty($title)) { $title = utf8_encode($t->translate($title)); } } Then it works. The menu item display correctly and all is joyful. The thing is, I do not want to modify the library. Is there some kind of an encoding setting in either zend translate or zend navigation that I am not finding? Please Help! Zend Library Version: 1.11

    Read the article

  • jQuery Validation hiding or tearing down jquery Modal Dialog on submit

    - by Programmin Tool
    Basically when clicking the modal created submit button, and calling jQuery('#FormName').submit(), it will run the validation and then call the method assigned in the submitHandler. After that it is either creating a new modal div or hiding the form, and I don't get why. I have debugged it and noticed that after the method call in the submitHandler, the form .is(':hidden') = true and this is true for the modal div also. I'm positive I've done this before but can't seem to figure out what I've done wrong this time. The odd this is a modal div is showing up on the screen, but it's completely devoid of content. (Even after putting in random text outside of the form. It's like it's a whole new modal div) Here are the set up methods: function setUpdateTaskDiv() { jQuery("#UpdateTaskForm").validate({ errorLabelContainer: "#ErrorDiv", wrapper: "div", rules: { TaskSubject: { required: true } }, messages: { TaskSubject: { required: 'Subject is required.' } }, onfocusout: false, onkeyup: false, submitHandler: function(label) { updateTaskSubject(null); } } ); jQuery('#UpdateDiv').dialog({ autoOpen: false, bgiframe: true, height: 400, width: 500, modal: true, beforeclose: function() { }, buttons: { Submit: function() { jQuery('#UpdateTaskForm').submit(); }, Cancel: function() { ... } } }); where: function updateTaskSubject(task) { //does nothing, it's just a shell right now } Doesn't really do anything right now. Here's the html: <div id="UpdateDiv"> <div id="ErrorDiv"> </div> <form method="post" id="UpdateTaskForm" action="Calendar.html"> <div> <div class="floatLeft"> Date: </div> <div class="floatLeft"> </div> <div class="clear"> </div> </div> <div> <div class="floatLeft"> Start Time: </div> <div class="floatLeft"> <select id="TaskStartDate" name="TaskStartDate"> </select> </div> <div class="clear"> </div> </div> <div> <div class="floatLeft"> End Time: </div> <div class="floatLeft"> <select id="TaskEndDate" name="TaskEndDate"> </select> </div> <div class="clear"> </div> </div> <div> <div class="floatLeft"> Subject: </div> <div class="floatLeft"> <textarea id="TaskSubject" name="TaskSubject" cols="30" rows="10"></textarea> </div> <div class="clear"> </div> </div> <div> <input type="hidden" id="TaskId" value="" /> </div> <div class="clear"></div> </form> </div> Odd Discovery Turns out that the examples that I got this to work all had the focus being put back on the modal itself. For example, using the validator to add messages to the error div. (Success or not) Without doing this, the modal dialog apparently thinks that it's done with what it needs to do and just hides everything. Not sure exactly why, but to stop this behavior some kind of focus has to be assigned to something within the div itself.

    Read the article

  • Find optimal/good-enough strategy and AI for the game 'Proximity'?

    - by smci
    'Proximity' is a strategy game of territorial domination similar to Othello, Go and Risk. Two players, uses a 10x12 hex grid. Game invented by Brian Cable in 2007. Seems to be a worthy game for discussing a) optimal algorithm then b) how to build an AI. Strategies are going to be probabilistic or heuristic-based, due to the randomness factor, and the insane branching factor (20^120). So it will be kind of hard to compare objectively. A compute time limit of 5s per turn seems reasonable. Game: Flash version here and many copies elsewhere on the web Rules: here Object: to have control of the most armies after all tiles have been placed. Each turn you received a randomly numbered tile (value between 1 and 20 armies) to place on any vacant board space. If this tile is adjacent to any ally tiles, it will strengthen each tile's defenses +1 (up to a max value of 20). If it is adjacent to any enemy tiles, it will take control over them if its number is higher than the number on the enemy tile. Thoughts on strategy: Here are some initial thoughts; setting the computer AI to Expert will probably teach a lot: minimizing your perimeter seems to be a good strategy, to prevent flips and minimize worst-case damage like in Go, leaving holes inside your formation is lethal, only more so with the hex grid because you can lose armies on up to 6 squares in one move low-numbered tiles are a liability, so place them away from your main territory, near the board edges and scattered. You can also use low-numbered tiles to plug holes in your formation, or make small gains along the perimeter which the opponent will not tend to bother attacking. a triangle formation of three pieces is strong since they mutually reinforce, and also reduce the perimeter Each tile can be flipped at most 6 times, i.e. when its neighbor tiles are occupied. Control of a formation can flow back and forth. Sometimes you lose part of a formation and plug any holes to render that part of the board 'dead' and lock in your territory/ prevent further losses. Low-numbered tiles are obvious-but-low-valued liabilities, but high-numbered tiles can be bigger liabilities if they get flipped (which is harder). One lucky play with a 20-army tile can cause a swing of 200 (from +100 to -100 armies). So tile placement will have both offensive and defensive considerations. Comment 1,2,4 seem to resemble a minimax strategy where we minimize the maximum expected possible loss (modified by some probabilistic consideration of the value ß the opponent can get from 1..20 i.e. a structure which can only be flipped by a ß=20 tile is 'nearly impregnable'.) I'm not clear what the implications of comments 3,5,6 are for optimal strategy. Interested in comments from Go, Chess or Othello players. (The sequel ProximityHD for XBox Live, allows 4-player -cooperative or -competitive local multiplayer increases the branching factor since you now have 5 tiles in your hand at any given time, of which you can only play one. Reinforcement of ally tiles is increased to +2 per ally.)

    Read the article

  • Blackberry - Running Background Application

    - by Leandro
    Good afternoon. I'm starting programming in java and blackberry. I am developing an application with three windows, which I will show basic information about the device, these windows are already done and working. I need to create a process running in the background, this process will run every 10 minutes. As I make this process run in the background and is working to close the windows? This is the kind that runs the application: public class InfoBerry extends UiApplication{ public vtnprincipal vtnprincipal; public vtnbateria vtnbateria; public vtnestado vtnestado ; public vtnacerca vtnacerca; public InfoBerry(){ } public static void main(String[] args) { InfoBerry theApp = new InfoBerry(); theApp.mostrarpantalla(); } public void mostrarpantalla(){ vtnprincipal = new vtnprincipal(this); vtnbateria = new vtnbateria(this); vtnestado = new vtnestado(this); vtnacerca = new vtnacerca(this); // Inicailizamos los componentes de la pantalla principal vtnprincipal.incventana(); // La pnemos en lo alto de la pila de pantallas pushScreen(this.vtnprincipal); } } And this is the class you need to run in the background. As I have to make the call to this class to run in the background? class iconnoti extends MainScreen{ //icono de la temperatura EncodedImage imgtem = EncodedImage.getEncodedImageResource("icon_bateria_t.png"); ApplicationIcon icontem = new ApplicationIcon(imgtem); //icono de la carga de la bateria EncodedImage imgcarga = EncodedImage.getEncodedImageResource("icon_bateria.png"); ApplicationIcon iconcarga = new ApplicationIcon(imgcarga); //icono de la memoria EncodedImage imgmemo = EncodedImage.getEncodedImageResource("icon_memoria.png"); ApplicationIcon iconmemo = new ApplicationIcon(imgmemo); ApplicationIcon mIcon = icontem; boolean act; public iconnoti() { } public void rotar_temperatura(){ cron c1; actualizar_icono(icontem); actualizar_valor(DeviceInfo.getBatteryTemperature()); c1 = new cron(2,10000); c1.start(); } public void rotar_memoria(){ cron c1; actualizar_icono(iconmemo); actualizar_valor(34); c1 = new cron(3,10000); c1.start(); } public void rotar_nivel(){ cron c1; actualizar_icono(iconcarga); actualizar_valor(DeviceInfo.getBatteryLevel()); c1 = new cron(1,10000); c1.start(); } public void iniciar_servicio() { try { ApplicationIndicatorRegistry reg = ApplicationIndicatorRegistry.getInstance(); ApplicationIndicator Indicator = reg.register(mIcon, false, true); } catch (Exception e) { } } public void parar_servicio() { try { ApplicationIndicatorRegistry reg = ApplicationIndicatorRegistry.getInstance(); reg.unregister(); } catch (Exception e) { } } void actualizar_valor(int value) { try { ApplicationIndicatorRegistry reg = ApplicationIndicatorRegistry.getInstance(); ApplicationIndicator appIndicator = reg.getApplicationIndicator(); appIndicator.setValue(value); } catch (Exception e) { } } void actualizar_icono(ApplicationIcon icon) { try { ApplicationIndicatorRegistry reg = ApplicationIndicatorRegistry.getInstance(); ApplicationIndicator appIndicator = reg.getApplicationIndicator(); appIndicator.setIcon(icon); } catch (Exception e) { } } } class cron extends Thread { //private ApplicationIcon icono; public int valor; private int tiempo; iconnoti icon = new iconnoti(); public cron(int v, int t){ valor = v; tiempo = t; } public void run() { try { sleep(tiempo); } catch (InterruptedException e) { } if(valor == 1){ icon.rotar_temperatura(); }else if(valor == 2){ icon.rotar_memoria(); }else if(valor == 3){ icon.rotar_nivel(); } } } Thanks for the help.

    Read the article

  • wpf display staggered content

    - by Chris Cap
    I am trying to display a rather dynamic list of data in WPF. I have essentially a LineItem class that contains a list of strings and a line type. The line type separates different categories of line items. All line items with the same type should be displayed the same and their data should line up. For example, this list will contain an order summary. And the there will be a line type that represents something with a width and height. The width and height must line up vertically. However, there may be other line types that don't have to line up vertically. I want to produce a table similar to what you see below: ------------------------------------------------------------------ | some content here | some more content here | last content here | |----------------------------------------------------------------| | some content here | | last content here | |----------------------------------------------------------------| | spanning content that is longer then most | last content here | |----------------------------------------------------------------| | some content that can span a really long distance | ------------------------------------------------------------------ I attempted to do this by creating ListView with a single column that had a datatemplate that contained a grid with a fixed number of fields and then bind to the Colspan value. Unfortunately, this didn't work. I ended up with incorrect or overlapping content anytime I tried to do a column span. Here's the XAML I was working with <ListView ItemsSource="{Binding}" > <ListView.View> <GridView> <GridViewColumn Header="Content"> <GridViewColumn.CellTemplate> <DataTemplate> <Grid> <Grid.ColumnDefinitions> <ColumnDefinition /> <ColumnDefinition /> <ColumnDefinition /> </Grid.ColumnDefinitions> <TextBlock Grid.Column="0" Grid.ColumnSpan="{Binding Path=Tokens[0].ColumnSpan}" Text="{Binding Path=Tokens[0].Content}" ></TextBlock> <TextBlock Grid.Column="1" Grid.ColumnSpan="{Binding Path=Tokens[1].ColumnSpan}" Text="{Binding Path=Tokens[1].Content}" ></TextBlock> <TextBlock Grid.Column="2" Text="{Binding Path=Tokens[2].Content}"></TextBlock> </Grid> </DataTemplate> </GridViewColumn.CellTemplate> </GridViewColumn> </GridView> </ListView.View> And here's the classes I was binding to public class DisplayLine { public LineType Linetype { get; set; } public List<Token> Tokens { get; set; } public DisplayLine() { Tokens = new List<Token>(); } } public class Token { public string Content { get; set; } public bool IsEmpty { get { return string.IsNullOrEmpty(Content); } } public int ColumnSpan { get; set; } public Token() { ColumnSpan = 1; } } Does anyone have any suggestions of maybe a way of making this work. I may be taking the wrong approach. I'm trying to avoid any solutions where I explcitily build something in the code behind as I'm using the MVVM pattern so it has to be something that I can bind from exposed through the controller. My intial plan was to create a factory and separate classes that display the data differently based on type. However, I'm struggling coming up with a strategy for this using MVVM as I really can't just build something and display it. I have toyed with the idea of making some kind of UI service class that is injected, but it would still require some pretty detailed UI information from the controller to do it's work.

    Read the article

  • Writing more efficient xquery code (avoiding redundant iteration)

    - by Coquelicot
    Here's a simplified version of a problem I'm working on: I have a bunch of xml data that encodes information about people. Each person is uniquely identified by an 'id' attribute, but they may go by many names. For example, in one document, I might find <person id=1>Paul Mcartney</person> <person id=2>Ringo Starr</person> And in another I might find: <person id=1>Sir Paul McCartney</person> <person id=2>Richard Starkey</person> I want to use xquery to produce a new document that lists every name associated with a given id. i.e.: <person id=1> <name>Paul McCartney</name> <name>Sir Paul McCartney</name> <name>James Paul McCartney</name> </person> <person id=2> ... </person> The way I'm doing this now in xquery is something like this (pseudocode-esque): let $ids := distinct-terms( [all the id attributes on people] ) for $id in $ids return <person id={$id}> { for $unique-name in distinct-values ( for $name in ( [all names] ) where $name/@id=$id return $name ) return <name>{$unique-name}</name> } </person> The problem is that this is really slow. I imagine the bottleneck is the innermost loop, which executes once for every id (of which there are about 1200). I'm dealing with a fair bit of data (300 MB, spread over about 800 xml files), so even a single execution of the query in the inner loop takes about 12 seconds, which means that repeating it 1200 times will take about 4 hours (which might be optimistic - the process has been running for 3 hours so far). Not only is it slow, it's using a whole lot of virtual memory. I'm using Saxon, and I had to set java's maximum heap size to 10 GB (!) to avoid getting out of memory errors, and it's currently using 6 GB of physical memory. So here's how I'd really like to do this (in Pythonic pseudocode): persons = {} for id in ids: person[id] = set() for person in all_the_people_in_my_xml_document: persons[person.id].add(person.name) There, I just did it in linear time, with only one sweep of the xml document. Now, is there some way to do something similar in xquery? Surely if I can imagine it, a reasonable programming language should be able to do it (he said quixotically). The problem, I suppose, is that unlike Python, xquery doesn't (as far as I know) have anything like an associative array. Is there some clever way around this? Failing that, is there something better than xquery that I might use to accomplish my goal? Because really, the computational resources I'm throwing at this relatively simple problem are kind of ridiculous.

    Read the article

  • What is "elegant" code?

    - by Breton
    I see a lot of lip service and talk about the most "elegant" way to do this or that. I think if you spend enough time programming you begin to obtain a sort of intuitive feel for what it is we call "elegance". But I'm curious. Even if we can look at a bit of code, and say instinctively "That's elegant", or "That's messy", I wonder if any of us really understands what that means. Is there a precise definition for this "elegance" we keep referring to? If there is, what is it? Now, what I mean by a precise definition, is a series of statements which can be used to derive questions about a peice of code, or a program as a whole, and determine objectively, or as objectively as possible, whether that code is "elegant" or not. May I assert, that perhaps no such definition exists, and it's all just personal preference. In this case, I ask you a slightly different question: Is there a better word for "elegance", or a better set of attributes to use for judging code quality that is perhaps more objective than merely appealing to individual intuition and taste? Perhaps code quality is a matter of taste, and the answer to both of my questions is "no". But I can't help but feel that we could be doing better than just expressing wishy washy feelings about our code quality. For example, user interface design is something that to a broad range of people looks for all the world like a field of study that oughtta be 100% subjective matter of taste. But this is shockingly and brutally not the case, and there are in fact many objective measures that can be applied to a user interface to determine its quality. A series of tests could be written to give a definitive and repeatable score to user interface quality. (See GOMS, for instance). Now, okay. is Elegance simply "code quality" or is it something more? Is it something that can be measured? Or is it a matter of taste? Does our profession have room for taste? Maybe I'm asking the wrong questions altogether. Help me out here. Bonus Round If there is such a thing as elegance in code, and that concept is useful, do you think that justifies classifying the field of programming as an "Art" capital A, or merely a "craft". Or is it just an engineering field populated by a bunch of wishful thinking humans? Consider this question in the light of your thoughts about the elegance question. Please note that there is a distinction between code which is considered "art" in itself, and code that was written merely in the service of creating an artful program. When I ask this question, I ask if the code itself justifies calling programming an art. Bounty Note I liked the answers to this question so much, I think I'd like to make a photographic essay book from it. Released as a free PDF, and published on some kind of on demand printing service of course, such as "zazz" or "tiggle" or "printley" or something . I'd like some more answers, please!

    Read the article

  • How to resolve CGDirectDisplayID changing issues on newer multi-GPU Apple laptops in Core Foundation

    - by Dave Gallagher
    In Mac OS X, every display gets a unique CGDirectDisplayID number assigned to it. You can use CGGetActiveDisplayList() or [NSScreen screens] to access them, among others. Per Apple's docs: A display ID can persist across processes and system reboot, and typically remains constant as long as certain display parameters do not change. On newer mid-2010 MacBook Pro's, Apple started using auto-switching Intel/nVidia graphics. Laptops have two GPU's, a low-powered Intel, and a high-powered nVidia. Previous dual-GPU laptops (2009 models) didn't have auto-GPU switching, and required the user to make a settings change, logoff, and then logon again to make a GPU switch occur. Even older systems only had one GPU. There's an issue with the mid-2010 models where CGDirectDisplayID's don't remain the same when a display switches from one GPU to the next. For example: Laptop powers on. Built-In LCD Screen is driven by Intel chipset. Display ID: 30002 External Display is plugged in. Built-In LCD Screen switches to nVidia chipset. It's display ID changes: 30004 External Display is driven by nVidia chipset. ...at this point, the Intel chipset is dormant... User unplugs External Display. Built-In LCD Screen switches back to Intel chipset. It's display ID changes back to original: 30002 My question is, how can I match an old display ID to a new display ID when they alter due to a GPU change? Thought about: I've noticed that the display ID only changes by 2, but I don't have enough test Mac's available to determine if this is common to all new MacBook Pro's, or just mine. Kind of a kludge if "just check for display ID's which are +/-2 from one another" works, anyway. Tried: CGDisplayRegisterReconfigurationCallback(), which notifies before-and-after when displays are going to change, has no matching logic. Putting something like this inside a method registered with it doesn't work: // Run before display settings change: CGDirectDisplayID directDisplayID = ...; io_service_t servicePort = CGDisplayIOServicePort(directDisplayID); CFDictionaryRef oldInfoDict = IODisplayCreateInfoDictionary(servicePort, kIODisplayMatchingInfo); // ...display settings change... // Run after display settings change: CGDirectDisplayID directDisplayID = ...; io_service_t servicePort = CGDisplayIOServicePort(directDisplayID); CFDictionaryRef newInfoDict = IODisplayCreateInfoDictionary(servicePort, kIODisplayMatchingInfo); BOOL match = IODisplayMatchDictionaries(oldInfoDict, newInfoDict, 0); if (match) NSLog(@"Displays are a match"); else NSLog(@"Displays are not a match"); What's happening above is I'm caching oldInfoDict before display settings change, letting them change, and then comparing it to newInfoDict by using IODisplayMatchDictionaries(), which will say either "yes, both displays are the same!" or "no, both displays are not the same." Unfortunately, it does not return YES if GPU's have changed for a monitor. Example of the dictionary's it's comparing: // oldInfoDict (Display ID: 30002) oldInfoDict: { DisplayProductID = 40144; DisplayVendorID = 1552; IODisplayLocation = "IOService:/AppleACPIPlatformExpert/PCI0@0/AppleACPIPCI/IGPU@2/AppleIntelFramebuffer/display0/AppleBacklightDisplay"; } // newInfoDict (Display ID: 30004) newInfoDict: { DisplayProductID = 40144; DisplayVendorID = 1552; IODisplayLocation = "IOService:/AppleACPIPlatformExpert/PCI0@0/AppleACPIPCI/P0P2@1/IOPCI2PCIBridge/GFX0@0/NVDA,Display-A@0/NVDA/display0/AppleBacklightDisplay"; } As you can see, the IODisplayLocation key changes when GPU's are switched, hence IODisplayMatchDictionaries() doesn't work. I can, theoretically, compared just the DisplayProductID and DisplayVendorID keys, but I'm writing end-user software, and am worried of a situation where users have two or more identical monitors plugged in. Any help is greatly appreciated! :)

    Read the article

  • Windows NT Service shutdown issues

    - by Jeremiah Gowdy
    I have developed middleware that provides RPC functionality to multiple client applications on multiple platforms within our organization. The middleware is written in C# and runs as a Windows NT Service. It handles things like file access to network shares, database access, etc. The middleware is hosted on two high end systems running Windows Server 2008 R2. When one of our server administrators goes to reboot the machine, primarily to do Windows Updates, there are serious problems with how the system behaves in regards to my NT Service. My service is designed to immediately stop listening for new connections, immediately start refusing new requests on existing connections, and otherwise shut down as rapidly as possible in the case of an OnStop or OnShutdown request from the SCM. Still, to maintain system integrity, operations that are currently in progress are allowed to continue for a reasonable time. Usually the server shuts down inside of 30 seconds (when the service is manually stopped for example). However, when the system is instructed to restart, my service immediately loses access to network drives and UNC paths, causing data integrity problems for any open files and partial writes to those locations. My service does list Workstation (and thus SMB Redirector) as a dependency, so I would think that my service would need to be stopped prior to Workstation/Redirector being stopped if Windows were honoring those dependencies. Basically, my application is forced to crash and burn, failing remote procedure calls and eventually being forced to terminate by the operating system after a timeout period has elapsed (seems to be on the order of 20-30 seconds). Unlike a Windows application, my Windows NT Service doesn't seem to have any power to stop a system shutdown in progress, delay the system shutdown, or even just the opportunity to save out any pending network share disk writes before being forcibly disconnected and shutdown. How is an NT Service developer supposed to have any kind of application integrity in this environment? Why is it that Forms Applications get all of the opportunity to finish their business prior to shutdown, while services seem to get no such benefits? I have tried: Calling SetProcessShutdownParameters via p/invoke to try to notify my application of the shutdown sooner to avoid Redirector shutting down before I do. Calling ServiceBase.RequestAdditionalTime with a value less than or equal to the two minute limit. Tweaking the WaitToKillServiceTimeout Everything I can think of to make my service shutdown faster. But in the end, I still get ~30 seconds of problematic time in which my service doesn't even seem to have been notified of an OnShutdown event yet, but requests are failing due to redirector no longer servicing my network share requests. How is this issue meant to be resolved? What can I do to delay or stop the shutdown, or at least be allowed to shut down my active tasks without Redirector services disappearing out from under me? I can understand what Microsoft is trying to do to prevent services from dragging their feet and showing shutdowns, but that seems like a great goal for Windows client operating systems, not for servers. I don't want my servers to shutdown fast, I want operational integrity and graceful shutdowns. Thanks in advance for any help you can provide. PS in regards to writing my own middleware, this is for a telephony application with sub-second "soft-realtime" response time requirements. It does make sense, and it's not a point I'm looking to debate. :)

    Read the article

  • Is the Unix Philosophy still relevant in the Web 2.0 world?

    - by David Titarenco
    Introduction Hello, let me give you some background before I begin. I started programming when I was 5 or 6 on my dad's PSION II (some primitive BASIC-like language), then I learned more and more, eventually inching my way up to C, C++, Java, PHP, JS, etc. I think I'm a pretty decent coder. I think most people would agree. I'm not a complete social recluse, but I do stuff like write a virtual machine for fun. I've never taken a computer course in college because I've been in and out for the past couple of years and have only been taking core classes; never having been particularly amazing at school, perhaps I'm missing some basic tenet that most learn in CS101. I'm currently reading Coders at Work and this question is based on some ideas I read in there. A Brief (Fictionalized) Example So a certain sunny day I get an idea. I hire a designer and hammer away at some C/C++ code for a couple of months, soon thereafter releasing silvr.com, a website that transmutes lead into silver. Yep, I started my very own start-up and even gave it a clever web 2.0 name with a vowel missing. Mom and dad are proud. I come up with some numbers I should be seeing after 1, 2, 3, 6, 9, 12 months and set sail. Obviously, my transmuting server isn't perfect, sometimes it segfaults, sometimes it leaks memory. I fix it and keep truckin'. After all, gdb is my best friend. Eventually, I'm at a position where a very small community of people are happily transmuting lead into silver on a semi-regular basis, but they want to let their friends on MySpace know how many grams of lead they transmuted today. And they want to post images of their lead and silver nuggets on flickr. I'm losing out on potential traffic unless I let them log in with their Yahoo, Google, and Facebook accounts. They want webcam support and live cock fighting, merry-go-rounds and Jabberwockies. All these things seem necessary. The Aftermath Of course, I have to re-write the transmuting server! After all, I've been losing money all these months. I need OAuth libraries and OpenID libraries, JSON support, and the only stable Jabberwocky API is for Java. C++ isn't even an option anymore. I'm just one guy! The Java binary just grows and grows since I need some legacy Apache include for the JSON library, and some antiquated Sun dependency for OAuth support. Then I pick up a book like Coders at Work and read what people like jwz say about complexity... I think to myself.. Keep it simple, stupid. I like simple things. I've always loved the Unix Philosophy but even after trying to keep the new server source modular and sleek, I loathe having to write one more line of code. It feels that I'm just piling crap on top of other crap. Maybe I'm naive thinking every piece of software can be simple and clever. Maybe it's just a phase.. or is the Unix Philosophy basically dead when it comes to the current state of (web) development? I'm just kind of disheartened :(

    Read the article

  • Pure JSP without mixing HTML, by writing html as Java-like code

    - by ADTC
    Please read before answering. This is a fantasy programming technique I'm dreaming up. I want to know if there's anything close in real life. The following JSP page: <% html { head { title {"Pure fantasy";} } body { h1 {"A heading with double quote (\") character";} p {"a paragraph";} String s = "a paragraph in string. the date is "; p { s; new Date().toString(); } table (Border.ZERO, new Padding(27)) { tr { for (int i = 0; i < 10; i++) { td {i;} } } } } } %> could generate the following HTML page: <html> <head> <title>Pure fantasy</title> </head> <body> <h1>A heading with double quote (") character</h1> <p>a paragraph</p> <p>a paragraph in string. the date is 11 December 2012</p> <table border="0" padding="27"> <tr> <td>0</td> <td>1</td> <td>2</td> <td>3</td> <td>4</td> <td>5</td> <td>6</td> <td>7</td> <td>8</td> <td>9</td> </tr> </table> </body> </html> The thing about this fantasy is it reuses the same old Java programming language technique that enable customized keywords used in a way similar to if-else-then, while, try-catch etc to represent html tags in a non-html way that can easily be checked for syntactic correctness, and most importantly can easily be mixed up with regular Java code without being lost in a sea of <%, %>, <%=, out.write(), etc. An added feature is that strings can directly be placed as commands to print out into generated HTML, something Java doesn't support (where pure strings have to be assigned to variables before use). Is there anything in real life that comes close? If not, is it possible to define customized keywords in Java or JSP? Or do I have to create an entirely new programming language for that? What problems do you see with this kind of setup? PS: I know you can use HTML libraries to construct HTML using Java code, but the problem with such libraries is, the source code itself doesn't have a readable HTML representation like the code above does - if you get what I mean.

    Read the article

  • DSP - Problems using the inverse Fast Fourier Transform

    - by Trap
    I've been playing around a little with the Exocortex implementation of the FFT, but I'm having some problems. First, after calculating the inverse FFT of an unchanged frequency spectrum obtained by a previous forward FFT, one would expect to get the original signal back, but this is not the case. I had to figure out that I needed to scale the FFT output to about 1 / fftLength to get the amplitudes ok. Why is this? Second, whenever I modify the amplitudes of the frequency bins before calling the iFFT the signal gets distorted at low frequencies. However, this does not happen if I attenuate all the bins by the same factor. Let me put a very simplified example of the output buffer of a 4-sample FFT: // Bin 0 (DC) FFTOut[0] = 0.0000610351563 FFTOut[1] = 0.0 // Bin 1 FFTOut[2] = 0.000331878662 FFTOut[3] = 0.000629425049 // Central bin FFTOut[4] = -0.0000381469727 FFTOut[5] = 0.0 // Bin 3, this is a negative frequency bin. FFTOut[6] = 0.000331878662 FFTOut[7] = -0.000629425049 The output is composed of pairs of floats, each representing the real and imaginay parts of a single bin. So, bin 0 (array indexes 0, 1) would represent the real and imaginary parts of the DC frequency. As you can see, bins 1 and 3 both have the same values, (except for the sign of the Im part), so I guess these are the negative frequency values, and finally indexes (4, 5) would be the central frequency bin. To attenuate the frequency bin 1 this is what I do: // Attenuate the 'positive' bin FFTOut[2] *= 0.5; FFTOut[3] *= 0.5; // Attenuate its corresponding negative bin. FFTOut[6] *= 0.5; FFTOut[7] *= 0.5; For the actual tests I'm using a 1024-length FFT and I always provide all the samples so no 0-padding is needed. // Attenuate var halfSize = fftWindowLength / 2; float leftFreq = 0f; float rightFreq = 22050f; for( var c = 1; c < halfSize; c++ ) { var freq = c * (44100d / halfSize); // Calc. positive and negative frequency locations. var k = c * 2; var nk = (fftWindowLength - c) * 2; // This kind of attenuation corresponds to a high-pass filter. // The attenuation at the transition band is linearly applied, could // this be the cause of the distortion of low frequencies? var attn = (freq < leftFreq) ? 0 : (freq < rightFreq) ? ((freq - leftFreq) / (rightFreq - leftFreq)) : 1; mFFTOut[ k ] *= (float)attn; mFFTOut[ k + 1 ] *= (float)attn; mFFTOut[ nk ] *= (float)attn; mFFTOut[ nk + 1 ] *= (float)attn; } Obviously I'm doing something wrong but can't figure out what or where.

    Read the article

< Previous Page | 479 480 481 482 483 484 485 486 487 488 489 490  | Next Page >