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  • How do I use Ruby metaprogramming to refactor this common code?

    - by James Wenton
    I inherited a project with a lot of badly-written Rake tasks that I need to clean up a bit. Because the Rakefiles are enormous and often prone to bizarre nonsensical dependencies, I'm simplifying and isolating things a bit by refactoring everything to classes. Specifically, that pattern is the following: namespace :foobar do desc "Frozz the foobar." task :frozzify do unless Rake.application.lookup('_frozzify') require 'tasks/foobar' Foobar.new.frozzify end Rake.application['_frozzify'].invoke end # Above pattern repeats many times. end # Several namespaces, each with tasks that follow this pattern. In tasks/foobar.rb, I have something that looks like this: class Foobar def frozzify() # The real work happens here. end # ... Other tasks also in the :foobar namespace. end For me, this is great, because it allows me to separate the task dependencies from each other and to move them to another location entirely, and I've been able to drastically simplify things and isolate the dependencies. The Rakefile doesn't hit a require until you actually try to run a task. Previously this was causing serious issues because you couldn't even list the tasks without it blowing up. My problem is that I'm repeating this idiom very frequently. Notice the following patterns: For every namespace :xyz_abc, there is a corresponding class in tasks/... in the file tasks/[namespace].rb, with a class name that looks like XyzAbc. For every task in a particular namespace, there is an identically named method in the associated namespace class. For example, if namespace :foo_bar has a task :apples, you would expect to see def apples() ... inside the FooBar class, which itself is in tasks/foo_bar.rb. Every task :t defines a "meta-task" _t (that is, the task name prefixed with an underscore) which is used to do the actual work. I still want to be able to specify a desc-description for the tasks I define, and that will be different for each task. And, of course, I have a small number of tasks that don't follow the above pattern at all, so I'll be specifying those manually in my Rakefile. I'm sure that this can be refactored in some way so that I don't have to keep repeating the same idiom over and over, but I lack the experience to see how it could be done. Can someone give me an assist?

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  • Dynamically Set Control Adaptor

    - by James
    In ASP.Net is there a way to dynamically set a control adapter? The standard way to apply a contol adapter is via the ".browser" files. However, I have a situation where I would like to use the control adapter in some circumstances, but not in others - and i can not find a way to achieve this. Any help appreciated.

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  • ASP.NET URL Re-writing; Is this possible?

    - by James Evans
    My app is currently written to accept vendor and product information like this. http://www.mydomain.com/foo.aspx?v=1&p=100 could this be re-written like this? http://www.mydomain.com/1/100/foo Since the values in the original query string are database IDs, how would I express newly created IDs as segments of the "path" in the re-written version of the URL? My goal would be to create more of an automated solution that would accomplish this. EDIT: The app is written using ASP.NET webforms, .NET 4.0 and IIS 7

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  • How to structure this Symfony web project?

    - by James William
    I am new to Symfony and am not sure how to best structure my web project. The solution must accommodate 3 use cases: Public access to www.mydomain.com for general use Member only access to member.mydomain.com Administrator access to admin.mydomain.com All three virtual hosts point to the Symfony /web directory Questions: Is this 3 separate applications in my Symfony project (e.g. "frontend", "backend" and "admin" or "public", "member", "admin")? Is this a good approach if there is to be some duplicate code (e.g. generating a member list would be common across all 3 applications, but presented differently)? How would I route to the various applications based on the subdomain when a user accesses *.mydomain.com? Where in Symfony should this routing logic be placed? Or, is this one application with modules for each of the above use cases? EDIT: I do not have access to httpd.conf in apache to specify a default page for virtual hosts. I can only specify a directory for each subdomain using the hostin provider's cPanel.

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  • Getting Http Status code number (200, 301, 404, etc.) from HttpWebRequest and HttpWebResponse

    - by James Lawruk
    I am trying to get the HTTP status code number from the HttpWebResponse object returned from a HttpWebRequest. I was hoping to get the actual numbers (200, 301,302, 404, etc.) rather than the text description. ("Ok", "MovedPermanently", etc.) Is the number buried in a property somewhere in the response object? Any ideas other than creating a big switch function? Thanks. HttpWebRequest webRequest = (HttpWebRequest)WebRequest.Create("http://www.gooogle.com/"); webRequest.AllowAutoRedirect = false; HttpWebResponse response = (HttpWebResponse)webRequest.GetResponse(); //Returns "MovedPermanently", not 301 which is what I want. Console.Write(response.StatusCode.ToString());

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  • Two Objects created with the same Address in Flex

    - by James
    Hi, I have an issue in flex which is causing a bit of a headache! I am adding objects to an ArrayCollection but in doing so, another ArrayCollection is also picking up these changes even though there is no binding occurring. I can see from the debug that the two ACs have the same address but for the life of me can't figure out why. I have two Array Collections: model.index.rows //The main array collection model.index.holdRows //The array collection that imitates the above This phantom data binding occurs only for the first iteration in the loop and for all others it will just write it the once. The reason this is proving troublesome is that it creates duplicate entries in my datagrid. public override function handleMessage(message:IMessage):void { super.handleMessage(message); if (message is IndexResponse) { var response:IndexResponse = message as IndexResponse; model.index.rows.removeAll(); model.index.indexIsEmpty = response.nullIndex; if (model.index.indexIsEmpty !== true) { //Update the index model from the response. Note: each property of the row object will be shown in the UI as a column in the grid response.index.forEach(function(entry:EntryData, i:int, a:Array):void { var row:Object = { fileID: entry.fileID, dadName: entry.dadName }; entry.tags.forEach(function(tag:Tag, i:int, a:Array):void { row[tag.name] = tag.value; }); model.index.rows.addItem(row); }); if(model.index.indexForNetworkView == true){ model.index.holdRows.source = model.index.holdRows.source.concat(model.index.rows.source); model.index.indexCounter++; model.index.indexForNetworkView = false; controller.indexController.showNetwork(model.index.indexCounter); } model.index.rows.refresh(); controller.networkController.show(); } } Has anyone else who has encountered something simillar propose a solution?

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  • Django - raw_id_fields title not refreshing.

    - by James Howell
    Hi, I am currently having an issue when using the raw_id_field within admin.py in my Django project. My site's admin area has a number of image upload fields for various different model pages which are all ForeignKey fields to an Image model where all images for the site are stored. As the site will eventually be dealing with a large quantity of images (100s, maybe 1000s) the default select box would be unusable. I created various admin.ModelAdmin classes e.g class InfoSlideAdmin(admin.ModelAdmin): raw_id_fields=('image',) These change the image selector within my Edit pages from a Select Box to a Raw ID Field. However when I select a different image using this control although the ID of the new image is shown the title from the previous image still displays. Any ideas?

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  • Java BufferedImage increase width

    - by James Moore
    Hello, I have managed to load in an image using: BufferedImage image = ImageIO.read(out); and place text over it however, I want the text to appear next to the image. How can I increase the image width on the right to allow for space for the text to be drawn on. Or do I have to create a new empty image and insert the existing one? Thanks

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  • How do I enforce the order of qmake library dependencies?

    - by James Oltmans
    I'm getting a lot of errors because qmake is improperly ordering the boost libraries I'm using. Here's what .pro file looks like QT += core gui TARGET = MyTarget TEMPLATE = app CONFIG += no_keywords \ link_pkgconfig SOURCES += file1.cpp \ file2.cpp \ file3.cpp PKGCONFIG += my_package \ sqlite3 LIBS += -lsqlite3 \ -lboost_signals \ -lboost_date_time HEADERS += file1.h\ file2.h\ file3.h FORMS += mainwindow.ui RESOURCES += Resources/resources.qrc This produces the following command: g++ -Wl,-O1 -o MyTarget file1.o file2.o file3.o moc_mainwindow.o -L/usr/lib/x86_64-linux-gnu -lboost_signals -lboost_date_time -L/usr/local/lib -lmylib1 -lmylib2 -lsqlite3 -lQtGui -lQtCore Note: mylib1 and mylib2 are statically compiled by another project, placed in /usr/local/lib with an appropriate pkg-config .pc file pointing there. The .pro file references them via my_package in PKGCONFIG. The problem is not with pkg-config's output but with Qt's ordering. Here's the .pc file: prefix=/usr/local exec_prefix=${prefix} libdir=${exec_prefix}/lib includedir=${prefix}/include Name: my_package Description: My component package Version: 0.1 URL: http://example.com Libs: -L${libdir} -lmylib1 -lmylib2 Cflags: -I${includedir}/my_package/ The linking stage fails spectacularly as mylib1 and mylib2 come up with a lot of undefined references to boost libraries that both the app and mylib1 and mylib2 are using. We have another build method using scons and it properly orders things for the linker. It's build command order is below. g++ -o MyTarget file1.o file2.o file3.o moc_mainwindow.o -L/usr/local/lib -lmylib1 -lmylib2 -lsqlite3 -lboost_signals -lboost_date_time -lQtGui -lQtCore Note that the principle difference is the order of the boost libs. Scons puts them at the end just before QtGui and QtCore while qmake puts them first. The other differences in the compile commands are unimportant as I have hand modified the qmake produced make file and the simple reordering fixed the problem. So my question is, how do I enforce the right order in my .pro file despite what qmake thinks they should be?

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  • How to write automated tests for SQL queries?

    - by James
    The current system we are adopting at work is to write some extremely complex queries which perform multiple calculations and have multiple joins / sub-queries. I don't think I am experienced enough to say if this is correct or not so I am agreeing and attempting to function with this system as it has clear benefits. The problem we are having at the moment is that the person writing the queries makes a lot of mistakes and assumes everything is correct. We have now assigned a tester to analyse all of the queries but this still proves extremely time consuming and stressful. I would like to know how we could create an automated procedure (without specifically writing it with code if possible as I can work out how to do that the long way) to verify a set of 10+ different inputs, verify the output data and say if the calculations are correct. I know I could write a script using specific data in the database and create a script using c# (the db is SQL Server) and verify all the values coming out but I would like to know what the official "standard" is as my experience is lacking in this area and I would like to improve. I am happy to add more information if required, add a comment if necessary. Thank you. Edit: I am using c#

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  • JPA: persisting object, parent is ok but child not updated

    - by James.Elsey
    Hello, I have my domain object, Client, I've got a form on my JSP that is pre-populated with its data, I can take in amended values, and persist the object. Client has an abstract entity called MarketResearch, which is then extended by one of three more concrete sub-classes. I have a form to pre-populate some MarketResearch data, but when I make changes and try to persist the Client, it doesn't get saved, can someone give me some pointers on where I've gone wrong? My 3 domain classes are as follows (removed accessors etc) public class Client extends NamedEntity { @OneToOne @JoinColumn(name = "MARKET_RESEARCH_ID") private MarketResearch marketResearch; ... } @Inheritance(strategy = InheritanceType.JOINED) public abstract class MarketResearch extends AbstractEntity { ... } @Entity(name="MARKETRESEARCHLG") public class MarketResearchLocalGovernment extends MarketResearch { @Column(name = "CURRENT_HR_SYSTEM") private String currentHRSystem; ... } This is how I'm persisting public void persistClient(Client client) { if (client.getId() != null) { getJpaTemplate().merge(client); getJpaTemplate().flush(); } else { getJpaTemplate().persist(client); } } To summarize, if I change something on the parent object, it persists, but if I change something on the child object it doesn't. Have I missed something blatantly obvious? Thanks

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  • How Should I Generate Trade Statistics For CouchDB/Rails3 Application?

    - by James
    My Problem: I am trying to developing a web application for currency traders. The application allows traders to enter or upload information about their trades and I want to calculate a wide variety of statistics based on what the user entered. Now, normally I would use a relational database for this, but I have two requirements that don't fit well with a relational database so I am attempting to use couchdb. Those two problems are: 1) Primarily, I have a companion desktop application that users will be able to work with and replicate to the site using couchdb's awesome replication feature and 2) I would like to allow users to be able to define their own custom things to track about trades and generate results based off of what they enter. The schema less nature of couch seems perfect here, but it may end up being harder than it sounds. (I already know couch requires you to define views in advance and such so I was just planning on sticking all the custom attributes in an array and then emitting the array in the view and further processing from there.) What I Am Doing: Right now I am just emitting each trade in couch keyed by each user's system and querying with the key of the system to get an array of trades per system. Simple. I am not using a reduce function currently to calculate any stats because I couldn't figure out how to get everything I need without getting a reduce overflow error. Here is an example of rows that are getting emitted from couch: {"total_rows":134,"offset":0,"rows":[ {"id":"5b1dcd47221e160d8721feee4ccc64be", "key":["80e40ba2fa43589d57ec3f1d19db41e6","2010/05/14 04:32:37 +0000"], null, "doc":{ "_id":"5b1dcd47221e160d8721feee4ccc64be", "_rev":"1-bc9fe763e2637694df47d6f5efb58e5b", "couchrest-type":"Trade", "system":"80e40ba2fa43589d57ec3f1d19db41e6", "pair":"EUR/USD", "direction":"Buy", "entry":12600, "exit":12700, "stop_loss":12500, "profit_target":12700, "status":"Closed", "slug":"101332132375", "custom_tracking": [{"name":"signal", "value":"Pin Bar"}] "updated_at":"2010/05/14 04:32:37 +0000", "created_at":"2010/05/14 04:32:37 +0000", "result":100}} ]} In my rails 3 controller I am basically just populating an array of trades such as the one above and then extracting out the relevant data into smaller arrays that I can compute my statistics on. Here is my show action for the page that I want to display the stats and all the trades: def show @trades = Trade.by_system(:startkey => [@system.id], :endkey => [@system.id, Time.now ]) @trades.each do |trade| if trade.result > 0 @winning_trades << trade.result elsif trade.result < 0 @losing_trades << trade.result else @breakeven_trades << trade.result end if trade.direction == "Buy" @long_trades << trade.result else @short_trades << trade.result end if trade["custom_tracking"] != nil @custom_tracking << {"result" => trade.result, "variables" => trade["custom_tracking"]} end end end I am omitting some other stuff that is going on, but that is the gist of what I am doing. Then I am calculating stuff in the view layer to produce some results: <% winning_long_trades = @long_trades.reject {|trade| trade <= 0 } %> <% winning_short_trades = @short_trades.reject {|trade| trade <= 0 } %> <ul> <li>Total Trades: <%= @trades.count %></li> <li>Winners: <%= @winning_trades.size %></li> <li>Biggest Winner (Pips): <%= @winning_trades.max %></li> <li>Average Win(Pips): <%= @winning_trades.sum/@winning_trades.size %></li> <li>Losers: <%= @losing_trades.size %></li> <li>Biggest Loser (Pips): <%= @losing_trades.min %></li> <li>Average Loss(Pips): <%= @losing_trades.sum/@losing_trades.size %></li> <li>Breakeven Trades: <%= @breakeven_trades.size %></li> <li>Long Trades: <%= @long_trades.size %></li> <li>Winning Long Trades: <%= winning_long_trades.size %></li> <li>Short Trades: <%= @short_trades.size %></li> <li>Winning Short Trades: <%= winning_short_trades.size %></li> <li>Total Pips: <%= @winning_trades.sum + @losing_trades.sum %></li> <li>Win Rate (%): <%= @winning_trades.size/@trades.count.to_f * 100 %></li> </ul> This produces the following results, which aside from a few things is exactly what I want: Total Trades: 134 Winners: 70 Biggest Winner (Pips): 1488 Average Win(Pips): 440 Losers: 58 Biggest Loser (Pips): -516 Average Loss(Pips): -225 Breakeven Trades: 6 Long Trades: 125 Winning Long Trades: 67 Short Trades: 9 Winning Short Trades: 3 Total Pips: 17819 Win Rate (%): 52.23880597014925 What I Am Wondering- Finally The Actual Questions: I am starting to get really skeptical of how well this method will work when a user has 5,000 trades instead of just 134 like in this example. I anticipate most users will only have somewhere under 200 per year, but some users may have a couple thousand trades per year. Probably no more than 5,000 per year. It seems to work ok now, but the page load times are already getting a tad high for my tastes. (About 800ms to generate the page according to rails logs with about a 250ms of that spent in the view layer.) I will end up caching this page I am sure, but I still need the regenerate the page each time a trade is updated and I can't afford to have this be too slow. Sooo..... Is doing something similar here possible with a straight couchdb reduce function? I am assuming handing this off to couch would possibly help with larger data sets. I couldn't figure out how, but I suppose that doesn't mean it isn't possible. If possible, any hints will be helpful. Could I use a list function if a reduce was not available due to reduce constraints? Are couchdb list functions suitable for this type of calculations? Anyone have any idea of whether or not list functions perform well? Any hints what one would look like for the type of calculations I am trying to achieve? I thought about other options such as running the calculations at the time each trade was saved or nightly if I had to and saving the results to a statistics doc that I could then query so that all the processing was done ahead of time. I would like this to be the last resort because then I can't really filter out trades by time periods dynamically like I would really like to. (I want to have a slider that a user can slide to only show trades from that time period using the startkey and endkey in couchdb if I can.) If I should continue running the calculations inside the rails app at the time of the page view, what can I do to improve my current implementation. I am new to rails, couch and programming in general. I am sure that I could be doing something better here. Do I need to create an array for each stat or is there a better way to do that. I guess I just would really like some advice on how to tackle this problem. I want to keep the page generation time minimal since I anticipate these being some of the highest trafficked pages. My gut is that I will need to offload the statistics calculation to either couch or run the stats in advance of when they are called, but I am not sure. Lastly: Like I mentioned above, one of the primary reasons for using couch is to allow users to define their own things to track per trade. Getting the data into couch is no problem, but how would I be able to take the custom_tracking array and find how many winning trades for each named tracking attribute. If anyone can give me any hints to the possibility of doing this that would be great. Thanks a bunch. Would really appreciate any help. Willing to fork out some $$$ if someone wants to take on the problem for me. (Don't know if that is allowed on stack overflow or not.)

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  • Validation Control

    - by James
    I placed some validation controls on my grid view template. The only problem is that it is taking a lot of space vertically. Is there a property to set to solve this problem?

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  • Multiple resultsets from Oracle in Odp.net,without refcursors

    - by James L
    SQL Server is able to return the results of multiple queries in a single round-trip, e.g: select a, b, c from y; select d, e, f from z; Oracle doesn't like this syntax. It is possible to use reference cursors, like this: begin open :1 for select count(*) from a; open :2 for select count(*) from b; end; However, you incur a penalty in opening/closing cursors and you can hold database locks for an extended period. What I'd like to do is retrieve the results for these two queries in one shot, using Odp.net. Is it possible?

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  • How can I make the output from tapply() into a data.frame

    - by James Thompson
    I have a data.frame in R that looks like this: score rms template aln_id description 1 -261.410 4.951 2f22A.pdb 2F22A_1 S_00001_0000002_0 2 -231.987 21.813 1wb9A.pdb 1WB9A_4 S_00002_0000002_0 3 -263.722 4.903 2f22A.pdb 2F22A_3 S_00003_0000002_0 4 -269.681 17.732 1wbbA.pdb 1WBBA_6 S_00004_0000002_0 5 -258.621 19.098 1rxqA.pdb 1RXQA_3 S_00005_0000002_0 6 -246.805 6.889 1rxqA.pdb 1RXQA_15 S_00006_0000002_0 7 -281.300 16.262 1wbdA.pdb 1WBDA_11 S_00007_0000002_0 8 -271.666 4.193 2f22A.pdb 2F22A_2 S_00008_0000002_0 9 -277.964 13.066 1wb9A.pdb 1WB9A_5 S_00009_0000002_0 10 -261.024 17.153 1yy9A.pdb 1YY9A_2 S_00001_0000003_0 I can calculate summary statistics on the data.frame like this: > tapply( d$score, d$template, mean ) 1rxqA.pdb 1wb9A.pdb 1wbbA.pdb 1wbdA.pdb 1yy9A.pdb 2f22A.pdb -252.7130 -254.9755 -269.6810 -281.3000 -261.0240 -265.5993 Is there an easy way that I coerce this output back into a data.frame? I'd like for it to have these two columns: d$template mean I love tapply, but right now I'm cutting and pasting the results from tapply into a text file and hacking it up a bit to get the summary statistics that I want with appropriate names. This feels very wrong, and I'd like to do something better!

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  • sqlite3.OperationalError: database is locked - non-threaded application

    - by James C
    Hi, I have a Python application which throws the standard sqlite3.OperationalError: database is locked error. I have looked around the internet and could not find any solution which worked (please note that there is no multiprocesses/threading going on, and as you can see I have tried raising the timeout parameter). The sqlite file is stored on the local hard drive. The following function is one of many which accesses the sqlite database, and runs fine the first time it is called, but throws the above error the second time it is called (it is called as part of a for loop in another function): def update_index(filepath): path = get_setting('Local', 'web') stat = os.stat(filepath) modified = stat.st_mtime index_file = get_setting('Local', 'index') connection = sqlite3.connect(index_file, 30) cursor = connection.cursor() head, tail = os.path.split(filepath) cursor.execute('UPDATE hwlive SET date=? WHERE path=? AND name=?;', (modified, head, tail)) connection.commit() connection.close() Many thanks.

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  • How do I Convert ARGB value from string to colour?

    - by James
    I am trying to use the MakeColor method in the GDIPAPI unit but the conversion from int to byte is not returning me the correct value. Example var argbStr: string; A, R, G, B: Byte; begin argbStr := 'ffffcc88'; A := StrToInt('$' + Copy(AValue, 1, 2)); R := StrToInt('$' + Copy(AValue, 3, 2)); G := StrToInt('$' + Copy(AValue, 5, 2)); B := StrToInt('$' + Copy(AValue, 7, 2)); Result := MakeColor(A, R, G, B); end; What am I doing wrong?

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  • Concatenate text files with Windows command line, dropping leading lines

    - by James
    I need to concatenate some relatively large text files, and would prefer to do this via the command line. Unfortunately I only have Windows, and cannot install new software. type file1.txt file2.txt > out.txt allows me to almost get what I want, but I don't want the 1st line of file2.txt to be included in out.txt. I have noticed that more has the +n option to specify a starting line, but I haven't managed to combine these to get the result I want. I'm aware that this may not be possible in Windows, and I can always edit out.txt by hand to get rid of the line, but is there a simple way of doing it from the command line?

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  • OOP design for DMS that allows searching and grouping

    - by James P.
    I'd like to make a searchable Document Management System and allow a user to group documents together. On one hand, there would be a functionality that registers/fingerprints in a linear fashion and, on the other, one that associates documents into groups. How could I compromise between the two in terms of object design?

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