Search Results

Search found 15210 results on 609 pages for 'technical writing'.

Page 520/609 | < Previous Page | 516 517 518 519 520 521 522 523 524 525 526 527  | Next Page >

  • Auto Submitting a form (cURL)

    - by cast01
    Im writing a form to post data off to paypal, and this works fine, i create the form with hidden fields and then have a submit button that submits everything to paypal. However, when the user clicks that button, there is more that i want to do, for example change their cart status in the database. So, i want to be able to execute some code when they click submit and then post the data to paypal. I dont want to use javascript for this. My method at the moment is using cURL, the form posts back to the current page, i then check for $_POST data, do my other commands like updating the status of the cart, and then create a curl command, and post the form data to paypal. Now, it gets posted successfully, but the browser doesnt go off to paypal. At first i was just retirieving the result in a string and then echoing it out and i could see that the post was successful, then i set CURLOPT_FOLLOWLOCATION to 1 assuming this would let the browser go off to paypal but it doesnt, what it seems to do is grab some stuff from paypal and put it on my page. Is using cURL the right thing for this? and if so, how do i get round this problem? I want to stay away from javascript for this as only users with javascript enabled would have their cart updated. The code im using for curl is below, the post_data is an array i created and then read key-value pairs into post_string. //Set cURL Options curl_setopt($curl_connection, CURLOPT_CONNECTTIMEOUT, 30); curl_setopt($curl_connection, CURLOPT_USERAGENT, "Mozilla/4.0 (compatible; MSIE 6.0; Windows NT 5.1)"); curl_setopt($curl_connection, CURLOPT_RETURNTRANSFER, false); curl_setopt($curl_connection, CURLOPT_SSL_VERIFYPEER, false); curl_setopt($curl_connection, CURLOPT_FOLLOWLOCATION, 1); curl_setopt($curl_connection, CURLOPT_MAXREDIRS, 20); //Set Data to be Posted curl_setopt($curl_connection, CURLOPT_POSTFIELDS, $post_string); //Execute Request curl_exec($curl_connection);

    Read the article

  • Should a developer write their own test plan for Q/A?

    - by Mat Nadrofsky
    Who writes the test plans in your shop? Who should write them? I realize developers (like me) regularly do their own unit testing whilst developing and in some cases even their own Q/A depending on the size of the shop and the nature of the business, but in a big software shop with a full development team and Q/A team, who should be writing those official "my changes are done now" test plans? Soon, we'll be bringing on another Q/A member to our development team. My question is, going forward, is it a good practice to get your developers to write their own test plans? Something tells me that part of that might make sense but another part might not... What I like about that: Developer is very familiar with the changes made, thus it's easy to produce a document... What I don't like about that: Developer knows how it's supposed to work and might write a test plan that caters to this without knowing it. So, with the above in mind, what is the general stance on this topic? I'm of course already reading books like the Mythical Man-Month, Code Complete and a few others which really do help, but I'd like to get some input from the group as well.

    Read the article

  • #include - brackets vs quotes in XCode?

    - by Chris Becke
    In MSVC++ #include files are searched for differently depending on whether the file is enclosed in "" or <. The quoted form searches first in the local folder, then in /I specified locations, The angle bracket form avoids the local folder. This means, in MSVC++, its possible to have header files with the same name as runtime and SDK headers. So, for example, I need to wrap up the windows sdk windows.h file to undefine some macro's that cause trouble. With MSVS I can just add a (optional) windows.h file to my project as long as I include it using the quoted form :- // some .cpp file #include "windows.h" // will include my local windows.h file And in my windows.h, I can pull in the real one using the angle bracket form: // my windows.h #include <windows.h> // will load the real one #undef ConflictingSymbol Trying this trick with GCC in XCode didn't work. angle bracket #includes in system header files in fact are finding my header files with similar names in my local folder structure. The MSVC system means its quite safe to have a "String.h" header file in my own folder structre. On XCode this seems to be a major no no. Is there some way to control this search path behaviour in XCode to be more like MSVC's? Or do I just have to avoid naming any of my headers anything that might possibly conflict with a system header. Writing cross platform code and using lots of frameworks means the possibility of incidental conflicts seems large.

    Read the article

  • Getting all the classes in project and their packages from CodeRush extension

    - by drasto
    I've spent some time trying to find a way CodeRush could add using when it finds undeclared element that is in the fact class name with no using added. The solution suggested in this answer to my question (Refactor_resolve) does not work (bugged?). In a process I found out that writing plug-ins for CodeRush is easy, so I decided to code this functionality myself (and share it). I'd only implement a CodeProvider (like in this tutorial). The only thinks I need to do the job are answers to this questions: At the start up of my plugin I need to get a list (set, map, whatever) of all classes and their packages. This means all the classes(interfaces...) and their packages in project, and within all referenced libraries. And I also need to receive updated on this (when user adds reference, creates new class). Can I get this from some CodeRush classes or maybe VS interface available from CodeProvider class? How do I add created CodeProvider to the pop-up that is shown when user hovers over an Issue?

    Read the article

  • Can I make an identity field span multiple tables in SQL Server?

    - by johnnycakes
    Can I have an "identity" (unique, non-repeating) column span multiple tables? For example, let's say I have two tables: Books and Authors. Authors AuthorID AuthorName Books BookID BookTitle The BookID column and the AuthorID column are identity columns. I want the identity part to span both columns. So, if there is an AuthorID with a value of 123, then there cannot be a BookID with a value of 123. And vice versa. I hope that makes sense. Is this possible? Thanks. Why do I want to do this? I am writing an APS.NET MVC app. I am creating a comment section. Authors can have comments. Books can have comments. I want to be able to pass an entity ID (a book ID or an author ID) to an action and have the action pull up all the corresponding comments. The action won't care if it's a book or an author or whatever. Sound reasonable?

    Read the article

  • Where to store: User connection information?

    - by TomTom
    ;) I am writing a .NET application wher ethe user connects to a given server. ALl information within the application is stored in the server. But I want / need to store the following information for the user: The server he connected to last The username he used to connect last (and no, no password, never ever). Any idea where to store this best? the application config file is not sensible (user != admin, application.config is write protected for him). So, my options are: In the registry. 2 keys under my own subkey. In a sort of ini file, stored in the user's data directory (AppData). This would possibly also allow later expansion (into like saving more information, some of which may not fit into the registry). Anyone a tip? Other alternatives? I tend so far to go for the AppData directory with my own subfolder - simply because it is a nice preparation for later to keep like a local copy of configuration etc.

    Read the article

  • How can I control UISlider Value Changed-events frequncy?

    - by Albert
    I'm writing an iPhone app that is using two uisliders to control values that are sent using coreBluetooth. If I move the sliders quickly one value freezes at the receiver, presumably because the Value Changed events trigger so often that the write-commands stack up and eventually get thrown away. How can I make sure the events don't trigger too often? Edit: Here is a clarification of the problem; the bluetooth connection sends commands every 105ms. If the user generates a bunch of events during that time they seem to que up. I would like to throw away any values generated between the connection events and just send one every 105ms. This is basically what I'm doing right now: -(IBAction) sliderChanged:(UISlider *)sender{ static int8_t value = 0; int8_t new_value = (int8_t)sender.value; if ( new_value > value + threshold || new_value < value - threshold ) { value = new_value; [btDevice writeValue:value]; } } What I'm asking is how to implement something like -(IBAction) sliderChanged:(UISlider *)sender{ static int8_t value = 0; if (105msHasPassed) { int8_t new_value = (int8_t)sender.value; if ( new_value > value + threshold || new_value < value - threshold ) { value = new_value; [btDevice writeValue:value]; } } }

    Read the article

  • (illustrator scripting) how to release objects to layers(sequence) but retain object's name?

    - by Eugene
    Hi, I've asked the same question to adobe scripting forum. but seems there are not many forum users there, and I'm asking the same question here. I was writing my first illustrator script to export all layers to png files with layer structure converted to file structure. I found there are many layers that my script can't detect and found out that they are not actually layers but objects(or groups). Found a layer menu (release to layers), but doesn't quite solve the problem perfectly. initially I have this layer 001 object 01 object 1 object 2 release to layers(sequence) on object 01 gives layer 001 layer 91(whatever the layer number illustrator gives when release to layers are performed) layer 92 object 1 layer 93 object 2 now I need to convert them to (so that layer can retain the name of the object) layer 001 layer 01 layer 1 object 1 layer 2 object 2 I have hundreds of layer 001, and couple thousands of object 01, and wonder if anything can be done with script to do this... If it's possible to detect object in a script, I could rewrite the 'release to layers' functionality in script maybe. Any help would be greatly appreciated.

    Read the article

  • Convert a image to a monochrome byte array

    - by Scott Chamberlain
    I am writing a library to interface C# with the EPL2 printer language. One feature I would like to try to implement is printing images, the specification doc says p1 = Width of graphic Width of graphic in bytes. Eight (8) dots = one (1) byte of data. p2 = Length of graphic Length of graphic in dots (or print lines) Data = Raw binary data without graphic file formatting. Data must be in bytes. Multiply the width in bytes (p1) by the number of print lines (p2) for the total amount of graphic data. The printer automatically calculates the exact size of the data block based upon this formula. I plan on my source image being a 1 bit per pixel bmp file, already scaled to size. I just don't know how to get it from that format in to a byte[] for me to send off to the printer. I tried ImageConverter.ConvertTo(Object, Type) it succeeds but the array it outputs is not the correct size and the documentation is very lacking on how the output is formatted. My current test code. Bitmap i = (Bitmap)Bitmap.FromFile("test.bmp"); ImageConverter ic = new ImageConverter(); byte[] b = (byte[])ic.ConvertTo(i, typeof(byte[])); Any help is greatly appreciated even if it is in a totally different direction.

    Read the article

  • PHP Object Access Syntax Question with the $

    - by ImperialLion
    I've been having trouble searching for this answer because I am not quite sure how to phrase it. I am new to PHP and still getting my feet on the ground. I was writing a page with a class in it that had the property name. When I originally wrote the page there was no class so I just had a variable called $name. When I went to encapsulate it in a class I accidental changed it to be $myClass->$name. It tool me a while to realize that the syntax I needed was $myClass->name. The reason it took so long was the error I kept getting was "Attempt to access a null property" or something along those lines. The error lead me to believe it was a data population error. My question is does $myClass->$name have a valid meaning? In other words is there a time you would use this and a reason why it doesn't create a syntax error? If so what is the semantic meaning of that code? When would I use it if it is valid? If its not valid, is there a reason that it doesn't create a syntax error?

    Read the article

  • Advice on Linq to SQL mapping object design

    - by fearofawhackplanet
    I hope the title and following text are clear, I'm not very familiar with the correct terms so please correct me if I get anything wrong. I'm using Linq ORM for the first time and am wondering how to address the following. Say I have two DB tables: User ---- Id Name Phone ----- Id UserId Model The Linq code generator produces a bunch of entity classes. I then write my own classes and interfaces which wrap these Linq classes: class DatabaseUser : IUser { public DatabaseUser(User user) { _user = user; } public Guid Id { get { return _user.Id; } } ... etc } so far so good. Now it's easy enough to find a users phones from Phones.Where(p => p.User = user) but surely comsumers of the API shouldn't need to be writing their own Linq queries to get at data, so I should wrap this query in a function or property somewhere. So the question is, in this example, would you add a Phones property to IUser or not? In other words, should my interface specifically be modelling my database objects (in which case Phones doesn't belong in IUser), or are they actually simply providing a set of functions and properties which are conceptually associated with a User (in which case it does)? There seems drawbacks to both views, but I'm wondering if there is a standard approach to the problem. Or just any general words of wisdom you could share. My first thought was to use extension methods but in fact that doesn't work in this case.

    Read the article

  • Codeigniter only loads the default controller

    - by fh47331
    I am very new to CodeIgniter, but have been programming PHP for ages. I'm writing some software at the moment and using CI for the first time with it. The default controller is set to the first controller I want to action call 'login' (the controller is login.php, the view is login.php. When the form is submitted it calls the 'authenticate' controller. This executes fine, process the login data correctly and then does a redirect command (without any output to the screen prior) to the next page in this case 'newspage'. The problem is that the redirect, never reaches 'newspage' but the default controller runs again. It doesn't matter what I put ... ht tp://domain.name/anything ... (yes im using .htaccess to remove the index.php) the anything never gets called, just the default controller. I have left the standard 'welcome.php' controller and 'welcome_message.php' in the folders and even putting ht tp://domain.name/welcome all I get is the login screen! (Obviously there shouldn't be a space between the http - thats just done so it does not show as a hyperlink!) Can anyone tell me what i've done wrong!

    Read the article

  • Effective communication in a component-based system

    - by Tesserex
    Yes, this is another question about my game engine, which is coming along very nicely, with much thanks to you guys. So, if you watched the video (or didn't), the objects in the game are composed of various components for things like position, sprites, movement, collision, sounds, health, etc. I have several message types defined for "tell" type communication between entities and components, but this only goes so far. There are plenty of times when I just need to ask for something, for example an entity's position. There are dozens of lines in my code that look like this: SomeComponent comp = (SomeComponent)entity.GetComponent(typeof(SomeComponent)); if (comp != null) comp.GetSomething(); I know this is very ugly, and I know that casting smells of improper OO design. But as complex as things are, there doesn't seem to be a better way. I could of course "hard-code" my component types and just have SomeComponent comp = entity.GetSomeComponent(); but that seems like a cop-out, and a bad one. I literally JUST REALIZED, while writing this, after having my code this way for months with no solution, that a generic will help me. SomeComponent comp = entity.GetComponent<SomeComponent>(); Amazing how that works. Anyway, this is still only a semantic improvement. My questions remain. Is this actually that bad? What's a better alternative?

    Read the article

  • Why is short project lifetime and other situation-specific reasons used to excuse crappy code? [clos

    - by sharptooth
    Every now and then (including on SO) people say things implying that "if the project is short lived you can leave obvious defects there" or "that memory leak only accounts for 100 bytes per whole program lifetime and could be left". Now in my practice I always reuse company-owned code to the greatest extent I can. Like if I need something and I can find it in the company codebase I take it from there and reuse or adapt. This means that any crappy code will be reused as well and I might notice or not notice defects therein. So the defect in some "test we only need for a month" can slip into a proram we ship to customers. And a leak that "only accounted for 100 bytes per lifetime" now could account for 100 bytes 10 times per second in a server application intended to run for months. That's why I don't understand why excuses like that are offered. Is our compamy the only one having a source control? Or are we the only company that requires writing human-readable code? Could anyone shed a light on why people seriously offer such excuses?

    Read the article

  • Nice way to break a reply up into pieces in ruby

    - by ChaosR
    Hello, I'm writing an IRCd. For this topic it doesn't really matter if you know much about IRC. Its a simple code style problem. Quick overview of the problem: No message may be longer than 512 characters If the message is more, it must be broken into pieces The NAMES reply sends all the nicknames of users on a channel, and quickly grows beyond 512 characters. I currently concocted this marvelous piece of code, it works perfectly. However, its just not "ruby-like". This piece of code is more what you expect in some piece of C code. # 11 is the number of all fixed characters combined in the reply pre_length = 11 + servername.length + mynick.length + channel.name.length list = [""] i = 0 channel.nicks.each do |nick, client| list[i+=1] = "" if list[i].length + nick.length + pre_length > 500 list[i] << "#{channel.mode_char(client)}#{client.nick} " end list.each { |l| send_numeric(RPL_NAMREPLY, channel.name, l.strip) } send_numeric(RPL_ENDOFNAMES, channel.name) So my question is, any ideas to do this more nicely? PS. code has been slightly modified to make it easier to understand out-of-context

    Read the article

  • Threadpool design question

    - by ZeroVector
    I have a design question. I want some feedback to know if a ThreadPool is appropriate for the client program I am writing. I am having a client running as a service processing database records. Each of these records contains connection information to external FTP sites [basically it is a queue of files to transfer]. A lot of them are to the same host, just moving different files. Therefore, I am grouping them together by host. I want to be able to create a new thread per host. I really don't care when the transfers finish, they just need to do all the work (or try to do) they were assigned, and then terminate once they are finished, cleaning up all resources they used in the process. I anticipate no more than 10-25 connections to be established. Once the transfer queue is empty, the program will simply wait until there are records in the queue again. Is the ThreadPool a good candidate for this or should I use a different approach? Edit: For the most part, this is the only significant custom application running on the server.

    Read the article

  • Java/JAXB: Accessing property of object in a list

    - by Mark Lewis
    Hello Using JAXB I've created a series of classes which represent my XML schema. Validating against the schema an XML file has thus become a 'tree' of java objects representing the XML. Now I'd like to access, delete and add an object of one the created types in my tree. If I've got classes' methods arranged like this: RootType class has: public List<FQType> getFq() { // and setter return fq; } FQType class has: public RemapType getRemap() { // and setter return remap; } RemapType class has: public String getSource() { // and setter return source; } What's the most concise way to code reading and writing of the 'source' member of a RemapType instance in an FQType instance with, say, fqtypeID=1, in an array of type RootType (in which RootType instances also each have rootID)? Currently I'm using a for loop Iterator in which is an if rootID = mySelectedRootID. In the if I nest a second for loop Iterator over the contained FQType instances and in that a second if fqTypeID = mySelectedFQTypeID. IE for loop iterator/if statement pairs to recognise the object of desire. With all the bells and whistles this way is nearly 15 lines of code to access a data type - can I do this in one line? Thanks

    Read the article

  • Quantifying the amount of change in a git diff?

    - by Alex Feinman
    I use git for a slightly unusual purpose--it stores my text as I write fiction. (I know, I know...geeky.) I am trying to keep track of productivity, and want to measure the degree of difference between subsequent commits. The writer's proxy for "work" is "words written", at least during the creation stage. I can't use straight word count as it ignores editing and compression, both vital parts of writing. I think I want to track: (words added)+(words removed) which will double-count (words changed), but I'm okay with that. It'd be great to type some magic incantation and have git report this distance metric for any two revisions. However, git diffs are patches, which show entire lines even if you've only twiddled one character on the line; I don't want that, especially since my 'lines' are paragraphs. Ideally I'd even be able to specify what I mean by "word" (though \W+ would probably be acceptable). Is there a flag to git-diff to give diffs on a word-by-word basis? Alternately, is there a solution using standard command-line tools to compute the metric above?

    Read the article

  • (Weak) ETags and Last-Modified

    - by Kai Moritz
    As far as I understand the specs, the ETag, which was introduced in RFC 2616 (HTTP/1.1) is a predecessor of the Last-Modified-Header, which is proposet to give the software-architect more controll over the cache-revalidating process. If both Cache-Validation-Headers (If-None-Match and If-Modified-Since) are present, according to RFC 2616, the client (i.e. the browser) should use the ETag when checking, if a resource has changed. According to section 14.26 of RFC 2616, the server MUST NOT respond with a 304 Not Modified, if the ETag presented in a If-None-Match-Header has changed, and the server has to ignore an additional If-Modified-Since-Header, if present. If the presented ETag matches, he MUST NOT perform the request, unless the Date in the Last-Modified-Header says so. (If the presented ETag matches, the server should respond with a 304 Not Modified in case of a GET- or HEAD-request...) This section leaves room for some speculations: A strong ETag is supposed to change ''everytime'', the resource changes. So, having to responde with something else as 304 Not Modified to a request with an unchanged ETag and an If-Modified-Since-Header, which dose not match is a bit of a contradiction, because the strong ETag says, that the resource was not modified. (Though, this is not that fatal, because the server can send the same unchanged resource again.) ... ... o.k. While I was writing this, the question was boiling down to this answer: The (small) contradiction stated above, was made because of Weak ETags. A resource marked with a Weak ETag may have changed, although the ETag has not. So, in case of a Weak ETag it would be wrong, to answer with 304 Not Modified, when the ETag has not changed, but the date presented in the If-Modified-Since does not match, right?

    Read the article

  • Capturing stdout from an imported module in wxpython and sending it to a textctrl, without blocking the GUI

    - by splafe
    There are alot of very similar questions to this but I can't find one that applies specifically to what I'm trying to do. I have a simulation (written in SimPy) that I'm writing a GUI for, the main output of the simulation is text - to the console from 'print' statements. Now, I thought the simplest way would be to create a seperate module GUI.py, and import my simulation program into it: import osi_model I want all the print statements to be captured by the GUI and appear inside a Textctrl, which there's countless examples of on here, along these lines: class MyFrame(wx.Frame): def __init__(self, *args, **kwds): <general frame initialisation stuff..> redir=RedirectText(self.txtCtrl_1) sys.stdout=redir class RedirectText: def __init__(self,aWxTextCtrl): self.out=aWxTextCtrl def write(self,string): self.out.WriteText(string) I am also starting my simulation from a 'Go' button: def go_btn_click(self, event): print 'GO' self.RT = threading.Thread(target=osi_model.RunThis()) self.RT.start() This all works fine, and the output from the simulation module is captured by the TextCtrl, except the GUI locks up and becomes unresponsive - I still need it to be accessible (at the very minimum to have a 'Stop' button). I'm not sure if this is a botched attempt at creating a new thread that I've done here, but I assume a new thread will be needed at some stage in this process. People suggest using wx.CallAfter, but I'm not sure how to go about this considering the imported module doesn't know about wx, and also I can't realistically go through the entire simulation architecture and change all the print statements to wx.CallAfter, and any attempt to capture the shell from inside the imported simulation program leads to the program crashing. Does anybody have any ideas about how I can best achieve this? So all I really need is for all console text to be captured by a TextCtrl while the GUI remains responsive, and all text is solely coming from an imported module. (Also, secondary question regarding a Stop button - is it bad form to just kill the simulation thread?). Thanks, Duncan

    Read the article

  • is it better to query database or grab from file? php & mysql

    - by pfunc
    I am keeping a large amount of words in a database that I want to match up articles to. I was thinking that it would just be better to keep these words in an array and grab that array whenever needed instead of querying the database every time (since the words won't be changing that much). Is there much performance difference in doing this? And if I were to do this, how to I write a script that writes the array to a a new php file. I tried writing the array like so: while( $row = mysql_fetch_assoc($query)) { $newArray[] = $row; } $fp = fopen('noWordsArr.php', 'w'); fwrite($fp, $newArray); fclose($fp); But all I get in the other file is "Array". So i figured I could write this and then write have a chron hit up the file every few days or so in case things have changed. But I guess if there is no performance advantage then it prob won't be necessary and I can just query the database every time I need to access the words.

    Read the article

  • Best Practice: Protecting Personally Identifiable Data in a ASP.NET / SQL Server 2008 Environment

    - by William
    Thanks to a SQL injection vulnerability found last week, some of my recommendations are being investigated at work. We recently re-did an application which stores personally identifiable information whose disclosure could lead to identity theft. While we read some of the data on a regular basis, the restricted data we only need a couple of times a year and then only two employees need it. I've read up on SQL Server 2008's encryption function, but I'm not convinced that's the route I want to go. My problem ultimately boils down to the fact that we're either using symmetric keys or assymetric keys encrypted by a symmetric key. Thus it seems like a SQL injection attack could lead to a data leak. I realize permissions should prevent that, permissions should also prevent the leaking in the first place. It seems to me the better method would be to asymmetrically encrypt the data in the web application. Then store the private key offline and have a fat client that they can run the few times a year they need to access the restricted data so the data could be decrypted on the client. This way, if the server get compromised, we don't leak old data although depending on what they do we may leak future data. I think the big disadvantage is this would require re-writing the web application and creating a new fat application (to pull the restricted data). Due to the recent problem, I can probably get the time allocated, so now would be the proper time to make the recommendation. Do you have a better suggestion? Which method would you recommend? More importantly why?

    Read the article

  • Using static variables for Strings

    - by Vivart
    below content is taken from Best practice: Writing efficient code but i didn't understand why private static String x = "example"; faster than private static final String x ="example"; Can anybody explain this. Using static variables for Strings When you define static fields (also called class fields) of type String, you can increase application speed by using static variables (not final) instead of constants (final). The opposite is true for primitive data types, such as int. For example, you might create a String object as follows: private static final String x = "example"; For this static constant (denoted by the final keyword), each time that you use the constant, a temporary String instance is created. The compiler eliminates "x" and replaces it with the string "example" in the bytecode, so that the BlackBerry® Java® Virtual Machine performs a hash table lookup each time that you reference "x". In contrast, for a static variable (no final keyword), the String is created once. The BlackBerry JVM performs the hash table lookup only when it initializes "x", so access is faster. private static String x = "example"; You can use public constants (that is, final fields), but you must mark variables as private.

    Read the article

  • Suggestions on error handling of Win32 C++ code: AtlThrow vs. STL exceptions

    - by EmbeddedProg
    In writing Win32 C++ code, I'd appreciate some hints on how to handle errors of Win32 APIs. In particular, in case of a failure of a Win32 function call (e.g. MapViewOfFile), is it better to: use AtlThrowLastWin32 define a Win32Exception class derived from std::exception, with an added HRESULT data member to store the HRESULT corresponding to value returned by GetLastError? In this latter case, I could use the what() method to return a detailed error string (e.g. "MapViewOfFile call failed in MyClass::DoSomething() method."). What are the pros and cons of 1 vs. 2? Is there any other better option that I am missing? As a side note, if I'd like to localize the component I'm developing, how could I localize the exception what() string? I was thinking of building a table mapping the original English string returned by what() into a Unicode localized error string. Could anyone suggest a better approach? Thanks much for your insights and suggestions.

    Read the article

  • a way to use log4j pass values like java -DmyEnvVar=A_VALUE to my code

    - by raticulin
    I need to pass some value to enable certain code in may app (in this case is to optionally enable writing some stats to a file in certain conditions, but it might be anything generally). My java app is installed as a service. So every way I have thought of has some drawbacks: Add another param to main(): cumbersome as customers already have the tool installed, and the command line would need to be changed every time. Adding java -DmyEnvVar=A_VALUE to my command line: same as above. Set an environment variable: service should at least be restarted, and even then you must take care of what user is the service running under etc. Adding the property in the config file: I prefer not to have this visible on the config file so the user does not see it, it is something for debugging etc. So I thought maybe there is some way (or hack) to use log4j loggers to pass that value to my code. I have thought of one way already, although is very limited: Add a dummy class to my codebase com.dummy.DevOptions public class DevOptions { public static final Logger logger = Logger.getLogger(DevOptions.class); In my code, use it like this: if (DevOptions.logger.isInfoEnabled()){ //do my optional stuff } //... if (DevOptions.logger.isDebugEnabled()){ //do other stuff } This allows me to use discriminate among various values, and I could increase the number by adding more loggers to DevOptions. But I wonder whether there is a cleaner way, possibly by configuring the loggers only in log4j.xml??

    Read the article

< Previous Page | 516 517 518 519 520 521 522 523 524 525 526 527  | Next Page >