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  • Best Practices for Working with Multiple Monitors in Visual Studio 2010

    - by Clever Human
    Now that Visual Studio 2010 has support for multiple monitors, I am curious how other people have their environments arranged. I have yet to come up with an arrangement that I am really satisfied with. The current best I have come up with for my 2 monitor system is to have all code windows detached. Then, on my primary monitor, I am able to have two code windows side by side (using the Windows 7 keyboard shortcuts WinKey+LeftArrow and WinKey+RightArrow.) On my secondary monitor I put the rest of the IDE with all of the tool windows that are normally on the bottom (errors list, find window, call stack, etc...) docked where the code windows normally go. I've also tried having all those things detached and having almost nothing in the IDE proper. The problems with this layout are: Newly opened code windows always open in the IDE, not on top of one of the detached windows. Detached code windows do not remember their exact placement from session to session (they are slightly off, having me to use the winkey + arrow key shortcut again and again for each window. There seems to be no way to have the code panes aware that they are on top of one another (IE -- multiple tabs.) The CTRL+TAB shortcut always displays on top of the IDE proper. The Code Panes are always "on top" of (children of) the IDE. So clicking on any code pane brings the IDE to the foreground, even when I care only about that code pane, and not the IDE. Other more minor issues... What would go a long way to making this better is having the code panes detach such that they are tab strips that can have other code panes docked within them. The new multi-monitor support in VS2010 is good, but it still seems really lacking. Can these issues be solved with an add-in? If so, is anyone aware of one? Is there a better way to work with the IDE on multiple monitors than what I am doing? NOTE: While this question is subjective (there is certainly no "this is the best way and that's final" answer) I'd really like to know possibly better methods of working with the IDE than what I have come up with. The intent is not to start a "mine's best" flame war.

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  • organizing external libraries and include files

    - by stijn
    Over the years my projects use more and more external libraries, and the way I did it starts feeling more and more awkward (although, that has to be said, it does work flawlessly). I use VS on Windows, CMake on others, and CodeComposer for targetting DSPs on Windows. Except for the DSPs, both 32bit and 64bit platforms are used. Here's a sample of what I am doing now; note that as shown, the different external libraries themselves are not always organized in the same way. Some have different lib/include/src folders, others have a single src folder. Some came ready-to-use with static and/or shared libraries, others were built /path/to/projects /projectA /projectB /path/to/apis /apiA /src /include /lib /apiB /include /i386/lib /amd64/lib /path/to/otherapis /apiC /src /path/to/sharedlibs /apiA_x86.lib -->some libs were built in all possible configurations /apiA_x86d.lib /apiA_x64.lib /apiA_x64d.lib /apiA_static_x86.lib /apiB.lib -->other libs have just one import library /path/to/dlls -->most of this directory also gets distributed to clients /apiA_x86.dll and it's in the PATH /apiB.dll Each time I add an external libary, I roughly use this process: build it, if needed, for different configurations (release/debug/platform) copy it's static and/or import libraries to 'sharedlibs' copy it's shared libraries to 'dlls' add an environment variable, eg 'API_A_DIR' that points to the root for ApiA, like '/path/to/apis/apiA' create a VS property sheet and a CMake file to state include path and eventually the library name, like include = '$(API_A_DIR)/Include' and lib = apiA.lib add the propertysheet/cmake file to the project needing the library It's especially step 4 and 5 that are bothering me. I am pretty sure I am not the only one facing this problem, and would like see how others deal with this. I was thinking to get rid of the environment variables per library, and use just one 'API_INCLUDE_DIR' and populating it with the include files in an organized way: /path/to/api/include /apiA /apiB /apiC This way I do not need the include path in the propertysheets nor the environment variables. For libs that are only used on windows I even don't need a propertysheet at all as I can use #pragmas to instruct the linker what library to link to. Also in the code it will be more clear what gets included, and no need for wrappers to include files having the same name but are from different libraries: #include <apiA/header.h> #include <apiB/header.h> #include <apiC_version1/header.h> The withdrawal is off course that I have to copy include files, and possibly** introduce duplicates on the filesystem, but that looks like a minor price to pay, doesn't it? ** actually once libraries are built, the only thing I need from them is the include files and thie libs. Since each of those would have a dedicated directory, the original source tree is not needed anymore so can be deleted..

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  • Is a Multi-DAL Approach the way to go here?

    - by Krisc
    Working on the data access / model layer in this little MVC2 project and trying to think things out to future projects. I have a database with some basic tables and I have classes in the model layer that represent them. I obviously need something to connect the two. The easiest is to provide some sort of 'provider' that can run operations on the database and return objects. But this is for a website that would potentially be used "a lot" (I know, very general) so I want to cache results from the data layer and keep the cache updated as new data is generated. This question deals with how best to approach this problem of dual DALS. One that returns cached data when possible and goes to the data layer when there is a cache miss. But more importantly, how to integrate the core provider (thing that goes into database) with the caching layer so that it too can rely on cached objects rather than creating new ones. Right now I have the following interfaces: IDataProvider is used to reach the database. It doesn't concern itself with the meaning of the objects it produces, but simply the way to produce them. interface IDataProvider{ // Select, Update, Create, et cetera access IEnumerable<Entry> GetEntries(); Entry GetEntryById(int id); } IDataManager is a layer that sits on top of the IDataProvider layer and manages the cache interface IDataManager : IDataProvider{ void ClearCache(); } Note that in practice the IDataManager implementation will have useful helper functions to add objects to their related cache stores. (In the future I may define other functions on the interface) I guess what I am looking for is the best way to approach a loop back from the IDataProvider implementations so that they can access the cache. Or a different approach entirely may be in order? I am not very interested in 3rd party products at the moment as I am interested in the design of these things much more than this specific implementation. Edit: I realize the title may be a bit misleading. I apologize for that... not sure what to call this question.

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  • Issue with blocking the UI during a onchange request - prevents other event from firing.

    - by jfrobishow
    I am having issues with jQuery blockUI plugins and firing two events that are (I think, unless I am loosing it) unrelated. Basically I have textboxes with onchange events bound to them. The event is responsible for blocking the UI, doing the ajax call and on success unblocking the UI. The ajax is saving the text in memory. The other control is a button with on onclick event which also block the UI, fire an ajax request saving what's in memory to the database and on success unblock the UI. Both of these work fine separately. The issue arise when I trigger the onchange by clicking on the button. Then only the onchange is fired and the onclick is ignored. I can change the text in the checkbox, click on the link and IF jQuery.blockUI() is present the onchange alone is fired and the save is never called. If I remove the blockUI both function are called. Here's a fully working example where you can see the issue. Please note the setTimeout are there when I was trying to simulate the ajax delay but the issue is happening without it. <html> <head> <script src="http://ajax.googleapis.com/ajax/libs/jquery/1.4.2/jquery.min.js"></script> <script src="http://github.com/malsup/blockui/raw/master/jquery.blockUI.js?v2.31"></script> <script> function doSomething(){ $.blockUI(); alert("doing something"); //setTimeout(function(){ $.unblockUI(); //},500); } function save(){ $.blockUI(); //setTimeout(function(){ alert("saving"); $.unblockUI(); //}, 1000); } </script> </head> <body> <input type="text" onchange="doSomething();"> <a href="#" onclick="save()">save</a> </body> </html>

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  • jQuery UI problem: why do the elements go flying around the screen?

    - by George Edison
    Yes, I know the title sounds a little suspicious. I will try to explain this the best I can... The code below is supposed to have the blue div slide down beside the red div. The first time you hit the Show the div button, it works. Also, the Hide the div works. Then when I click to show the div again, it appears to the right of where it is supposed to be! Why is this?!? Note: You can find a live example of the code here <html> <!DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.0 Strict//EN" "http://www.w3.org/TR/xhtml1/DTD/xhtml1-strict.dtd"> <html xmlns="http://www.w3.org/1999/xhtml" xml:lang="en" lang="en"> <head> <title>Demo</title> <style type='text/css'> #red { background-color: red; width: 200px; height: 150px; position: absolute; } #blue { background-color: blue; width: 150px; height: 200px; position: absolute; display: none; } #tester_1 { top: 300px; left: 300px; position: absolute; } #tester_2 { top: 350px; left: 300px; position: absolute; } </style> </head> <script type="text/javascript" src="jquery.js"></script> <script type='text/javascript'> function Show() { $('#blue').position({ of: $('#red'), my: 'left top', at: 'right top'}).slideDown(); } function Hide() { $('#blue').hide(); } </script> <body> <div id='red'></div> <div id='blue'></div> <button id='tester_1' onclick='Show()'>Show the <kbd>div</kbd></button> <button id='tester_2' onclick='Hide()'>Hide the <kbd>div</kbd></button> </body> </html>

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  • Using images in QListWidget, is this possible?

    - by Neko
    Hi, again. :) As with the last few times I posted here, I have a question about QT, which I am using to create a chat messenger client. To display the list of online users, I'm using a QListWidget, as created like this: listWidget = new QListWidget(horizontalLayoutWidget); listWidget->setObjectName("userList"); QSizePolicy sizePolicy1(QSizePolicy::Preferred, QSizePolicy::Expanding); sizePolicy1.setHorizontalStretch(0); sizePolicy1.setVerticalStretch(0); sizePolicy1.setHeightForWidth(listWidget->sizePolicy().hasHeightForWidth()); listWidget->setSizePolicy(sizePolicy1); listWidget->setMinimumSize(QSize(30, 0)); listWidget->setMaximumSize(QSize(150, 16777215)); listWidget->setBaseSize(QSize(100, 0)); listWidget->setContextMenuPolicy(Qt::CustomContextMenu); Users are shown by constantly refreshing the list, like this: (Note: There are different channels, with different userlists, so refreshing it is the most efficient thing to do, as far as I know.) void FMessenger::refreshUserlist() { if (currentPanel == 0) return; listWidget = this->findChild<QListWidget *>(QString("userList")); listWidget->clear(); QList<FCharacter*> charList = currentPanel->charList(); QListWidgetItem* charitem = 0; FCharacter* character; foreach(character, charList) { charitem = new QListWidgetItem(character->name()); // charitem->setIcon(QIcon(":/Images/status.png")); listWidget->addItem(charitem); } } This has always worked perfectly. The line that I commented out is the one I have problems with: my current goal is to be able to display a user's online status with an image, which represents whether they are busy, away, available, etc. Using setIcon() does absolutely nothing though, apparently; the items still show up as they used to, without icons. I'm aware that this is probably not the way this function needs to be used, but I have found little documentation about it online, and absolutely no useful examples of implementations. My question is, can anybody help me with fixing this problem? Any help would be appreciated terrifically, like always!

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  • Is there some way to make variables like $a and $b in regard to strict?

    - by Axeman
    In light of Michael Carman's comment, I have decided to rewrite the question. Note that 11 comments appear before this edit, and give credence to Michael's observation that I did not write the question in a way that made it clear what I was asking. Question: What is the standard--or cleanest way--to fake the special status that $a and $b have in regard to strict by simply importing a module? First of all some setup. The following works: #!/bin/perl use strict; print "\$a=$a\n"; print "\$b=$b\n"; If I add one more line: print "\$c=$c\n"; I get an error at compile time, which means that none of my dazzling print code gets to run. If I comment out use strict; it runs fine. Outside of strictures, $a and $b are mainly special in that sort passes the two values to be compared with those names. my @reverse_order = sort { $b <=> $a } @unsorted; Thus the main functional difference about $a and $b--even though Perl "knows their names"--is that you'd better know this when you sort, or use some of the functions in List::Util. It's only when you use strict, that $a and $b become special variables in a whole new way. They are the only variables that strict will pass over without complaining that they are not declared. : Now, I like strict, but it strikes me that if TIMTOWTDI (There is more than one way to do it) is Rule #1 in Perl, this is not very TIMTOWDI. It says that $a and $b are special and that's it. If you want to use variables you don't have to declare $a and $b are your guys. If you want to have three variables by adding $c, suddenly there's a whole other way to do it. Nevermind that in manipulating hashes $k and $v might make more sense: my %starts_upper_1_to_25 = skim { $k =~ m/^\p{IsUpper}/ && ( 1 <= $v && $v <= 25 ) } %my_hash ;` Now, I use and I like strict. But I just want $k and $v to be visible to skim for the most compact syntax. And I'd like it to be visible simply by use Hash::Helper qw<skim>; I'm not asking this question to know how to black-magic it. My "answer" below, should let you know that I know enough Perl to be dangerous. I'm asking if there is a way to make strict accept other variables, or what is the cleanest solution. The answer could well be no. If that's the case, it simply does not seem very TIMTOWTDI.

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  • Custom cell in list in Flash AS3

    - by Stian Flatby
    I am no expert in Flash, and I need some quick help here, without needing to learn everything from scratch. Short story, I have to make a list where each cell contains an image, two labels, and a button. List/Cell example: img - label - label - button img - label - label - button As a Java-programmer, I have tried to quicly learn the syntax and visualness of Flash and AS3, but with no luck so far. I have fairly understood the basics of movie clips etc. I saw a tutorial on how to add a list, and add some text to it. So I dragged in a list, and in the code went list.addItem({label:"hello"}); , and that worked ofc. So i thought if I double-clicked the MC of the list, i would get to tweak some things. In there I have been wandering around different halls of cell-renderers etc. I have now come to the point that I entered the CellRenderer_skinUp or something, and customized it to my liking. When this was done, I expected i could use list.addItem(); and get an empty "version" of my cell, with the img, labels and the button. But AS3 expects an input in addItem. From my object-oriented view, I am thinking that i have to create an object of the cell i have made, but i have no luck reaching it.. I tried to go var test:CellRenderer = list.listItem; list.addItem(test); ..But with no luck. This is just for funsies, but I really want to make this work, however not so much that I am willing to read up on ALOT of Flash and AS3. I felt that I was closing in on the prize, but the compiler expected a semicolon after the variable (list.addItem({test:something});). Note: If possible, I do NOT want this: list.addItem({image:"src",label:"text",label"text",button:"text"}); Well.. It actually is what I want, but I would really like to custom-draw everything. Does anyone get what I am trying to do, and has any answers for me? Am I approaching this the wrong way? I have searched the interwebs for custom list-cells, but with no luck. Please, any guiding here is appreciated! Sti

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  • C - What is the proper format to allow a function to show an error was encountered?

    - by BrainSteel
    I have a question about what a function should do if the arguments to said function don't line up quite right, through no fault of the function call. Since that sentence doesn't make much sense, I'll offer my current issue. To keep it simple, here is the most relevant and basic function I have. float getYValueAt(float x, PHYS_Line line, unsigned short* error) *error = 0; if(x < line.start.x || x > line.end.x){ *error = 1; return -1; } if(line.slope.value != 0){ //line's equation: y - line.start.y = line.slope.value(x - line.start.x) return line.slope.value * (x - line.start.x) + line.start.y; } else if(line.slope.denom == 0){ if(line.start.x == x) return line.start.y; else{ *error = 1; return -1; } } else if(line.slope.num == 0){ return line.start.y; } } The function attempts to find the point on a line, given a certain x value. However, under some circumstances, this may not be possible. For example, on the line x = 3, if 5 is passed as a value, we would have a problem. Another problem arises if the chosen x value is not within the interval the line is on. For this, I included the error pointer. Given this format, a function call could work as follows: void foo(PHYS_Line some_line){ unsigned short error = 0; float y = getYValueAt(5, some_line, &error); if(error) fooey(); else do_something_with_y(y); } My question pertains to the error. Note that the value returned is allowed to be negative. Returning -1 does not ensure that an error has occurred. I know that it is sometimes preferred to use the following method to track an error: float* getYValueAt(float x, PHYS_Line line); and then return NULL if an error occurs, but I believe this requires dynamic memory allocation, which seems even less sightly than the solution I was using. So, what is standard practice for an error occurring?

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  • VBScript Issue Help Required.

    - by MalsiaPro
    I need a script that can run and pull information from any drive on a Windows operating system (Windows Server 2003), listing all files and folders which contain the following fields: The server is quite big and is within our domain. The required information is: Full file path (e.g. C:\Documents and Settings\user\My Documents\testPage.doc) File type (e.g. word document, spreadsheet, database etc) Size When Created When last modified When last accessed Also the script will need to convert that data to a CSV file, which later on I can modify and process in Excel. I can imagine that this data will be huge but I still need it. I am logged in as an administrator on the server and the script will need to also process protected files. As in previous posts I have read that the script will stop if such files are processed. I need to make sure that not a single file is skipped. Please note I have asked this question before but still have not got a working script. This is the script I got so far, file Test.vbs: Set objFS=CreateObject("Scripting.FileSystemObject") WScript.Echo Chr(34) & "Full Path" &_ Chr(34) & "," & Chr(34) & "File Size" &_ Chr(34) & "," & Chr(34) & "File Date modified" &_ Chr(34) & "," & Chr(34) & "File Date Created" &_ Chr(34) & "," & Chr(34) & "File Date Accessed" & Chr(34) Set objArgs = WScript.Arguments strFolder = objArgs(0) Set objFolder = objFS.GetFolder(strFolder) Go (objFolder) Sub Go(objDIR) If objDIR <> "\System Volume Information" Then For Each eFolder in objDIR.SubFolders Go eFolder Next End If For Each strFile In objDIR.Files WScript.Echo Chr(34) & strFile.Path & Chr(34) & "," &_ Chr(34) & strFile.Size & Chr(34) & "," &_ Chr(34) & strFile.DateLastModified & Chr(34) & "," &_ Chr(34) & strFile.DateCreated & Chr(34) & "," &_ Chr(34) & strFile.DateLastAccessed & Chr(34) Next End Sub I am currently using the command-line to run it: c:\test> cscript //nologo Test.vbs "c:\" > "C:\test\Output.csv" The script is not working. I don't know why.

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  • Javascript table construction bug using JQuery in Firefox on Mac OSX

    - by Poita_
    I'm using some code to build up tables using JQuery, but in Firefox 3.5.3 on Mac OSX, the table cells all appear on separate lines by themselves, instead of in their respective rows. Chrome 5.0.342.7 beta on OSX correctly produces the table, as does Safari 4.0.5. Here is a minimal reproduction case: <html> <body> <script type="text/javascript" src="http://ajax.googleapis.com/ajax/libs/jquery/1.4.2/jquery.min.js"></script> <script type="text/javascript"> $(document).ready(function() { var b = $('body'); b.append("<table>"); for (var i = 0; i < 3; ++i) { b.append("<tr>"); for (var j = 0; j < 3; ++j) b.append("<td>x</td>"); b.append("</tr>"); } b.append("</table>"); }); </script> </body> </html> In Chrome and Safari, I get this correct output: x x x x x x x x x but Firefox produces: x x x x x x x x x Note that if I manually create that exact table without using Javascript (i.e. direct into the HTML) then the table appears correctly in Firefox. Also, if I change the JS to append then entire table in one call then it also works -- the only time it doesn't work is if you append it part-by-part as I have done before. My question is: is this to be expected, or should I report this as a bug to Firefox? I'm pretty sure this is a Firefox bug, but I'm a bit of a newbie to JS and web development in general, so perhaps there's something I'm missing? P.S. obviously there are easy ways to get around this -- that's not my concern. See above.

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  • jquery load a specific #Div content from multiple html files

    - by Vikram
    Hello friends I am trying to make a Content Slider for my site. I have multiple HTML files and the structure of these files is like this: <div id="title"><h2>Title of the Slide</h2></div> <div id="image"><a href="http://mylink.com"><img src="image.jpg" width="600" height="300" alt="image"</a></div> <div id="content">Lorem Ipsum is simply dummy text of the printing and typesetting industry. Lorem Ipsum has been the industry's standard dummy text ever since the 1500s.</div> I have been trying to use the following script get content (but no success): <?php function render($position="") { ob_start(); foreach(glob("/slides/*.html") as $fileName) { $fname = basename( $fileName ); $curArr = file($fname); $slides[$fname ]['title'] = $curArr[0]; $slides[$fname ]['image'] = $curArr[1]; $slides[$fname ]['content'] = $curArr[2]; foreach($slides as $key => $value){ ?> <div id="slide-title"> <?php echo $value['title'] ?> </div> <div id="slide-content"> <?php echo $value['image'] ?> </div> <div id="slide-image"> <?php echo $value['content'] ?> </div> <?php }} ?> <?php return ob_get_clean(); } But then I came to know about a jQuery function.... (again no success) jQuery.noConflict(); (function($){ $(document).ready(function () { $('#slide-title').load('slides/slide1.html #title'); $('#slide-content').load('slides/slide1.html #content'); $('#slide-image').load('slides/slide1.html #image'); }); })(jQuery); Now My questions are..... Am I using the right syntax. How do I get the content from multiple files using jQuery. Please Note : My knowledge on Programming is almost '0'. I have just started learning it.

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  • VBScript Can not Select XML nodes

    - by urbanMethod
    I am trying to Select nodes from some webservice response XML to no avail. For some reason I am able to select the root node ("xmldata") however, when I try to drill deeper("xmldata/customers") everything is returned empty! Below is the a sample of the XML that is returned by the webservice. <xmldata> <customers> <customerid>22506</customerid> <firstname>Jim</firstname> <issuperadmin>N</issuperadmin> <lastname>Jones</lastname> </customers> </xmldata> and here is the code I am trying to select customerid, firstname, and lastname; ' Send the Xml oXMLHttp.send Xml_to_Send ' Validate the Xml dim xmlDoc set xmlDoc = Server.CreateObject("Msxml2.DOMDocument") xmlDoc.load (oXMLHttp.ResponseXML.text) if(len(xmlDoc.text) = 0) then Xml_Returned = "<B>ERROR in Response xml:<BR>ERROR DETAILS:</B><BR><HR><BR>" end if dim nodeList Set nodeList = xmlDoc.SelectNodes("xmldata/customers") For Each itemAttrib In nodeList dim custID, custLname, custFname custID =itemAttrib.selectSingleNode("customerid").text custLname =itemAttrib.selectSingleNode("lastname").text custFname =itemAttrib.selectSingleNode("firstname").text response.write("News Subject: " & custID) response.write("<br />News Subject: " & custLname) response.write("<br />News Date: " & custFname) Next The result of the code above is zilch! nothing is written to the page. One strange thing is if I select the root element and get its length as follows; Set nodeList = xmlDoc.SelectNodes("xmldata") Response.Write(nodeList.length) '1 is written to page It correctly determines the length of 1. However when I try the same with the next node down as follows; Set nodeList2 = xmlDoc.SelectNodes("xmldata/customers") Response.Write(nodeList.length) '0 is written to page It returns a length of 0. WHY! Please note that this isn't the only way I have attempted to access the values of these nodes. I just can not work out what I am doing wrong. Could someone please help me out. Cheers.

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  • How can I pipe input to a Java app with Perl?

    - by user319479
    I need to write a Perl script that pipes input into a Java program. This is related to this, but that didn't help me. My issue is that the Java app doesn't get the print statements until I close the handle. What I found online was that $| needs to be set to something greater than 0, in which case newline characters will flush the buffer. This still doesn't work. This is the script: #! /usr/bin/perl -w use strict; use File::Basename; $|=1; open(TP, "| java -jar test.jar") or die "fail"; sleep(2); print TP "this is test 1\n"; print TP "this is test 2\n"; print "tests printed, waiting 5s\n"; sleep(5); print "wait over. closing handle...\n"; close TP; print "closed.\n"; print "sleeping for 5s...\n"; sleep(5); print "script finished!\n"; exit And here is a sample Java app: import java.util.Scanner; public class test{ public static void main( String[] args ){ Scanner sc = new Scanner( System.in ); int crashcount = 0; while( true ){ try{ String input = sc.nextLine(); System.out.println( ":: INPUT: " + input ); if( "bananas".equals(input) ){ break; } } catch( Exception e ){ System.out.println( ":: EXCEPTION: " + e.toString() ); crashcount++; if( crashcount == 5 ){ System.out.println( ":: Looks like stdin is broke" ); break; } } } System.out.println( ":: IT'S OVER!" ); return; } } The Java app should respond to receiving the test prints immediately, but it doesn't until the close statement in the Perl script. What am I doing wrong? Note: the fix can only be in the Perl script. The Java app can't be changed. Also, File::Basename is there because I'm using it in the real script.

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  • Python: (sampling with replacement): efficient algorithm to extract the set of DISSIMILAR N-tuples from a set

    - by Homunculus Reticulli
    I have a set of items, from which I want to select DISSIMILAR tuples (more on the definition of dissimilar touples later). The set could contain potentially several thousand items, although typically, it would contain only a few hundreds. I am trying to write a generic algorithm that will allow me to select N items to form an N-tuple, from the original set. The new set of selected N-tuples should be DISSIMILAR. A N-tuple A is said to be DISSIMILAR to another N-tuple B if and only if: Every pair (2-tuple) that occurs in A DOES NOT appear in B Note: For this algorithm, A 2-tuple (pair) is considered SIMILAR/IDENTICAL if it contains the same elements, i.e. (x,y) is considered the same as (y,x). This is a (possible variation on the) classic Urn Problem. A trivial (pseudocode) implementation of this algorithm would be something along the lines of def fetch_unique_tuples(original_set, tuple_size): while True: # randomly select [tuple_size] items from the set to create first set # create a key or hash from the N elements and store in a set # store selected N-tuple in a container if end_condition_met: break I don't think this is the most efficient way of doing this - and though I am no algorithm theorist, I suspect that the time for this algorithm to run is NOT O(n) - in fact, its probably more likely to be O(n!). I am wondering if there is a more efficient way of implementing such an algo, and preferably, reducing the time to O(n). Actually, as Mark Byers pointed out there is a second variable m, which is the size of the number of elements being selected. This (i.e. m) will typically be between 2 and 5. Regarding examples, here would be a typical (albeit shortened) example: original_list = ['CAGG', 'CTTC', 'ACCT', 'TGCA', 'CCTG', 'CAAA', 'TGCC', 'ACTT', 'TAAT', 'CTTG', 'CGGC', 'GGCC', 'TCCT', 'ATCC', 'ACAG', 'TGAA', 'TTTG', 'ACAA', 'TGTC', 'TGGA', 'CTGC', 'GCTC', 'AGGA', 'TGCT', 'GCGC', 'GCGG', 'AAAG', 'GCTG', 'GCCG', 'ACCA', 'CTCC', 'CACG', 'CATA', 'GGGA', 'CGAG', 'CCCC', 'GGTG', 'AAGT', 'CCAC', 'AACA', 'AATA', 'CGAC', 'GGAA', 'TACC', 'AGTT', 'GTGG', 'CGCA', 'GGGG', 'GAGA', 'AGCC', 'ACCG', 'CCAT', 'AGAC', 'GGGT', 'CAGC', 'GATG', 'TTCG'] # Select 3-tuples from the original list should produce a list (or set) similar to: [('CAGG', 'CTTC', 'ACCT') ('CAGG', 'TGCA', 'CCTG') ('CAGG', 'CAAA', 'TGCC') ('CAGG', 'ACTT', 'ACCT') ('CAGG', 'CTTG', 'CGGC') .... ('CTTC', 'TGCA', 'CAAA') ] [[Edit]] Actually, in constructing the example output, I have realized that the earlier definition I gave for UNIQUENESS was incorrect. I have updated my definition and have introduced a new metric of DISSIMILARITY instead, as a result of this finding.

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  • how to add a dynamic param

    - by user569846
    the jquery plugin that im using is this http://code.google.com/p/jquery-in-place-editor/ if i have a table like this <table> <thead> <tr> <th>id</th> <th>first name </th> <th>last name </th> </tr> </thead> <tbody> <tr> <td class="id">1</td> <td class="fname">sarmen</td> <td class="lname">mikey</td> </tr> <tr> <td class="id">2</td> <td class="fname">john</td> <td class="lname">angelo</td> </tr> <tr> <td class="id">3</td> <td class="fname">sarmen</td> <td class="lname">grande</td> </tr> </tbody> </table> and my js looked something like this $("td.fname").editInPlace({ url: 'ajax.php', params: '', show_buttons: true }); then lets say i click on the first record to edit it which is fname of sarmen. how can i pass a param that only accociates id 1 ? because if i do a query of lets say "update tbl_users set fname = '$_POST['update_value']' where fname = '$_POST['original_html']'" (note: im just showing an example so no need to clean posts if that was bothering you :) ) if i run this query the fname of sarmen will update in two records rather than one. How can i only update to id of 1 being to update only one record.

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  • Calculating the Angle Between Two vectors Using Dot Product

    - by P. Avery
    I'm trying to calculate the angle between two vectors so that I can rotate a character in the direction of an object in 3D space. I have two vectors( character & object), loc_look, and modelPos respectively. For simplicity's sake I am only trying to rotate along the up axis...yaw. loc_look = D3DXVECTOR3 (0, 0, 1), modelPos = D3DXVECTOR3 (0, 0, 15); I have written this code which seems to be the correct calculations. My problem arises, seemingly, because the rotation I apply to the character's look vector(loc_look) exceeds the value of the object's position (modelPos). Here is my code: BOOL CEntity::TARGET() { if(graphics.m_model->m_enemy) { D3DXVECTOR3 modelPos = graphics.m_model->position; D3DXVec3Normalize(&modelPos, &modelPos); //D3DXVec3Normalize(&loc_look, &loc_look); float dot = D3DXVec3Dot(&loc_look, &modelPos); float yaw = acos(dot); BOOL neg = (loc_look.x > modelPos.x) ? true : false; switch ( neg ) { case false: Yaw(yaw); return true; case true: Yaw(-yaw); return true; } } else return false; } I rotate the character's orientation matrix with the following code: void CEntity::CalculateOrientationMatrix(D3DXMATRIX *orientationMatrix) { D3DXMatrixRotationAxis(&rotY, &loc_up, loc_yaw); D3DXVec3TransformCoord(&loc_look, &loc_look, &rotY); D3DXVec3TransformCoord(&loc_right, &loc_right, &rotY); D3DXMatrixRotationAxis(&rotX, &loc_right, loc_pitch); D3DXVec3TransformCoord(&loc_look, &loc_look, &rotX); D3DXVec3TransformCoord(&loc_up, &loc_up, &rotX); D3DXMatrixRotationAxis(&rotZ, &loc_look, loc_roll); D3DXVec3TransformCoord(&loc_up, &loc_up, &rotZ); D3DXVec3TransformCoord(&loc_right, &loc_right, &rotZ); *orientationMatrix *= rotX * rotY * rotZ; orientationMatrix->_41 = loc_position.x; orientationMatrix->_42 = loc_position.y; orientationMatrix->_43 = loc_position.z; //D3DXVec3Normalize(&loc_look, &loc_look); SetYawPitchRoll(0,0,0); // Reset Yaw, Pitch, & Roll Amounts } Also to note, the modelPos.x increases by 0.1 each iteration so the character will face the object as it moves along the x-axis... Now, when I run program, in the first iteration everything is fine(I haven't rotated the character yet). On the second iteration, the loc_look.x value is greater than the modelPos.x value(I rotated the character too much using the angle specified with the dot product calculations in the TARGET function). Therefore on the second iteration my code will rotate the character left to adjust for the difference in the vectors' x values... How can I tighten up the measurements so that I do not rotate my character's look vector by too great a value?

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  • Use multiple inheritance to discriminate useage roles?

    - by Arne
    Hi fellows, it's my flight simulation application again. I am leaving the mere prototyping phase now and start fleshing out the software design now. At least I try.. Each of the aircraft in the simulation have got a flight plan associated to them, the exact nature of which is of no interest for this question. Sufficient to say that the operator way edit the flight plan while the simulation is running. The aircraft model most of the time only needs to read-acess the flight plan object which at first thought calls for simply passing a const reference. But ocassionally the aircraft will need to call AdvanceActiveWayPoint() to indicate a way point has been reached. This will affect the Iterator returned by function ActiveWayPoint(). This implies that the aircraft model indeed needs a non-const reference which in turn would also expose functions like AppendWayPoint() to the aircraft model. I would like to avoid this because I would like to enforce the useage rule described above at compile time. Note that class WayPointIter is equivalent to a STL const iterator, that is the way point can not be mutated by the iterator. class FlightPlan { public: void AppendWayPoint(const WayPointIter& at, WayPoint new_wp); void ReplaceWayPoint(const WayPointIter& ar, WayPoint new_wp); void RemoveWayPoint(WayPointIter at); (...) WayPointIter First() const; WayPointIter Last() const; WayPointIter Active() const; void AdvanceActiveWayPoint() const; (...) }; My idea to overcome the issue is this: define an abstract interface class for each usage role and inherit FlightPlan from both. Each user then only gets passed a reference of the appropriate useage role. class IFlightPlanActiveWayPoint { public: WayPointIter Active() const =0; void AdvanceActiveWayPoint() const =0; }; class IFlightPlanEditable { public: void AppendWayPoint(const WayPointIter& at, WayPoint new_wp); void ReplaceWayPoint(const WayPointIter& ar, WayPoint new_wp); void RemoveWayPoint(WayPointIter at); (...) }; Thus the declaration of FlightPlan would only need to be changed to: class FlightPlan : public IFlightPlanActiveWayPoint, IFlightPlanEditable { (...) }; What do you think? Are there any cavecats I might be missing? Is this design clear or should I come up with somethink different for the sake of clarity? Alternatively I could also define a special ActiveWayPoint class which would contain the function AdvanceActiveWayPoint() but feel that this might be unnecessary. Thanks in advance!

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  • IE7 and IE8: Float clearing without adding empty elements

    - by tk-421
    Hello, I'm having a problem similar to the one described here (without a resolution): http://stackoverflow.com/questions/2467745/ie7-float-and-clear-on-the-same-element The following HTML renders as intended in Firefox but not in (both) IE7 and IE8: <html> <head> <style> ul { list-style-type: none; } li { clear: both; padding: 5px; } .left { clear: left; float: left; } .middle { clear: none; float: left; } .right { clear: right; float: left; } </style> </head> <body> <ul> <li>1</li> <li class="left">2</li> <li class="right">3</li> <li class="left">4</li> <li class="middle">5</li> <li class="right">6</li> <li>7</li> </ul> </body> </html> This is a form layout, and in Firefox the results appear like: 1 2 3 4 5 6 7 That's what I'm going for. In IE7 and IE8 however, the results are: 1 2 3 5 6 4 7 [Note: I don't want to float anything to the right because I want the fields on my form to left-align correctly, without a giant space in-between the floated fields to account for the parent container's width.] Apparently I need a full clear, and can probably add an empty list-item element to the list to force clearing, but that seems like a dumb solution and sort of defeats the purpose. Any ideas? I've spent a few hours reading and trying different options without success.

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  • position:absolute within border-radius and overflow:hidden

    - by JaNightmare
    I had a problem with border-radius in webkit browsers and found the solution at the following URL: How to make CSS3 rounded corners hide overflow in Chrome/Opera but iam using a another element with position: absolute; inside this now I need to make the caption with rounded border too, but do not know how note: i can't use another border-radius in caption, because this will have an animation see the code with: <!DOCTYPE html PUBLIC "-//W3C//DTD HTML 4.01 Transitional//EN" "http://www.w3.org/TR/html4/loose.dtd"> <html> <head> <meta http-equiv="Content-Type" content="text/html; charset=UTF-8"> <title>Problem</title> <style type="text/css"> img { border: 0; } a { text-decoration: none; } .wrap-events { float: left; position: relative; width: 500px; height: 250px; } .events { overflow: hidden; -webkit-border-radius: 50px; -moz-border-radius: 50px; border-radius: 50px; } .caption { position: absolute; width: 100%; bottom: 0; color: #FFFFFF; background-color: #151515; font: 12px "Arial", Helvetica, sans-serif; opacity: 0.6; border-radius: 0 0 50px 50px; /* add border-radius to caption */ } .caption p { padding: 10px; } </style> </head> <body> <div class="wrap-events"> <div class="events"> <a href="#"> <img src="http://www.cg-auto.com.br/forum/imagens/imagens_news/26c4dc4359edcfd4c6871ee1fa958539.jpg" alt="image"> </a> <div class="caption"> <p>This is a caption</p> </div> </div> </div> <button id="slide">Slide It!</button> <script type="text/javascript" src="https://ajax.googleapis.com/ajax/libs/jquery/1.7.1/jquery.min.js"></script> <script type="text/javascript"> $('#slide').click(function(){ $('.caption').hide().slideDown(2000); }); </script> </body> </html> cheers

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  • Undefined template methods trick ?

    - by Matthieu M.
    A colleague of mine told me about a little piece of design he has used with his team that sent my mind boiling. It's a kind of traits class that they can specialize in an extremely decoupled way. I've had a hard time understanding how it could possibly work, and I am still unsure of the idea I have, so I thought I would ask for help here. We are talking g++ here, specifically the versions 3.4.2 and 4.3.2 (it seems to work with both). The idea is quite simple: 1- Define the interface // interface.h template <class T> struct Interface { void foo(); // the method is not implemented, it could not work if it was }; // // I do not think it is necessary // but they prefer free-standing methods with templates // because of the automatic argument deduction // template <class T> void foo(Interface<T>& interface) { interface.foo(); } 2- Define a class, and in the source file specialize the interface for this class (defining its methods) // special.h class Special {}; // special.cpp #include "interface.h" #include "special.h" // // Note that this specialization is not visible outside of this translation unit // template <> struct Interface<Special> { void foo() { std::cout << "Special" << std::endl; } }; 3- To use, it's simple too: // main.cpp #include "interface.h" class Special; // yes, it only costs a forward declaration // which helps much in term of dependencies int main(int argc, char* argv[]) { Interface<Special> special; foo(special); return 0; }; It's an undefined symbol if no translation unit defined a specialization of Interface for Special. Now, I would have thought this would require the export keyword, which to my knowledge has never been implemented in g++ (and only implemented once in a C++ compiler, with its authors advising anyone not to, given the time and effort it took them). I suspect it's got something to do with the linker resolving the templates methods... Do you have ever met anything like this before ? Does it conform to the standard or do you think it's a fortunate coincidence it works ? I must admit I am quite puzzled by the construct...

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  • PHP & MySQL - saving and looping problems.

    - by R.I.P.coalMINERS
    I'm new to PHP and MySQL I want a user to be able to store multiple names and there meanings in a MySQL database tables named names using PHP I will dynamically create form fields with JQuery every time a user clicks on a link so a user can enter 1 to 1,000,000 different names and there meanings which will be stored in a table called names. Since I asked my last question I figured out how to store my values from my form using the for loop but every time I loop my values when I add one or more dynamic fields the second form field named meaning will not save the value entered also my dynamic form fields keep looping doubling, tripling and so on the entered values into the database it all depends on how many form fields are added dynamically. I was wondering how can I fix these problems? On a side note I replaced the query with echo's to see the values that are being entered. Here is the PHP code. <?php if(isset($_POST['submit'])) { $mysqli = mysqli_connect("localhost", "root", "", "site"); $dbc = mysqli_query($mysqli,"SELECT * FROM names WHERE userID='$userID'"); $name = $_POST['name']; $meaning = $_POST['meaning']; if(isset($name['0']) && mysqli_num_rows($dbc) == 0 && trim($name['0'])!=='' && trim($meaning['0'])!=='') { for($n = 0; $n < count($name); $n++) { for($m = 0; $m < count($meaning); $m++) { echo $name[$n] . '<br />'; echo $meaning[$m] . '<br /><br />'; break; } } } } ?> And here is the HTML code. <form method="post" action="index.php"> <ul> <li><label for="name">Name: </label><input type="text" name="name[]" id="name" /></li> <li><label for="meaning">Meaning: </label><input type="text" name="meaning[]" id="meaning" /></li> <li><input type="submit" name="submit" value="Save" /></li> </ul> </form> If needed I will place the JQuery code.

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  • Wrong data retrieved from database

    - by holyredbeard
    So, I want to retrieve the order of the elements of a list. The order is set before by the user, and are stored in the table below. Because I also want to retrieve name and description of the list elements I need to combine two tables (see below). However, what is actually retrieved is an array containing 16 elements (should be four because it only exists four elements as for now). The array is too long to post here, but I put it in a phpFiddle to be found here if you're interested. Well, I have really tried to find what's wrong (probably something easy as always), but with no luck. Thanks a lot for your time and help! listModel.php: public function GetOrderedElements($userId, $listId) { // $userId = 46 // $listId = 1 $query = "SELECT le.listElemId, le.listElemName, le.listElemDesc, lo.listElemOrderPlace FROM listElement AS le INNER JOIN listElemOrder AS lo ON le.listId = lo.listId WHERE lo.userId = ? AND lo.listId = ? ORDER BY listElemId"; $stmt = $this->m_db->Prepare($query); $stmt->bind_param("ii", $userId, $listId); $listElements = $this->m_db->GetOrderedElements($stmt); return $listElements; } database.php: public function GetOrderedElements(\mysqli_stmt $stmt) { if ($stmt === FALSE) { throw new \Exception($this->mysqli->error); } if ($stmt->execute() == FALSE) { throw new \Exception($this->mysqli->error); } if ($stmt->bind_result($listElemId, $listElemName, $listElemDesc, $listElemOrderPlace) == FALSE) { throw new \Exception($this->mysqli->error); } $listElements = array(); while ($stmt->fetch()) { $listElements[] = array('listElemId' => $listElemId, 'listElemName' => $listElemName, 'listElemDesc' => $listElemDesc, 'listElemOrderPlace' => $listElemOrderPlace); } var_dump($listElements); $stmt->Close(); return $listElements; } from the database: listElemOrder: listElemOrderId | listId | listElemId | userId | listElemOrderPlace 1 1 1 46 1 2 1 2 46 4 3 1 3 46 2 4 1 4 46 3 listElement: listElemId | listElemName | listId | listElemDesc | listElemOrderPlace 1 Elem A 1 Derp NULL 2 Elem B 1 Herp NULL 3 Elem C 1 Lorum NULL 4 Elem D 1 Ipsum NULL Note: 'listElemOrderPlace' in the table listElement is the final order of the elements (all users average), not to be mixed with the one with the same name in the other table, that's only a specific user's order of the list elements (which is the interesting one in this case).

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  • MS Access 07 - Q re lookup column vs many-to-many; Q re checkboxes in many-to-many forms

    - by TBinLondon
    Hello, I'm creating a database with Access. This is just a test database, similar to my requirements, so I can get my skills up before creating one for work. I've created a database for a fictional school as this is a good playground and rich data (many students have many subjects have many teachers, etc). Question 1 What is the difference, if any, between using a Lookup column and a many-to-many associate table? Example: I have Tables 'Teacher' and 'Subject'. Many teachers have many subjects. I can, and have, created a table 'Teacher_Subject' and run queries with this. I have then created a lookup column in teachers table with data from subjects. The lookup column seems to take the place of the teacher_subject table. (though the data on relationships is obviously duplicated between lookup table and teacher_subject and may vary). Which one is the 'better' option? Is there a snag with using lookup tables? (I realize that this is a very 'general' question. Links to other resources and answers saying 'that depends...' are appreciated) Question 2 What attracts me to lookup tables is the following: When creating a form for entering subjects for teachers, with lookup I can simply create checkboxes and click a subject for a teacher 'on' or 'off'. Each click on/off creates/removes a record in the lookup column (which replaces teacher_subject). If I use a form from a query from teacher subject with teacher as main form and subject as subform I run into this problem: In the subform I can either select each subject that teacher has in a bombo box, i.e. click, scroll down, select, go to next row, click, scroll down, etc. (takes too long) OR I can create a list box listing all available subjects in each row but allowing me to select only one. (takes up too much space). Is it possible to have a click on/off list box for teacher_subject, creating/removing a record there with each click? Note - I know zero SQL or VB. If the correct answer is "you need to know SQL for this" then that's cool. I just need to know. Thanks!

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  • C++ Template const char array to int

    - by Levi Schuck
    So, I'm wishing to be able to have a static const compile time struct that holds some value based on a string by using templates. I only desire up to four characters. I know that the type of 'abcd' is int, and so is 'ab','abc', and although 'a' is of type char, it works out for a template<int v> struct What I wish to do is take sizes of 2,3,4,5 of some const char, "abcd" and have the same functionality as if they used 'abcd'. Note that I do not mean 1,2,3, or 4 because I expect the null terminator. cout << typeid("abcd").name() << endl; tells me that the type for this hard coded string is char const [5], which includes the null terminator on the end. I understand that I will need to twiddle the values as characters, so they are represented as an integer. I cannot use constexpr since VS10 does not support it (VS11 doesn't either..) So, for example with somewhere this template defined, and later the last line template <int v> struct something { static const int value = v; }; //Eventually in some method cout << typeid(something<'abcd'>::value).name() << endl; works just fine. I've tried template<char v[5]> struct something2 { static const int value = v[0]; } template<char const v[5]> struct something2 { static const int value = v[0]; } template<const char v[5]> struct something2 { static const int value = v[0]; } All of them build individually, though when I throw in my test, cout << typeid(something2<"abcd">::value).name() << endl; I get 'something2' : invalid expression as a template argument for 'v' 'something2' : use of class template requires template argument list Is this not feasible or am I misunderstanding something?

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