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  • Email function using templates. Includes via ob_start and global vars

    - by Geo
    I have a simple Email() class. It's used to send out emails from my website. <? Email::send($to, $subj, $msg, $options); ?> I also have a bunch of email templates written in plain HTML pierced with a few PHP variables. E.g. /inc/email/templates/account_created.php: <p>Dear <?=$name?>,</p> <p>Thank you for creating an account at <?=$SITE_NAME?>. To login use the link below:</p> <p><a href="https://<?=$SITE_URL?>/account" target="_blank"><?=$SITE_NAME?>/account</a></p> In order to have the PHP vars rendered I had to include the template into my function. But since include does not return the contents but rather just sends it directly to the output, I had to wrap it with the buffer functions: <? abstract class Email { public static function send($to, $subj, $msg, $options = array()) { /* ... */ ob_start(); include '/inc/email/templates/account_created.php'; $msg = ob_get_clean(); /* ... */ } } After that I realized that the PHP vars are not rendered as they are being inside of the function scope, so I had to globalize the variables inside of the template: <? global $SITE_NAME, $SITE_URL, $name; ?> <p>Dear <?=$name?>,</p> ... So the question is whether there is a more elegant solution to this? Mainly I am concerned about my workarounds using ob_start() and global. For some reason that seems to me odd. Or this is pretty much the common practice?

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  • SVN supports historical merges so how is Mercurial better?

    - by radman
    Hi, I'm a long time SVN user and have been hearing a lot of brou ha ha with regard to mercurial and decentralised version control systems in general. The main touted feature that I am aware of is that merging in Mercurial is much easier because it records information for each merge so each successive merge is aware of the previous ones. Now as stated in the red book, in the section to do with merging, SVN already supports this with mergeinfo. Now I have not actually used this feature (although I wanted to, our repo version wasn't recent enough) but is this SVN feature particularly different to what Mercurial offers? For anyone who is not aware the suggested work flow for historical merging in svn is this: branch from the development trunk to do your own thing. Regularly merge changes from trunk into your branch to stay up to date. Merge back when your done with the mergeinfo to smooth the process. Without historical data merging this is a nightmare because the comparison is strictly on the differences in the files and does not take into account the steps taken on the way. So each change in the development trunk puts you further into possible conflict when you merge back. Now what I would like to know is: Does merging using Mercurial provide a significant advantage when compared with mergeinfo in SVN or is this just a lot of hot air about nothing? Has anyone used the mergeinfo feature in SVN and how good is it actually in practice?

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  • Monotouch threads, GC, WCF

    - by cvista
    Hi This is a question about best practices i guess but it applies directly to my current MT project. I'm using WCF services to communicate with the server. To do this i do the following: services.MethodToCall(params); and the asynch: services.OnMethodToCallCompleted += delegate{ //do stuff and ting }; This can lead to issues if you're not careful in that variables defined within the scope of the asynch callback can sometimes be cleaned up by the gc and this can cause crashes. So - I am making it a practice to declare these outside of the scope of the callback unless I am 100% sure they are not needed. Now - when doing stuff and ting implies changing the ui - i wrap it all in an InvokeOnMainThread call. I guess wrapping everything in this would slow the main thread down and rubbish the point of having multi threads. Even though I'm being careful about all this i am still getting crashes and I have no idea why! I am certain it has something to do with threads, scope and all that. Now - the only thing I can think of outside of updating the UI that may need to happen inside of InvokeOnMainThread is that I have a singleton 'Database' class. This is based on the version 5 code from this thread http://www.yoda.arachsys.com/csharp/singleton.html So now if the service method returns data that needs to be added/updated to the Database class -I also wrap this inside an InvokeOnMainThread call. Still getting random crashes. So... My question is this: I am new to thick client dev - I'm coming from a web dev perspective where we don't need to worry about threads so much :) Aside from what I have mentioned -are there any other things I should be aware of? Is the above stuff correct? Or am i miss-understanding something? Cheers w://

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  • Passing array values in an HTTP request in .NET

    - by Zarjay
    What's the standard way of passing and processing an array in an HTTP request in .NET? I have a solution, but I don't know if it's the best approach. Here's my solution: <form action="myhandler.ashx" method="post"> <input type="checkbox" name="user" value="Aaron" /> <input type="checkbox" name="user" value="Bobby" /> <input type="checkbox" name="user" value="Jimmy" /> <input type="checkbox" name="user" value="Kelly" /> <input type="checkbox" name="user" value="Simon" /> <input type="checkbox" name="user" value="TJ" /> <input type="submit" value="Submit" /> </form> The ASHX handler receives the "user" parameter as a comma-delimited string. You can get the values easily by splitting the string: public void ProcessRequest(HttpContext context) { string[] users = context.Request.Form["user"].Split(','); } So, I already have an answer to my problem: assign multiple values to the same parameter name, assume the ASHX handler receives it as a comma-delimited string, and split the string. My question is whether or not this is how it's typically done in .NET. What's the standard practice for this? Is there a simpler way to grab the multiple values than assuming that the value is comma-delimited and calling Split() on it? Is this how arrays are typically passed in .NET, or is XML used instead? Does anyone have any insight on whether or not this is the best approach?

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  • Powershell 2.0 Hang When Run From MsDeploy pre- post- ops using c/

    - by SonOfNun
    I am trying to invoke powershell during the preSync call in a MSDeploy command, but powershell does not exit the process after it has been called. The command (from command line): "tools/MSDeploy/msdeploy.exe" -verb:sync -preSync:runCommand="powershell.exe -NoLogo -NoProfile -NonInteractive -ExecutionPolicy Unrestricted -Command C:/MyInstallPath/deploy.ps1 Set-WebAppOffline Uninstall-Service ",waitInterval=60000 -usechecksum -source:dirPath="build/for-deployment" -dest:wmsvc=BLUEPRINT-X86,username=deployer,password=deployer,dirPath=C:/MyInstallPath I used a hack here (http://therightstuff.de/2010/02/06/How-We-Practice-Continuous-Integration-And-Deployment-With-MSDeploy.aspx) that gets the powershell process and kills it but that didn't work. I also tried taskkill and the sysinternals equivalent, but nothing will kill the process so that MSDeploy errors out. The command is executed, but then just sits there. Any ideas what might be causing powershell to hang like this? I have found a few other similar issues around the web but no answers. Environment is Win 2K3, using Powershell 2.0. UPDATE: Here is a .vbs script I use to invoke my powershell command now. Invoke using 'cscript.exe path/to/script.vbs': Option Explicit Dim oShell, appCmd,oShellExec Set oShell = CreateObject("WScript.Shell") appCmd = "powershell.exe -NoLogo -NoProfile -NonInteractive -ExecutionPolicy Unrestricted -Command ""&{ . c:/development/materialstesting/deploy/web/deploy.ps1; Set-WebAppOffline }"" " Set oShellExec = oShell.Exec(appCmd) oShellExec.StdIn.Close()

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  • Why is this attempt at a binary search crashing?

    - by Ian Campbell
    I am fairly new to the concept of a binary search, and am trying to write a program that does this in Java for personal practice. I understand the concept of this well, but my code is not working. There is a run-time exception happening in my code that just caused Eclipse, and then my computer, to crash... there are no compile-time errors here though. Here is what I have so far: public class BinarySearch { // instance variables int[] arr; int iterations; // constructor public BinarySearch(int[] arr) { this.arr = arr; iterations = 0; } // instance method public int findTarget(int targ, int[] sorted) { int firstIndex = 1; int lastIndex = sorted.length; int middleIndex = (firstIndex + lastIndex) / 2; int result = sorted[middleIndex - 1]; while(result != targ) { if(result > targ) { firstIndex = middleIndex + 1; middleIndex = (firstIndex + lastIndex) / 2; result = sorted[middleIndex - 1]; iterations++; } else { lastIndex = middleIndex + 1; middleIndex = (firstIndex + lastIndex) / 2; result = sorted[middleIndex - 1]; iterations++; } } return result; } // main method public static void main(String[] args) { int[] sortedArr = new int[] { 1, 3, 5, 7, 9, 11, 13, 15, 17, 19, 21, 23, 25, 27, 29 }; BinarySearch obj = new BinarySearch(sortedArr); int target = sortedArr[8]; int result = obj.findTarget(target, sortedArr); System.out.println("The original target was -- " + target + ".\n" + "The result found was -- " + result + ".\n" + "This took " + obj.iterations + " iterations to find."); } // end of main method } // end of class BinarySearch

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  • Separating Content (aspx) from Code (aspx.cs) in ASP.NET

    - by firedrawndagger
    I would like to know what is the best practice on separating the content of an aspx page (ASP.NET 3.5) from the code (I'm using C#). I have a form that users can type data in - for example they are allowed to enter a percent. If they Otherwise for example I would like to display the following error messages: <p id="errormsg" class="percenthigh">Please enter a percent below 100</p> <p id="errormsg" class="percentnegative">Percent cannot be below 0</p> <p id="errormsg" class="percentnot">This is not a percent</p> So in essence I'm hiding the error messages and showing one depending on what the user input is. I believe this is the best way to seperate the content from the code behind. However, how do I select elements and hide/unhide them depending on the user input? I'm aware I can do a runat="server" on the elements but the problem is that I can't select by class and am limited only to ID's. What workarounds do you recommend? Aside from putting in the values in code behind which is notoriously difficult to debug. Also has this been "fixed" in ASP.NET 4?

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  • Project Euler Problem #11

    - by SoulBeaver
    Source: http://projecteuler.net/index.php?section=problems&id=11 Quick overview: Take a 20x20 grid of numbers and compute the largest product of 4 pairs of numbers in either horizontal, vertical, or diagonal. My current approach is to divide the 20x20 grid up into single rows and single columns and go from there with a much more manageable grid. The code I'm using to divide the rows into rows is void fillRows ( string::const_iterator& fieldIter, list<int>& rowElements, vector<list<int>>& rows ) { int count(0); for( ; fieldIter < field.end(); ++fieldIter ) { if(isdigit(field[*fieldIter])) { rowElements.push_back(toInt(field[*fieldIter])); ++count; } if(count == 40) { rows.push_back(rowElements); count = 0; rowElements.clear(); } } } Short explanation: I have the field set as static const std::string field and I am filling a vector with lists of rows. Why a list? Because the queue doesn't have a clear function. Also practice using STL container lists and not ones I write myself. However, this thing isn't working. Oftentimes I see it omitting a character( function toInt parses the const char as int ) and I end up with 18 rows, two rows short of the 20x20 grid. The length of the rows seem good. Rows: 18 RowElements[0]: 40 (instead of pairs I saved each number individually. Will fix that later) What am I doing wrong?

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  • Binary files printing and desired precision

    - by yCalleecharan
    Hi, I'm printing a variable say z1 which is a 1-D array containing floating point numbers to a text file so that I can import into Matlab or GNUPlot for plotting. I've heard that binary files (.dat) are smaller than .txt files. The definition that I currently use for printing to a .txt file is: void create_out_file(const char *file_name, const long double *z1, size_t z_size){ FILE *out; size_t i; if((out = _fsopen(file_name, "w+", _SH_DENYWR)) == NULL){ fprintf(stderr, "***> Open error on output file %s", file_name); exit(-1); } for(i = 0; i < z_size; i++) fprintf(out, "%.16Le\n", z1[i]); fclose(out); } I have three questions: Are binary files really more compact than text files?; If yes, I would like to know how to modify the above code so that I can print the values of the array z1 to a binary file. I've read that fprintf has to be replaced with fwrite. My output file say dodo.dat should contain the values of array z1 with one floating number per line. I have %.16Le up in my code but I think that %.15Le is right as I have 15 precision digits with long double. I have put a dot (.) in the width position as I believe that this allows expansion to an arbitrary field to hold the desired number. Am I right? As an example with %.16Le, I can have an output like 1.0047914240730432e-002 which gives me 16 precision digits and the width of the field has the right width to display the number correctly. Is placing a dot (.) in the width position instead of a width value a good practice? Thanks a lot...

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  • Ruby on Rails 2.3.5: Populating my prod and devel database with data (migration or fixture?)

    - by randombits
    I need to populate my production database app with data in particular tables. This is before anyone ever even touches the application. This data would also be required in development mode as it's required for testing against. Fixtures are normally the way to go for testing data, but what's the "best practice" for Ruby on Rails to ship this data to the live database also upon db creation? ultimately this is a two part question I suppose. 1) What's the best way to load test data into my database for development, this will be roughly 1,000 items. Is it through a migration or through fixtures? The reason this is a different answer than the question below is that in development, there's certain fields in the tables that I'd like to make random. In production, these fields would all start with the same value of 0. 2) What's the best way to bootstrap a production db with live data I need in it, is this also through a migration or fixture? I think the answer is to seed as described here: http://lptf.blogspot.com/2009/09/seed-data-in-rails-234.html but I need a way to seed for development and seed for production. Also, why bother using Fixtures if seeding is available? When does one seed and when does one use fixtures?

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  • iPhone View Switching basics.

    - by Daniel Granger
    I am just trying to get my head around simple view switching for the iPhone and have created a simple app to try and help me understand it. I have included the code from my root controller used to switch the views. My app has a single toolbar with three buttons on it each linking to one view. Here is my code to do this but I think there most be a more efficient way to achieve this? Is there a way to find out / remove the current displayed view instead of having to do the if statements to see if either has a superclass? I know I could use a tab bar to create a similar effect but I am just using this method to help me practice a few of the techniques. -(IBAction)switchToDataInput:(id)sender{ if (self.dataInputVC.view.superview == nil) { if (dataInputVC == nil) { dataInputVC = [[DataInputViewController alloc] initWithNibName:@"DataInput" bundle:nil]; } if (self.UIElementsVC.view.superview != nil) { [UIElementsVC.view removeFromSuperview]; } else if (self.totalsVC.view.superview != nil) { [totalsVC.view removeFromSuperview]; } [self.view insertSubview:dataInputVC.view atIndex:0]; } } -(IBAction)switchToUIElements:(id)sender{ if (self.UIElementsVC.view.superview == nil) { if (UIElementsVC == nil) { UIElementsVC = [[UIElementsViewController alloc] initWithNibName:@"UIElements" bundle:nil]; } if (self.dataInputVC.view.superview != nil) { [dataInputVC.view removeFromSuperview]; } else if (self.totalsVC.view.superview != nil) { [totalsVC.view removeFromSuperview]; } [self.view insertSubview:UIElementsVC.view atIndex:0]; } } -(IBAction)switchToTotals:(id)sender{ if (self.totalsVC.view.superview == nil) { if (totalsVC == nil) { totalsVC = [[TotalsViewController alloc] initWithNibName:@"Totals" bundle:nil]; } if (self.dataInputVC.view.superview != nil) { [dataInputVC.view removeFromSuperview]; } else if (self.UIElementsVC.view.superview != nil) { [UIElementsVC.view removeFromSuperview]; } [self.view insertSubview:totalsVC.view atIndex:0]; } }

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  • Understanding sql queries formulation methodoloy. How do you think while formulating Sql Queries

    - by Shantanu Gupta
    I have been working on sql server and front end coding and have usually faced problem formulating queries. I do understand most of the concepts of sql that are needed in formulating queries but whenever some new functionality comes into the picture that can be dont using sql query, i do usually fails resolving them. I am very comfortable with select queries using joins and all such things but when it comes to DML operation i usually fails For every query that i never done before I usually finds uncomfortable with that while creating them. Whenever I goes for an interview I usually faces this problem. Is it their some concept behind approaching on formulating sql queries. Eg. I need to create an sql query such that A table contain single column having duplicate record. I need to remove duplicate records. I know i can find the solution to this query very easily on Googling, but I want to know how everyone comes to the desired result. Is it something like Practice Makes Man Perfect i.e. once you did it, next time you will be able to formulate or their is some logic or concept behind.

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  • C/C++ Control Structure Limitations?

    - by STingRaySC
    I have heard of a limitation in VC++ (not sure which version) on the number of nested if statements (somewhere in the ballpark of 300). The code was of the form: if (a) ... else if (b) ... else if (c) ... ... I was surprised to find out there is a limit to this sort of thing, and that the limit is so small. I'm not looking for comments about coding practice and why to avoid this sort of thing altogether. Here's a list of things that I'd imagine could have some limitation: Number of functions in a scope (global, class, or namespace). Number of expressions in a single statement (e.g., compound conditionals). Number of cases in a switch. Number of parameters to a function. Number of classes in a single hierarchy (either inheritance or containment). What other control structures/language features have limits such as this? Do the language standards say anything about these limits (perhaps minimum requirements for an implementation)? Has anyone run into a particular language limitation like this with a particular compiler/implementation? EDIT: Please note that the above form of if statements is indeed "nested." It is equivalent to: if (a) { //... } else { if (b) { //... } else { if (c) { //... } else { //... } } }

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  • How to use Data aware controls "correctly"?

    - by lyborko
    Hi, I would like to ask experienced users, if you prefer to use data aware controls to add, insert, delete and edit data in DB or you favor to do it manualy. I developed some DB applications, in which for the sake of "user friendly policy" I run into complicated web of table events (afterinsert, afteredit, after... and beforeedit, beforeinsert, before...). After that it was a quite nasty work to debug the application. Aware of this risk (later by another application) I tried to avoid this problem, so I paid increased attention to write code well, readable and comprehensive. It seemed everything all right from the beginning, but as I needed to handle some preprocessing stuff before sending and loading data etc, I run into the same problems again, "slowly and inevitably". Sometime I could not use dataaware controls anyway, and what seemed to be a "cool" feature of DAControl at the beginning it turned to an obstacle on the end. I "had to" write special routine for non-dataaware controls, in order to behave as dataaware. Then I asked myself, why on earth should I use dataaware controls? Is it better to found application architecture on non-dataaware controls? It requires more time to write bug-proof code, of course, but does it worth of it? I do not know... I happened to me several times, like jinxed : paradise on the beginning hell on the end... I do not know, if I use wrong method to write DB program, if there is some standard common practice how to proceed. Or if it is common problem to everybody? Thanx for advices and your experiences

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  • how often should the entire suite of a system's unit tests be run?

    - by gerryLowry
    Generally, I'm still very much a unit testing neophyte. BTW, you may also see this question on other forums like xUnit.net, et cetera, because it's an important question to me. I apoligize in advance for my cross posting; your opinions are very important to me and not everyone in this forum belongs to the other forums too. I was looking at a large decade old legacy system which has had over 700 unit tests written recently (700 is just a small beginning). The tests happen to be written in MSTest but this question applies to all testing frameworks AFAIK. When I ran, via vs2008 "ALL TESTS", the final count was only seven tests. That's about 1% of the total tests that have been written to date. MORE INFORMATION: The ASP.NET MVC 2 RTM source code, including its unit tests, is available on CodePlex; those unit tests are also written in MSTest even though (an irrelevant fact) Brad Wilson later joined the ASP.NET MVC team as its Senior Programmer. All 2000 plus tests get run, not just a few. QUESTION: given that AFAIK the purpose of unit tests is to identify breakages in the SUT, am I correct in thinking that the "best practice" is to always, or at least very frequently, run all of the tests? Thank you. Regards, Gerry (Lowry)

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  • heterogeneous comparisons in python3

    - by Matt Anderson
    I'm 99+% still using python 2.x, but I'm trying to think ahead to the day when I switch. So, I know that using comparison operators (less/greater than, or equal to) on heterogeneous types that don't have a natural ordering is no longer supported in python3.x -- instead of some consistent (but arbitrary) result we raise TypeError instead. I see the logic in that, and even mostly think its a good thing. Consistency and refusing to guess is a virtue. But what if you essentially want the python2.x behavior? What's the best way to go about getting it? For fun (more or less) I was recently implementing a Skip List, a data structure that keeps its elements sorted. I wanted to use heterogeneous types as keys in the data structure, and I've got to compare keys to one another as I walk the data structure. The python2.x way of comparing makes this really convenient -- you get an understandable ordering amongst elements that have a natural ordering, and some ordering amongst those that don't. Consistently using a sort/comparison key like (type(obj).__name__, obj) has the disadvantage of not interleaving the objects that do have a natural ordering; you get all your floats clustered together before your ints, and your str-derived class separates from your strs. I came up with the following: import operator def hetero_sort_key(obj): cls = type(obj) return (cls.__name__+'_'+cls.__module__, obj) def make_hetero_comparitor(fn): def comparator(a, b): try: return fn(a, b) except TypeError: return fn(hetero_sort_key(a), hetero_sort_key(b)) return comparator hetero_lt = make_hetero_comparitor(operator.lt) hetero_gt = make_hetero_comparitor(operator.gt) hetero_le = make_hetero_comparitor(operator.le) hetero_ge = make_hetero_comparitor(operator.gt) Is there a better way? I suspect one could construct a corner case that this would screw up -- a situation where you can compare type A to B and type A to C, but where B and C raise TypeError when compared, and you can end up with something illogical like a > b, a < c, and yet b > c (because of how their class names sorted). I don't know how likely it is that you'd run into this in practice.

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  • How can I map stored procedure result into a custom class with linq-to-sql?

    - by Remnant
    I have a stored procedure that returns a result set (4 columns x n Rows). The data is based on multiple tables within my database and provides a summary for each department within a corporate. Here is sample: usp_GetDepartmentSummary DeptName EmployeeCount Male Female HR 12 5 7 etc... I am using linq-to-sql to retrieve data from my database (nb - have to use sproc as it is something I have inherited). I would like to call the above sproc and map into a department class: public class Department { public string DeptName {get; set;} public int EmployeeCount {get; set;} public int MaleCount {get; set;} public int FemaleCount {get; set;} } In VS2008, I can drag and drop my sproc onto the methods pane of the linq-to-sql designer. When I examine the designer.cs the return type for this sproc is defined as: ISingleResult<usp_GetDepartmentSummaryResult> What I would like to do is amend this somehow so that it returns a Department type so that I can pass the results of the sproc as a strongly typed view: <% foreach (var dept in Model) { %> <ul> <li class="deptname"><%= dept.DeptName %></li> <li class="deptname"><%= dept.EmployeeCount %></li> etc... Any ideas how to achieve this? NB - I have tried amending the designer.cs and dbml xml file directly but with limited success. I admit to being a little out of my depth when it comes to updating those files directly and I am not sure it is best practice? Would be good to get some diretion. Thanks much

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  • Should a setter return immediately if assigned the same value?

    - by Andrei Rinea
    In classes that implement INotifyPropertyChanged I often see this pattern : public string FirstName { get { return _customer.FirstName; } set { if (value == _customer.FirstName) return; _customer.FirstName = value; base.OnPropertyChanged("FirstName"); } } Precisely the lines if (value == _customer.FirstName) return; are bothering me. I've often did this but I am not that sure it's needed nor good. After all if a caller assigns the very same value I don't want to reassign the field and, especially, notify my subscribers that the property has changed when, semantically it didn't. Except saving some CPU/RAM/etc by freeing the UI from updating something that will probably look the same on the screen/whatever_medium what do we obtain? Could some people force a refresh by reassigning the same value on a property (NOT THAT THIS WOULD BE A GOOD PRACTICE HOWEVER)? 1. Should we do it or shouldn't we? 2. Why?

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  • Managing aesthetic code changes in git

    - by Ollie Saunders
    I find that I make a lot of small changes to my source code, often things that have almost no functional effect. For example: Refining or correcting comments. Moving function definitions within a class for a more natural reading order. Spacing and lining up some declarations for readability. Collapsing something using multiple lines on to one. Removing an old piece of commented-out code. Correcting some inconsistent whitespace. I guess I have a formidable attention to detail in my code. But the problem is I don't know what to do about these changes and they make it difficult to switch between branches etc. in git. I find myself not knowing whether to commit the minor changes, stash them, or put them in a separate branch of little tweaks and merge that in later. None those options seems ideal. The main problem is that these sort of changes are unpredictable. If I was to commit these there would be so many commits with the message "Minor code aesthetic change.", because, the second I make such a commit I notice another similar issue. What should I do when I make a minor change, a significant change, and then another minor change? I'd like to merge the three minor changes into one commit. It's also annoying seeing files as modified in git status when the change barely warrants my attention. I know about git commit --amend but I also know that's bad practice as it makes my repo inconsistent with remotes.

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  • Where in maven project's path should I put configuration files that are not considered resources

    - by Paralife
    I have a simple java maven project. One of my classes when executing needs to load an xml configuration file from the classpath. I dont want to package such xml file when producing the jar but I want to include a default xml file in a zip assemply under a conf subfolder and I also want this default xml to be available in the unit tests to test against it. As I see it there are 2 possible places of this default xml: src/main/resources/conf/default.xml src/main/conf/default.xml Both solutions demand special pom actions: In solution 1, I get the auto copy to target folder during build which means it is available in testing but I also get it in the produced jar which i dont want. In solution 2, I get the jar as I want it(free of the xml) but I manually have to copy the xml to the target folder to be available for testing. (I dont want to add src's subfolders in test classpath. I think it is bad practice). The question is what is the best solution of the two? If the correct is 2, what is the best way to copy it to target folder? Is there any other solution better and more common than those two? (I also read http://stackoverflow.com/questions/465001/where-should-i-put-application-configuration-files-for-a-maven-project but I would like to know the most "correct solution" from the "convention over configuration" point of view and this link provides some configuration type solutions but not any convention oriented. Maybe there isnt one but I ask anyway. Also the solutions provided include AntRun plugin and appAssembler plugin and I wonder if I could do it with out them.)

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  • correct format for function prototype

    - by yCalleecharan
    Hi, I'm writing to a text file using the following declaration: void create_out_file(char file_name[],long double *z1){ FILE *out; int i; if((out = fopen(file_name, "w+")) == NULL){ fprintf(stderr, "***> Open error on output file %s", file_name); exit(-1); } for(i = 0; i < ARRAY_SIZE; i++) fprintf(out, "%.16Le\n", z1[i]); fclose(out); } Where z1 is an long double array of length ARRAY_SIZE. The calling function is: create_out_file("E:/first67/jz1.txt", z1); I defined the prototype as: void create_out_file(char file_name[], long double z1[]); which I'm putting before "int main" but after the preprocessor directives. My code works fine. I was thinking of putting the prototype as void create_out_file(char file_name[],long double *z1). Is this correct? *z1 will point to the first array element of z1. Is my declaration and prototype good programming practice? Thanks a lot...

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  • accessing widgets inside a GWT element

    - by flyingcrab
    I want to access the text elements inside this textbox in GWT from the main method (where I call it like this) DialogBox aBox = newCandidatePop.buildNewElecPopup(); aBox.center(); aBox.getWidget(); MiscUiTools.newCandidateHandler(aBox.firstName, aBox.surName); in newCandidateHandler i want to attach a click handler to the two text boxes However, the above doesnt quite work - I cant get access to the aBox.firstName elements because they are static methods -- I am wondering what is best practice, how would you code something like this up? static TextBox firstName = new TextBox(); static TextBox surName = new TextBox(); static DialogBox box; // public newCandidatePop() { // box = buildNewElecPopup(); // } static public DialogBox buildNewElecPopup() { DialogBox box = new DialogBox(); box.setAutoHideEnabled(true); box.setText("Add a New Candidate"); box.setAnimationEnabled(true); box.setGlassEnabled(true); Grid dialogGrid = new Grid(2, 3); dialogGrid.setPixelSize(250 , 125); dialogGrid.setCellPadding(10); dialogGrid.setWidget(0, 0, new HTML("<strong>First Name</strong>")); dialogGrid.setWidget(0, 1, firstName); dialogGrid.setWidget(1, 0, new HTML("<strong>Surname</strong>")); dialogGrid.setWidget(1, 1, surName); box.add(dialogGrid); return box; }

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  • Using the contents of an array to set individual pixels in a Quartz bitmap context

    - by Magic Bullet Dave
    I have an array that contains the RGB colour values for each pixel in a 320 x 180 display. I would like to be able to set individual pixel values in the a bitmap context of the same size offscreen then display the bitmap context in a view. It appears that I have to create 1x1 rects and either put a stroke on them or a line of length 1 at the point in question. Is that correct? I'm looking for a very efficient way of getting the array data onto the graphics context as you can imagine this is going to be an image buffer that cycles at 25 frames per second and drawing in this way seems inefficient. I guess the other question is should I use OPENGL ES instead? Thoughts/best practice would be much appreciated. Regards Dave OK, have come a short way, but can't make the final hurdle and I am not sure why this isn't working: - (void) displayContentsOfArray1UsingBitmap: (CGContextRef)context { long bitmapData[WIDTH * HEIGHT]; // Build bitmap int i, j, h; for (i = 0; i < WIDTH; i++) { for (j = 0; j < HEIGHT; j++) { h = frameBuffer01[i][j]; bitmapData[i * j] = h; } } // Blit the bitmap to the context CGDataProviderRef providerRef = CGDataProviderCreateWithData(NULL, bitmapData,4 * WIDTH * HEIGHT, NULL); CGColorSpaceRef colorSpaceRef = CGColorSpaceCreateDeviceRGB(); CGImageRef imageRef = CGImageCreate(WIDTH, HEIGHT, 8, 32, WIDTH * 4, colorSpaceRef, kCGImageAlphaFirst, providerRef, NULL, YES, kCGRenderingIntentDefault); CGContextDrawImage(context, CGRectMake(0.0, HEIGHT, WIDTH, HEIGHT), imageRef); CGImageRelease(imageRef); CGColorSpaceRelease(colorSpaceRef); CGDataProviderRelease(providerRef); }

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  • Extension methods for encapsulation and reusability

    - by tzaman
    In C++ programming, it's generally considered good practice to "prefer non-member non-friend functions" instead of instance methods. This has been recommended by Scott Meyers in this classic Dr. Dobbs article, and repeated by Herb Sutter and Andrei Alexandrescu in C++ Coding Standards (item 44); the general argument being that if a function can do its job solely by relying on the public interface exposed by the class, it actually increases encapsulation to have it be external. While this confuses the "packaging" of the class to some extent, the benefits are generally considered worth it. Now, ever since I've started programming in C#, I've had a feeling that here is the ultimate expression of the concept that they're trying to achieve with "non-member, non-friend functions that are part of a class interface". C# adds two crucial components to the mix - the first being interfaces, and the second extension methods: Interfaces allow a class to formally specify their public contract, the methods and properties that they're exposing to the world. Any other class can choose to implement the same interface and fulfill that same contract. Extension methods can be defined on an interface, providing any functionality that can be implemented via the interface to all implementers automatically. And best of all, because of the "instance syntax" sugar and IDE support, they can be called the same way as any other instance method, eliminating the cognitive overhead! So you get the encapsulation benefits of "non-member, non-friend" functions with the convenience of members. Seems like the best of both worlds to me; the .NET library itself providing a shining example in LINQ. However, everywhere I look I see people warning against extension method overuse; even the MSDN page itself states: In general, we recommend that you implement extension methods sparingly and only when you have to. So what's the verdict? Are extension methods the acme of encapsulation and code reuse, or am I just deluding myself?

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  • Refactor throwing not null exception if using a method that has a dependency on a certain contructor

    - by N00b
    In the method below the second constructor accepts a ForumThread object which the IncrementViewCount() method uses. There is a dependency between the method and that particular constructor. Without extracting into a new private method the null check in IncrementViewCount() and LockForumThread() (plus other methods not shown) is there some simpler re-factoring I can do or the implementation of a better design practice for this method to guard against the use of the wrong constructor with these dependent methods? Thank you for any suggestions in advance. private readonly IThread _forumLogic; private readonly ForumThread _ft; public ThreadLogic(IThread forumLogic) : this(forumLogic, null) { } public ThreadLogic(IThread forumLogic, ForumThread ft) { _forumLogic = forumLogic; _ft = ft; } public void Create(ForumThread ft) { _forumLogic.SaveThread(ft); } public void IncrementViewCount() { if (_ft == null) throw new NoNullAllowedException("_ft ForumThread is null; this must be set in the constructor"); lock (_ft) { _ft.ViewCount = _ft.ViewCount + 1; _forumLogic.SaveThread(_ft); } } public void LockForumThread() { if (_ft == null) throw new NoNullAllowedException("_ft ForumThread is null; this must be set in the constructor"); _ft.ThreadLocked = true; _forumLogic.SaveThread(_ft); }

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