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  • DOS Batch file to echo a specific line number

    - by Lee
    So for the second part of my current dilemma, I have a list of folders in "c:\file_list.txt". I need to be able to extract them (well, echo them with some mods) based on the line number because this batch script is being called by an iterative macro process. I'm passing the line number as a parameter. @echo off setlocal enabledelayedexpansion set /a counter=0 set /a %%a = "" for /f "usebackq delims=" %%a in (c:\file_list.txt) do (if "!counter!"=="%1" goto :printme & set /a counter+=1) :printme echo %%a which gives me an output of "%a". Doh! So, I've tried echoing !a! (result: "ECHO is off."); I've tried echoing %a (result: a) I figured the easy thing to do would be to modify the "head.bat" code found here: http://stackoverflow.com/questions/130116/dos-batch-commands-to-read-first-line-from-text-file except rather than echoing every line - I'd just echo the last line found. Not as simple as one might think. I've noticed that my counter is staying at zero for some reason; I'm wondering if the "set /a counter+=1" is doing what I think it's doing.

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  • Assigning console.log to another object (Safari issue)

    - by Trevor Burnham
    I wanted to keep my logging statements as short as possible while preventing console from being accessed when it doesn't exist; I came up with the following solution: var _ = {}; if (console) { _.log = console.debug; } else { _.log = function() { } } To me, this seems quite elegant, and it works great in Firefox 3.6 (including preserving the line numbers that make console.debug more useful than console.log). But it doesn't work in Safari 4. (Haven't tested in other browsers yet.) If I follow the above with console.debug('A') _.log('B'); the first statement works fine in both browsers, but the second generates a "TypeError: Type Error" in Safari. Is this just a difference between how Firebug and the Safari Web Developer Tools implement console? If so, it is VERY annoying on Apple's part. (I get the same results in both browsers if I bind the console function to a prototype and then instantiate, rather than binding it directly to the object.) I could, of course, just call console.debug from an anonymous function assigned to _.log, but then I'd lose my line numbers. Any other ideas?

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  • ConcurrentLinkedQueue$Node remains in heap after remove()

    - by action8
    I have a multithreaded app writing and reading a ConcurrentLinkedQueue, which is conceptually used to back entries in a list/table. I originally used a ConcurrentHashMap for this, which worked well. A new requirement required tracking the order entries came in, so they could be removed in oldest first order, depending on some conditions. ConcurrentLinkedQueue appeared to be a good choice, and functionally it works well. A configurable amount of entries are held in memory, and when a new entry is offered when the limit is reached, the queue is searched in oldest-first order for one that can be removed. Certain entries are not to be removed by the system and wait for client interaction. What appears to be happening is I have an entry at the front of the queue that occurred, say 100K entries ago. The queue appears to have the limited number of configured entries (size() == 100), but when profiling, I found that there were ~100K ConcurrentLinkedQueue$Node objects in memory. This appears to be by design, just glancing at the source for ConcurrentLinkedQueue, a remove merely removes the reference to the object being stored but leaves the linked list in place for iteration. Finally my question: Is there a "better" lazy way to handle a collection of this nature? I love the speed of the ConcurrentLinkedQueue, I just cant afford the unbounded leak that appears to be possible in this case. If not, it seems like I'd have to create a second structure to track order and may have the same issues, plus a synchronization concern.

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  • Python and Unicode: How everything should be Unicode

    - by A A
    Forgive if this a long a question: I have been programming in Python for around six months. Self taught, starting with the Python tutorial and then SO and then just using Google for stuff. Here is the sad part: No one told me all strings should be Unicode. No, I am not lying or making this up, but where does the tutorial mention it? And most examples also I see just make use of byte strings, instead of Unicode strings. I was just browsing and came across this question on SO, which says how every string in Python should be a Unicode string. This pretty much made me cry! I read that every string in Python 3.0 is Unicode by default, so my questions are for 2.x: Should I do a: print u'Some text' or just print 'Text' ? Everything should be Unicode, does this mean, like say I have a tuple: t = ('First', 'Second'), it should be t = (u'First', u'Second')? I read that I can do a from __future__ import unicode_literals and then every string will be a Unicode string, but should I do this inside a container also? When reading/ writing to a file, I should use the codecs module. Right? Or should I just use the standard way or reading/ writing and encode or decode where required? If I get the string from say raw_input(), should I convert that to Unicode also? What is the common approach to handling all of the above issues in 2.x? The from __future__ import unicode_literals statement? Sorry for being a such a noob, but this changes what I have been doing for a long time and so clearly I am confused.

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  • Is it a jaxb bug?

    - by wd-shuang
    I take a scheme, its element definition as follows: <xs:complexType name="OriginalMessageContents1"> <xs:sequence> <xs:any namespace="##any" processContents="skip"/> <xs:any namespace="##any" processContents="skip" minOccurs="0"/> </xs:sequence> </xs:complexType> I use xjb to export java file,xjb as follow: <jxb:bindings version="2.0" xmlns:jxb="http://java.sun.com/xml/ns/jaxb" xmlns:xs="http://www.w3.org/2001/XMLSchema"> <jxb:bindings schemaLocation="ibps.706.001.01.xsd" node="/xs:schema"> <jxb:bindings node="//xs:complexType[@name='OriginalMessageContents1']/xs:sequence"> <jxb:bindings node=".//xs:any[position()=1]"> <jxb:property name="anyOne"/> </jxb:bindings> <jxb:bindings node=".//xs:any[position()=2]"> <jxb:property name="anyTwo"/> </jxb:bindings> </jxb:bindings> </jxb:bindings> </jxb:bindings> Java as: @XmlAccessorType(XmlAccessType.FIELD) @XmlType(name = "OriginalMessageContents1", propOrder = { "anyOne", "anyTwo" }) public class OriginalMessageContents1 { @XmlAnyElement protected Element anyOne; @XmlAnyElement protected Element anyTwo; public Element getAnyOne() { return anyOne; } public void setAnyOne(Element value) { this.anyOne = value; } public Element getAnyTwo() { return anyTwo; } public void setAnyTwo(Element value) { this.anyTwo = value; } } When I unmashaller this object by using getAnyOne,I get the contents of the second element. I got null by using getAnyTwo. It is a bug? Anybody can help me ?

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  • Complex LINQ paging algorithm

    - by sharepointmonkey
    We have a list of projects that may or may not have a collection of subprojects. Our report needs to contain all the projects except those that are the parent project of a subproject. I need to page this into pages of, say, 25 rows. But if subprojects appear on that page then ALL the subprojects of that project must appear on the same page. So more than 25 items may appear if necessary. I've got as far as var pagedProjects = db.Projects.Where(x => !x.SubProjects.Any()).Skip( (pageNo -1) * pageSize).Take(pageSize); Obviously, this fails the second part of the requirements. As a further pain in the arse, I need to have a pager control on the report. So I'll need to be able to calculate the total number of pages. I could loop through the whole table of projects but the performance will suffer. Can anybody come up with a paged solution? EDIT - I should probably mention that SubProjects joins back onto Projects via a selfreferencing foreign key so the whole lot comes back as an IQueryable<Project>.

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  • Protected and Private methods

    - by cabaret
    I'm reading through Beginning Ruby and I'm stuck at the part about private and protected methods. This is a newbie question, I know. I searched through SO for a bit but I couldn't manage to find a clear and newbie-friendly explanation of the difference between private and protected methods. The book gives two examples, the first one for private methods: class Person def initialize(name) set_name(name) end def name @first_name + ' ' + @last_name end private def set_name(name) first_name, last_name = name.split(/\s+/) set_first_name(first_name) set_last_name(last_name) end def set_first_name(name) @first_name = name end def set_last_name(name) @last_name = name end end In this case, if I try p = Person.new("Fred Bloggs") p.set_last_name("Smith") It will tell me that I can't use the set_last_name method, because it's private. All good till there. However, in the other example, they define an age method as protected and when I do fred = Person.new(34) chris = Person.new(25) puts chris.age_difference_with(fred) puts chris.age It gives an error: :20: protected method 'age' called for #<Person:0x1e5f28 @age=25> (NoMethodError) I honestly fail to see the difference between the private and protected methods, it sounds the same to me. Could someone provide me with a clear explanation so I'll never get confused about this again? I'll provide the code for the second example if necessary.

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  • Space Stuck between two Div Tags

    - by thatmaclad
    I've been working on a small blog form but have been having trouble with my Div tags. Whenever I create a second div tag to hold the Form a space has appeared between it and the previous Div tag. Is there anything wrong with my CSS? body { background-image: url(../images/body-bg.jpg); font-family: arial; } #header { background-image: url(../images/new-post-h.png); background-repeat: no-repeat; height: 124px; width: 850px; color: #ffffff; margin: 0em 0px; } #form-bg { background-image: url(../images/new-post-b.png); background-repeat: no-repeat; height: 500px; width: 850px; padding: 8px; margin: 0em 0px; } #new-form { height: 624px; width: 850; margin-left: auto; margin-right: auto; } Here is what keeps on happening: http://i40.tinypic.com/j623i8.jpg

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  • Object Oriented Programming in AS3

    - by Jordan
    I'm building a game in as3 that has balls moving and bouncing off the walls. When the user clicks an explosion appears and any ball that hits that explosion explodes too. Any ball that then hits that explosion explodes and so on. My question is what would be the best class structure for the balls. I have a level system to control levels and such and I've already come up with working ways to code the balls. Here's what I've done. My first attempt was to create a class for Movement, Bounce, Explosion and finally Orb. These all extended each other in the order I just named them. I got it working but having Bounce extend Movement and Explosion extend Bounce, it just doesn't seem very object oriented because what if I wanted to add a box class that didn't move, but did explode? I would need a separate class for that explosion. My second attempt was to create Movement, Bounce and Explosion without extending anything. Instead I passed in a reference to the Orb class to each. Then the class stores that reference and does what it needs to do based on events that are dispatched by the Orb such as update, which was broadcast from Orb every enter frame. This would drive the movement and bounce and also the explosion when the time came. This attempt worked as well but it just doesn't seem right. I've also thought about using Interfaces but because they are more of an outline for classes, I feel like code reuse goes out the window as each class would need its own code for a specific task even if that task is exactly the same. I feel as if I'm searching for some form of multiple inheritance for classes that as3 does not support. Can someone explain to me a better way of doing what I'm attempting to do? Am I being to "Object Oriented" by having classed for Movement, Bounce, Explosion and Orb? Are Interfaces the way to go? Any feedback is appreciated!

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  • Volatile fields in C#

    - by Danny Chen
    From the specification 10.5.3 Volatile fields: The type of a volatile field must be one of the following: A reference-type. The type byte, sbyte, short, ushort, int, uint, char, float, bool, System.IntPtr, or System.UIntPtr. An enum-type having an enum base type of byte, sbyte, short, ushort, int, or uint. First I want to confirm my understanding is correct: I guess the above types can be volatile because they are stored as a 4-bytes unit in memory(for reference types because of its address), which guarantees the read/write operation is atomic. A double/long/etc type can't be volatile because they are not atomic reading/writing since they are more than 4 bytes in memory. Is my understanding correct? And the second, if the first guess is correct, why a user defined struct with only one int field in it(or something similar, 4 bytes is ok) can't be volatile? Theoretically it's atomic right? Or it's not allowed simply because that all user defined structs(which is possibly more than 4 bytes) are not allowed to volatile by design?

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  • Passive and active sockets

    - by davsan
    Quoting from this socket tutorial: Sockets come in two primary flavors. An active socket is con­nect­ed to a remote active socket via an open data con­nec­tion... A passive socket is not con­nect­ed, but rather awaits an in­com­ing con­nec­tion, which will spawn a new active socket once a con­nec­tion is es­tab­lished ... Each port can have a single passive socket binded to it, await­ing in­com­ing con­nec­tions, and mul­ti­ple active sockets, each cor­re­spond­ing to an open con­nec­tion on the port. It's as if the factory worker is waiting for new mes­sages to arrive (he rep­re­sents the passive socket), and when one message arrives from a new sender, he ini­ti­ates a cor­re­spon­dence (a con­nec­tion) with them by del­e­gat­ing someone else (an active socket) to ac­tu­al­ly read the packet and respond back to the sender if nec­es­sary. This permits the factory worker to be free to receive new packets. ... Then the tutorial explains that, after a connection is established, the active socket continues receiving data until there are no remaining bytes, and then closes the connection. What I didn't understand is this: Suppose there's an incoming connection to the port, and the sender wants to send some little data every 20 minutes. If the active socket closes the connection when there are no remaining bytes, does the sender have to reconnect to the port every time it wants to send data? How do we persist a once established connection for a longer time? Can you tell me what I'm missing here? My second question is, who determines the limit of the concurrently working active sockets?

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  • Does complex JOINs causes high coupling and maintenance problems ?

    - by ashkan.kh.nazary
    Our project has ~40 tables with complex relations.A colleague believes in using long join queries which enforces me to learn about tables outside of my module but I think I should not concern about tables not directly related to my module and use data access functions (written by those responsible for other modules) when I need data from them. Let me clarify: I am responsible for the ContactVendor module which enables the customers to contact the vendor and start a conversation about some specific product. Products module has it's own complex tables and relations with functions that encapsulate details (for example i18n, activation, product availability etc ...). Now I need to show the product title of some product related to some conversation between the vendor and customers. I may either write a long query that retrieves the product info along with conversation stuff in one shot (which enforces me to learn about Product tables) OR I may pass the relevant product_id to the get_product_info(int) function. First approach is obviously demanding and introduces many bad practices and things I normally consider fault in programming. The problem with the second approach seems to be the countless mini queries these access functions cause and performance loss is a concern when a loop tries to fetch product titles for 100 products using functions that each perform a separate query. So I'm stuck between "don't code to the implementation, code to interface" and performance. What is the right way of doing things ? UPDATE: I'm specially concerned about possible future modifications to those tables outside of my module. What if the Products module decided to change the way they are doing things? or for some reason modify the schema? It means some other modules would break or malfunction until the change is integrated to them. The usual ripple effect problem.

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  • Flex: Linebreak problem with spark.components.TextArea inside a MXDataGridItemRenderer

    - by radgar
    Hi, I have a DataGrid that has a MXDataGridItemRenderer applied as an itemEditor to one of the columns. The editor includes a spark.components.TextArea control. By default, any text item editor of a datagrid closes itself when [enter] key is pressed.. Keeping this in mind; What I want to do is: Prevent editor from closing on [SHIFT+ENTER] key but accept the linebreak (I can do this, see code below) Close the editor on [ENTER] key but do not accept the linebreak (could not achieve this) Here is the current code in the MXDataGridItemRenderer: <s:MXDataGridItemRenderer xmlns:fx="http://ns.adobe.com/mxml/2009" xmlns:s="library://ns.adobe.com/flex/spark" xmlns:mx="library://ns.adobe.com/flex/mx" focusEnabled="true" > <fx:Script> <![CDATA[ protected function onTxtDataKeyDown(event:KeyboardEvent):void { //Prevent editor from closing on [SHIFT+ENTER] key but accept the linebreak // » this works if (event.shiftKey && event.keyCode == 13) { event.stopImmediatePropagation(); } //Close the editor on [ENTER] key but do not accept the linebreak else if (event.keyCode == 13) { event.preventDefault(); } // » does not work } ]]> </fx:Script> <s:TextArea id="txtData" paddingTop="3" lineBreak="explicit" text="{dataGridListData.label}" verticalScrollPolicy="auto" horizontalScrollPolicy="off" keyDown="onTxtDataKeyDown(event)" /> I also tried the textInput event but that did not do the trick. So: How can I prevent the linebreak when the editor is closed on [enter] key? Any help is appreciated. Thanks. EDIT: If I change the spark.components.TextArea to mx.controls.TextArea, second part with event.preventDefault() will work as expected but then the first part where SHIFT+ENTER accepts the linebreak will not work.

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  • SQL Server: preventing dirty reads in a stored procedure

    - by pcampbell
    Consider a SQL Server database and its two stored procs: *1. A proc that performs 3 important things in a transaction: Create a customer, call a sproc to perform another insert, and conditionally insert a third record with the new identity. BEGIN TRAN INSERT INTO Customer(CustName) (@CustomerName) SELECT @NewID = SCOPE_IDENTITY() EXEC CreateNewCustomerAccount @NewID, @CustomerPhoneNumber IF @InvoiceTotal > 100000 INSERT INTO PreferredCust(InvoiceTotal, CustID) VALUES (@InvoiceTotal, @NewID) COMMIT TRAN *2. A stored proc which polls the Customer table for new entries that don't have a related PreferredCust entry. The client app performs the polling by calling this stored proc every 500ms. A problem has arisen where the polling stored procedure has found an entry in the Customer table, and returned it as part of its results. The problem was that it has picked up that record, I am assuming, as part of a dirty read. The record ended up having an entry in PreferredCust later, and ended up creating a problem downstream. Question How can you explicitly prevent dirty reads by that second stored proc? The environment is SQL Server 2005 with the default configuration out of the box. No other locking hits are given in either of these stored procedures.

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  • Best practice PHP Form Action

    - by Rob
    Hi there i've built a new script (from scratch not a CMS) and i've done alot of work on reducing memory usage and the time it takes for the page to be displayed (caching HTML etc) There's one thing that i'm not sure about though. Take a simple example of an article with a comments section. If the comment form posts to another page that then redirects back to the article page I won't have the problem of people clicking refresh and resending the information. However if I do it that way, I have to load up my script twice use twice as much memory and it takes twice as long whilst i'm still only displaying the page once. Here's an example from my load log. The first load of the article is from the cache, the second rebuilds the page after the comment is posted. Example 1 0 queries using 650856 bytes of memory in 0.018667 - domain.com/article/1/my_article.html 9 queries using 1325723 bytes of memory in 0.075825 - domain.com/article/1/my_article/newcomment.html 0 queries using 650856 bytes of memory in 0.029449 - domain.com/article/1/my_article.html Example 2 0 queries using 650856 bytes of memory in 0.023526 - domain.com/article/1/my_article.html 9 queries using 1659096 bytes of memory in 0.060032 - domain.com/article/1/my_article.html Obviously the time fluctuates so you can't really compare that. But as you can see with the first method I use more memory and it takes longer to load. BUT the first method avoides the refresh problem. Does anyone have any suggestions for the best approach or for alternative ways to avoid the extra load (admittadely minimal but i'd still like to avoid it) whilst also avoiding the refresh problem?

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  • How can I use `pipe` to facilitate interprocess communication in Perl?

    - by Shiftbit
    Can anyone explain how I can successfully get my processes communicating? I find the perldoc on IPC confusing. What I have so far is: $| = 1; $SIG{CHLD} = {wait}; my $parentPid = $$; if ($pid = fork();) ) { if ($pid == 0) { pipe($parentPid, $$); open PARENT, "<$parentPid"; while (<PARENT>) { print $_; } close PARENT; exit(); } else { pipe($parentPid, $pid); open CHILD, ">$pid"; or error("\nError opening: childPid\nRef: $!\n"); open (FH, "<list") or error("\nError opening: list\nRef: $!\n"); while(<FH>) { print CHILD, $_; } close FH or error("\nError closing: list\nRef: $!\n"); close CHILD or error("\nError closing: childPid\nRef: $!\n); } else { error("\nError forking\nRef: $!\n"); } First: What does perldoc pipe mean by READHANDLE, WRITEHANDLE? Second: Can I implement a solution without relying on CPAN or other modules?

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  • Stored procedure using cursor in mySql.

    - by RAVI
    I wrote a stored procedure using cursor in mysql but that procedure is taking 10 second to fetch the result while that result set have only 450 records so, I want to know that why that proedure is taking that much time to fetch tha record. procedure as below: DELIMITER // DROP PROCEDURE IF EXISTS curdemo123// CREATE PROCEDURE curdemo123(IN Branchcode int,IN vYear int,IN vMonth int) BEGIN DECLARE EndOfData,tempamount INT DEFAULT 0; DECLARE tempagent_code,tempplantype,tempsaledate CHAR(12); DECLARE tempspot_rate DOUBLE; DECLARE var1,totalrow INT DEFAULT 1; DECLARE cur1 CURSOR FOR select SQL_CALC_FOUND_ROWS ad.agentCode,ad.planType,ad.amount,ad.date from adplan_detailstbl ad where ad.branchCode=Branchcode and (ad.date between '2009-12-1' and '2009-12-31')order by ad.NUM_ID asc; DECLARE CONTINUE HANDLER FOR SQLSTATE '02000' SET EndOfData = 1; DROP TEMPORARY TABLE IF EXISTS temptable; CREATE TEMPORARY TABLE temptable (agent_code varchar(15), plan_type char(12),sale double,spot_rate double default '0.0', dATE DATE); OPEN cur1; SET totalrow=FOUND_ROWS(); while var1 <= totalrow DO fetch cur1 into tempagent_code,tempplantype,tempamount,tempsaledate; IF((tempplantype='Unit Plan' OR tempplantype='MIP') OR tempplantype='STUP') then select spotRate into tempspot_rate from spot_amount where ((monthCode=vMonth and year=vYear) and ((agentCode=tempagent_code and branchCode=Branchcode) and (planType=tempplantype))); INSERT INTO temptable VALUES(tempagent_code,tempplantype,tempamount,tempspot_rate,tempsaledate); else INSERT INTO temptable(agent_code,plan_type,sale,dATE) VALUES(tempagent_code,tempplantype,tempamount,tempsaledate); END IF; SET var1=var1+1; END WHILE; CLOSE cur1; select * from temptable; DROP TABLE temptable; END // DELIMITER ;

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  • Shell script task status monitoring

    - by Bikram Agarwal
    I'm running an ANT task in background and checking in 60 second intervals whether that task is complete or not. If it is not, every 60 seconds, a message should be displayed on screen - "Deploy process is still running. $slept seconds since deploy started", where $slept is 60, 120, 180 n so on. There's a limit of 1200 seconds, after which the script will show the log via 'ant log' command and ask the user whether to continue. If the user chooses to continue, 300 seconds are added to the time limit and the process repeats. The code that I am using for this task is - ant deploy & limit=1200 deploy_check() { while [ ${slept:-0} -le $limit ]; do sleep 60 && slept=`expr ${slept:-0} + 60` if [ $$ = "`ps -o ppid= -p $!`" ]; then echo "Deploy process is still running. $slept seconds since deploy started." else wait $! && echo "Application ${New_App_Name} deployed successfully" || echo "Deployment of ${New_App_Name} failed" break fi done } deploy_check if [ $$ = "`ps -o ppid= -p $!`" ]; then echo "Deploy process did not finish in $slept seconds. Here's the log." ant log echo "Do you want to kill the process? Press Ctrl+C to kill. Press Enter to continue." read log limit=`expr ${limit} + 300` deploy_check fi Now, the problem is - this code is not working. This looks like a perfectly good code and yet, this is not working. Can anyone point out what is wrong with this code, please.

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  • Using recursion to to trim a binary tree based on a given min and max value

    - by Justin
    As the title says, I have to trim a binary tree based on a given min and max value. Each node stores a value, and a left/right node. I may define private helper methods to solve this problem, but otherwise I may not call any other methods of the class nor create any data structures such as arrays, lists, etc. An example would look like this: overallRoot _____[50]____________________ / \ __________[38] _______________[90] / \ / _[14] [42] [54]_____ / \ \ [8] [20] [72] \ / \ [26] [61] [83] trim(52, 65); should return: overallRoot [54] \ [61] My attempted solution has three methods: public void trim(int min, int max) { rootFinder(overallRoot, min, max); } First recursive method finds the new root perfectly. private void rootFinder(IntTreeNode node, int min, int max) { if (node == null) return; if (overallRoot.data < min) { node = overallRoot = node.right; rootFinder(node, min, max); } else if (overallRoot.data > max) { node = overallRoot = node.left; rootFinder(node, min, max); } else cutter(overallRoot, min, max); } This second method should eliminate any further nodes not within the min/max, but it doesn't work as I would hope. private void cutter(IntTreeNode node, int min, int max) { if (node == null) return; if (node.data <= min) { node.left = null; } if (node.data >= max) { node.right = null; } if (node.data < min) { node = node.right; } if (node.data > max) { node = node.left; } cutter(node.left, min, max); cutter(node.right, min, max); } This returns: overallRoot [54]_____ \ [72] / [61] Any help is appreciated. Feel free to ask for further explanation as needed.

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  • How do I show TextView's in LinearLayout that layed on other Layout?

    - by gelassen
    Good day. I have three layouts: first is the root, second and third lie in first. I try add TextView object in third layout and objects had been added in third layout (I saw it in debage mode) but this objects didn't showed on screen. May be someone know where is the problem? <LinearLayout xmlns:android="http://schemas.android.com/apk/res/android" android:layout_width="fill_parent" android:layout_height="fill_parent" android:orientation="vertical"> <LinearLayout android:layout_width="fill_parent" android:layout_height="wrap_content" android:orientation="horizontal"> <Button android:id="@+id/addJokeButton" android:layout_width="wrap_content" android:layout_height="wrap_content" android:text="@string/app_name" /> <EditText android:id="@+id/newJokeEditText" android:layout_width="fill_parent" android:layout_height="wrap_content" /> </LinearLayout> <LinearLayout android:layout_width="fill_parent" android:layout_height="fill_parent" android:orientation="vertical"> </LinearLayout> </LinearLayout> protected void initLayout() { setContentView(R.layout.advanced); LinearLayout linearLayout = (LinearLayout) getLayoutInflater().inflate( R.layout.advanced, null); m_vwJokeEditText = (EditText) findViewById(R.id.newJokeEditText); m_vwJokeButton = (Button) findViewById(R.id.addJokeButton); m_vwJokeLayout = (LinearLayout) linearLayout.getChildAt(1); } protected void addJoke(Joke joke) { m_arrJokeList.add(joke); LayoutParams lparams = new LayoutParams(LayoutParams.WRAP_CONTENT, LayoutParams.WRAP_CONTENT); TextView textView = new TextView(this); setColor(textView); textView.setLayoutParams(lparams); textView.setText(joke.getJoke()); m_vwJokeLayout.addView(textView); }

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  • What's wrong with my code? (pdcurses/getmaxyx)

    - by flarn2006
    It gives me an access violation on the getmaxyx line (second line in the main function) and also gives me these two warnings: LINK : warning LNK4049: locally defined symbol "_stdscr" imported LINK : warning LNK4049: locally defined symbol "_SP" imported Yes, it's the same code as in another question I asked, it's just that I'm making it more clear. And yes, I have written programs with pdcurses before with no problems. #include <time.h> #include <curses.h> #include "Ball.h" #include "Paddle.h" #include "config.h" int main(int argc, char *argv[]) { int maxY, maxX; getmaxyx(stdscr, maxY, maxX); Paddle *paddleLeft = new Paddle(0, KEY_L_UP, KEY_L_DOWN); Paddle *paddleRight = new Paddle(maxX, KEY_R_UP, KEY_R_DOWN); Ball *ball = new Ball(paddleLeft, paddleRight); int key = 0; initscr(); cbreak(); noecho(); curs_set(0); while (key != KEY_QUIT) { key = getch(); paddleLeft->OnKeyPress(key); paddleRight->OnKeyPress(key); } endwin(); return 0; }

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  • PowerShell PSCX Read-Archive: Cannot bind parameter... problem

    - by Robert
    I'm running across a problem I can't seem to wrap my head around using the Read-Archive cmdlet available via PowerShell Community Extensions (v2.0.3782.38614). Here is a cut down sample used to exhibit the problem I'm running into: $mainPath = "p:\temp" $dest = Join-Path $mainPath "ps\CenCodes.zip" Read-Archive -Path $dest -Format zip Running the above produces the following error: Read-Archive : Cannot bind parameter 'Path'. Cannot convert the "p:\temp\ps\CenCodes.zip" value of type "System.String" to type "Pscx.IO.PscxPathInfo". At line:3 char:19 + Read-Archive -Path <<<< $dest -Format zip + CategoryInfo : InvalidArgument: (:) [Read-Archive], ParameterBindingException + FullyQualifiedErrorId : CannotConvertArgumentNoMessage,Pscx.Commands.IO.Compression.ReadArchiveCommand If I do not use Join-Path to build the path passed to Read-Archive it works, as in this example: $mainPath = "p:\temp" $path = $mainPath + "\ps\CenCodes.zip" Read-Archive -Path $path -Format zip Output from above: ZIP Folder: CenCodes.zip#\ Index LastWriteTime Size Ratio Name ----- ------------- ---- ----- ---- 0 6/17/2010 2:03 AM 3009106 24.53 % CenCodes.xls Even more confusing is if I compare the two variables passed as the Path argument in the two Read-Archive samples above, they seem identical: This... Write-Host "dest=$dest" Write-Host "path=$path" Write-Host ("path -eq dest is " + ($dest -eq $path).ToString()) Outputs... dest=p:\temp\ps\CenCodes.zip path=p:\temp\ps\CenCodes.zip path -eq dest is True Anyone have any ideas as to why the first sample gripes but the second one works fine?

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  • Common lisp, CFFI, and instantiating c structs

    - by andrew
    Hi, I've been on google for about, oh, 3 hours looking for a solution to this "problem." I'm trying to figure out how to instantiate a C structure in lisp using CFFI. I have a struct in c: struct cpVect{cpFloat x,y;} Simple right? I have auto-generated CFFI bindings (swig, I think) to this struct: (cffi:defcstruct #.(chipmunk-lispify "cpVect" 'classname) (#.(chipmunk-lispify "x" 'slotname) :double) (#.(chipmunk-lispify "y" 'slotname) :double)) This generates a struct "VECT" with slots :X and :Y, which foreign-slot-names confirms (please note that I neither generated the bindings or programmed the C library (chipmunk physics), but the actual functions are being called from lisp just fine). I've searched far and wide, and maybe I've seen it 100 times and glossed over it, but I cannot figure out how to create a instance of cpVect in lisp to use in other functions. Note the function: cpShape *cpPolyShapeNew(cpBody *body, int numVerts, cpVect *verts, cpVect offset) Takes not only a cpVect, but also a pointer to a set of cpVects, which brings me to my second question: how do I create a pointer to a set of structs? I've been to http://common-lisp.net/project/cffi/manual/html_node/defcstruct.html and tried the code, but get "Error: Unbound variable: PTR" (I'm in Clozure CL), not to mention that looks to only return a pointer, not an instance. I'm new to lisp, been going pretty strong so far, but this is the first real problem I've hit that I can't figure out. Thanks!

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  • Can I add a condition to CakePHP's update statement?

    - by Don Kirkby
    Since there doesn't seem to be any support for optimistic locking in CakePHP, I'm taking a stab at building a behaviour that implements it. After a little research into behaviours, I think I could run a query in the beforeSave event to check that the version field hasn't changed. However, I'd rather implement the check by changing the update statement's WHERE clause from WHERE id = ? to WHERE id = ? and version = ? This way I don't have to worry about other requests changing the database record between the time I read the version and the time I execute the update. It also means I can do one database call instead of two. I can see that the DboSource.update() method supports conditions, but Model.save() never passes any conditions to it. It seems like I have a couple of options: Do the check in beforeSave() and live with the fact that it's not bulletproof. Hack my local copy of CakePHP to check for a conditions key in the options array of Model.save() and pass it along to the DboSource.update() method. Right now, I'm leaning in favour of the second option, but that means I can't share my behaviour with other users unless they apply my hack to their framework. Have I missed an easier option?

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  • Is it possible to group records belonging to an entity in dbunit?

    - by Joshua
    Our JPA entity model auto-generates primary key identifiers for user, user_address tables. Would it be possible to group these entities given below via dbunit, so that I don't need to provide neither the primary key as well as the foreign key reference from user_address.user_id. It is getting very hard to maintain these keys (i.e. I would prefer to group the primary record 'user' and the child records 'user_address' so that dbunit can group them automatically by looking up the entity metadata). Is it achievable? <user id="1" first_name="Josh" creation_date="2009-07-11 15:45:28"/> <user_address id="1" user_id="1" address="Main St" city="Los Angeles"/> I would prefer something like this <!-- First user --> <user first_name="Josh" creation_date="2009-07-11 15:45:28"/> <user_address address="Main St" city="Los Angeles"/> <!-- Second user --> <user first_name="Mary" creation_date="2009-07-11 15:45:28"/> <user_address address="Taylors St" city="San Jose"/>

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