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  • How do I convert an AMD module from a singleton to an instance?

    - by Jamie Ide
    I'm trying to convert a working Durandal view model module from a singleton to an instance. The original working version followed this pattern: define(['knockout'], function(ko) { var vm = { activate: activate, companyId: null; company: ko.observable({}) }; return vm; function activate(companyId) { vm.companyId = companyId; //get company data then vm.company(data); } } The new version exports a function so that I get a new instance on every request... define(['knockout'], function(ko) { var vm = function() { activate = activate; companyId = null; company = ko.observable({}); }; return vm; function activate(companyId) { vm.companyId = companyId; //get company data then vm.company(data); } } The error I'm getting is "object function () [...function signature...] has no method company on the line vm.company(data);. What am I doing wrong? Why can I set the property but can't access the knockout observable? How should I refactor the original code so that I get a new instance on every request? My efforts to simplify the code for this question hid the actual problem. My real code was using Q promises and calling two methods with Q.All. Since Q is in the global namespace, it couldn't resolve my viewmodel after converting to a function. Passing the view model to the methods called by Q resolved the problem.

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  • Getting a handle on GIS math, where do I start?

    - by Joshua
    I am in charge of a program that is used to create a set of nodes and paths for consumption by an autonomous ground vehicle. The program keeps track of the locations of all items in its map by indicating the item's position as being x meters north and y meters east of an origin point of 0,0. In the real world, the vehicle knows the location of the origin's lat and long, as it is determined by a dgps system and is accurate down to a couple centimeters. My program is ignorant of any lat long coordinates. It is one of my goals to modify the program to keep track of lat long coords of items in addition to an origin point and items' x,y position in relation to that origin. At first blush, it seems that I am going to modify the program to allow the lat long coords of the origin to be passed in, and after that I desire that the program will automatically calculate the lat long of every item currently in a map. From what I've researched so far, I believe that I will need to figure out the math behind converting to lat long coords from a UTM like projection where I specify the origin points and meridians etc as opposed to whatever is defined already for UTM. I've come to ask of you GIS programmers, am I on the right track? It seems to me like there is so much to wrap ones head around, and I'm not sure if the answer isn't something as simple as, "oh yea theres a conversion from meters to lat long, here" Currently, due to the nature of DGPS, the system really doesn't need to care about locations more than oh, what... 40 km? radius away from the origin. Given this, and the fact that I need to make sure that the error on my coordinates is not greater than .5 meters, do I need anything more complex than a simple lat/long to meters conversion constant? I'm knee deep in materials here. I could use some pointers about what concepts to research. Thanks much!

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  • How to access elements in a complex list?

    - by Martin
    Hi, it's me and the lists again. I have a nice list, which looks like this: tmp = NULL t = NULL tmp$resultitem$count = "1057230" tmp$resultitem$status = "Ok" tmp$resultitem$menu = "PubMed" tmp$resultitem$dbname = "pubmed" t$resultitem$count = "305215" t$resultitem$status = "Ok" t$resultitem$menu = "PMC" t$resultitem$dbname = "pmc" tmp = c(tmp, t) t = NULL t$resultitem$count = "1" t$resultitem$status = "Ok" t$resultitem$menu = "Journals" t$resultitem$dbname = "journals" tmp = c(tmp, t) Which produces: str(tmp) List of 3 $ resultitem:List of 4 ..$ count : chr "1057230" ..$ status: chr "Ok" ..$ menu : chr "PubMed" ..$ dbname: chr "pubmed" $ resultitem:List of 4 ..$ count : chr "305215" ..$ status: chr "Ok" ..$ menu : chr "PMC" ..$ dbname: chr "pmc" $ resultitem:List of 4 ..$ count : chr "1" ..$ status: chr "Ok" ..$ menu : chr "Journals" ..$ dbname: chr "journals" Now I want to search through the elements of each "resultitem". I want to know the "dbname" for every database, that has less then 10 "count" (example). In this case it is very easy, as this list only has 3 elements, but the real list is a little bit longer. This could be simply done with a for loop. But is there a way to do this with some other function of R (like rapply)? My problem with those apply functions is, that they only look at one element. If I do a grep to get all "dbname" elements, I can not get the count of each element. rapply(tmp, function(x) paste("Content: ", x))[grep("dbname", names(rapply(tmp, c)))] Does someone has a better idea than a for loop? Thanx, Martin

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  • How to calculate the height of the text rectangle from an NSString?

    - by mystify
    I know there is this one: sizeWithFont:minFontSize:actualFontSize:forWidth:lineBreakMode: But since the CGSize always has the same height and doesn't adjust to any shrinked text or whatsoever, the CGSize is not telling how heigh the text is. Example: Make a UILabel with 320 x 55 points and put a loooooooooooooong text in there. Let the label shrink the text down. Surprise: CGSize.height remains the same height even if the text is so tiny that you need a microscope. Ok so after banging my head against my macbook pro which is half way broken now, the only think that can help is that nasty actualFontSize. But the font size is in pica I think, it's not really what you get on the screen, isn't it? When that font size is 10, is my text really 10 points heigh at maximum? Once in a while I tried exactly that, and as soon as the text had a y or some character that extends to below (like that tail of an y does), it is out of bounds and the whole text is bigger than 10 points. So how would you calculate the real text height for a single line uilabel without getting a long beard and some hospital experience?

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  • Trying to work with a multi-value array in LotusScript and sort of stuck

    - by rrumaner
    I have to find a way to store a series of variables - MonthYear (the key) and a counter. The purpose of this is to track the number of documents processed by Month & Year. I was thinking of a list but I am not sure how to save the data so that it is readable and able to be shown in a table at a later date. I thought about using a multi-dimensional array - someArray(1,0 to 1) and ReDim'ing it each time I start a new MonthYear and then save it back to a field on the document but am not sure how that is going to play out. Does anyone have an idea of how I can accomplish this? The first dimension will be the MonthYear (key) and the second will be a counter that is updated every time a new document is processed. The key will be based on a field on the document being processed. How can I make sure I am updating the right key/counter combination? How can I retrieve the existing counter from the field on the document, update the counter and then replace the value? I thought about just adding a new element (ReDim) every time a document is processed and than somehow adding up all the counters for each key and storing that in an array, but that just seems real messy. There has to be a good way to do this. Any and all ideas will be greatly appreciated

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  • SQL Server Long Query

    - by thormj
    Ok... I don't understand why this query is taking so long (MSSQL Server 2005): [Typical output 3K rows, 5.5 minute execution time] SELECT dbo.Point.PointDriverID, dbo.Point.AssetID, dbo.Point.PointID, dbo.Point.PointTypeID, dbo.Point.PointName, dbo.Point.ForeignID, dbo.Pointtype.TrendInterval, coalesce(dbo.Point.trendpts,5) AS TrendPts, LastTimeStamp = PointDTTM, LastValue=PointValue, Timezone FROM dbo.Point LEFT JOIN dbo.PointType ON dbo.PointType.PointTypeID = dbo.Point.PointTypeID LEFT JOIN dbo.PointData ON dbo.Point.PointID = dbo.PointData.PointID AND PointDTTM = (SELECT Max(PointDTTM) FROM dbo.PointData WHERE PointData.PointID = Point.PointID) LEFT JOIN dbo.SiteAsset ON dbo.SiteAsset.AssetID = dbo.Point.AssetID LEFT JOIN dbo.Site ON dbo.Site.SiteID = dbo.SiteAsset.SiteID WHERE onlinetrended =1 and WantTrend=1 PointData is the biggun, but I thought its definition should allow me to pick up what I want easily enough: CREATE TABLE [dbo].[PointData]( [PointID] [int] NOT NULL, [PointDTTM] [datetime] NOT NULL, [PointValue] [real] NULL, [DataQuality] [tinyint] NULL, CONSTRAINT [PK_PointData_1] PRIMARY KEY CLUSTERED ( [PointID] ASC, [PointDTTM] ASC ) WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] GO CREATE NONCLUSTERED INDEX [IX_PointDataDesc] ON [dbo].[PointData] ( [PointID] ASC, [PointDTTM] DESC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, SORT_IN_TEMPDB = OFF, IGNORE_DUP_KEY = OFF, DROP_EXISTING = OFF, ONLINE = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] GO PointData is 550M rows, and Point (source of PointID) is only 28K rows. I tried making an Indexed View, but I can't figure out how to get the Last Timestamp/Value out of it in a compatible way (no Max, no subquery, no CTE). This runs twice an hour, and after it runs I put more data into those 3K PointID's that I selected. I thought about creating LastTime/LastValue tables directly into Point, but that seems like the wrong approach. Am I missing something, or should I rebuild something? (I'm also the DBA, but I know very little about A'ing a DB!)

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  • What makes people think that NNs have more computational power than existing models?

    - by Bubba88
    I've read in Wikipedia that neural-network functions defined on a field of arbitrary real/rational numbers (along with algorithmic schemas, and the speculative `transrecursive' models) have more computational power than the computers we use today. Of course it was a page of russian wikipedia (ru.wikipedia.org) and that may be not properly proven, but that's not the only source of such.. rumors Now, the thing that I really do not understand is: How can a string-rewriting machine (NNs are exactly string-rewriting machines just as Turing machines are; only programming language is different) be more powerful than a universally capable U-machine? Yes, the descriptive instrument is really different, but the fact is that any function of such class can be (easily or not) turned to be a legal Turing-machine. Am I wrong? Do I miss something important? What is the cause of people saying that? I do know that the fenomenum of undecidability is widely accepted today (though not consistently proven according to what I've read), but I do not really see a smallest chance of NNs being able to solve that particular problem. Add-in: Not consistently proven according to what I've read - I meant that you might want to take a look at A. Zenkin's (russian mathematician) papers after mid-90-s where he persuasively postulates the wrongness of G. Cantor's concepts, including transfinite sets, uncountable sets, diagonalization method (method used in the proof of undecidability by Turing) and maybe others. Even Goedel's incompletness theorems were proven in right way in only 21-st century.. That's all just to plug Zenkin's work to the post cause I don't know how widespread that knowledge is in CS community so forgive me if that did look stupid. Thank you!

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  • Detecting an online poker cheat

    - by Tom Gullen
    It recently emerged on a large poker site that some players were possibly able to see all opponents cards as they played through exploiting a security vulnerability that was discovered. A naïve cheater would win at an incredibly fast rate, and these cheats are caught very quickly usually, and if not caught quickly they are easy to detect through a quick scan through their hand histories. The more difficult problem occurs when the cheater exhibits intelligence, bluffing in spots they are bound to be called in, calling river bets with the worst hands, the basic premise is that they lose pots on purpose to disguise their ability to see other players cards, and they win at a reasonably realistic rate. Given: A data set of millions of verified and complete information hand histories Theoretical unlimited computer power Assume the game No Limit Hold'em, although suggestions on Omaha or limit poker may be beneficial How could we reasonably accurately classify these cheaters? The original 2+2 thread appeals for ideas, and I thought that the SO community might have some useful suggestions. It's an interesting problem also because it is current, and has real application in bettering the world if someone finds a creative solution, as there is a good chance genuine players will have funds refunded to them when identified cheaters are discovered.

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  • Why do I get empty request from the Jakarta Commons HttpClient?

    - by polyurethan
    I have a problem with the Jakarta Commons HttpClient. Before my self-written HttpServer gets the real request there is one request which is completely empty. That's the first problem. The second problem is, sometimes the request data ends after the third or fourth line of the http request: POST / HTTP/1.1 User-Agent: Jakarta Commons-HttpClient/3.1 Host: 127.0.0.1:4232 For debugging I am using the Axis TCPMonitor. There every things is fine but the empty request. How I process the stream: StringBuffer requestBuffer = new StringBuffer(); InputStreamReader is = new InputStreamReader(socket.getInputStream(), "UTF-8"); int byteIn = -1; do { byteIn = is.read(); if (byteIn > 0) { requestBuffer.append((char) byteIn); } } while (byteIn != -1 && is.ready()); String requestData = requestBuffer.toString(); How I send the request: client.getParams().setSoTimeout(30000); method = new PostMethod(url.getPath()); method.getParams().setContentCharset("utf-8"); method.setRequestHeader("Content-Type", "application/xml; charset=utf-8"); method.addRequestHeader("Connection", "close"); method.setFollowRedirects(false); byte[] requestXml = getRequestXml(); method.setRequestEntity(new InputStreamRequestEntity(new ByteArrayInputStream(requestXml))); client.executeMethod(method); int statusCode = method.getStatusCode(); Have anyone of you an idea how to solve these problems? Alex

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  • Is Stream.Write thread-safe?

    - by Mike Spross
    I'm working on a client/server library for a legacy RPC implementation and was running into issues where the client would sometimes hang when waiting to a receive a response message to an RPC request message. It turns out the real problem was in my message framing code (I wasn't handling message boundaries correctly when reading data off the underlying NetworkStream), but it also made me suspicious of the code I was using to send data across the network, specifically in the case where the RPC server sends a large amount of data to a client as the result of a client RPC request. My send code uses a BinaryWriter to write a complete "message" to the underlying NetworkStream. The RPC protocol also implements a heartbeat algorithm, where the RPC server sends out PING messages every 15 seconds. The pings are sent out by a separate thread, so, at least in theory, a ping can be sent while the server is in the middle of streaming a large response back to a client. Suppose I have a Send method as follows, where stream is a NetworkStream: public void Send(Message message) { //Write the message to a temporary stream so we can send it all-at-once MemoryStream tempStream = new MemoryStream(); message.WriteToStream(tempStream); //Write the serialized message to the stream. //The BinaryWriter is a little redundant in this //simplified example, but here because //the production code uses it. byte[] data = tempStream.ToArray(); BinaryWriter bw = new BinaryWriter(stream); bw.Write(data, 0, data.Length); bw.Flush(); } So the question I have is, is the call to bw.Write (and by implication the call to the underlying Stream's Write method) atomic? That is, if a lengthy Write is still in progress on the sending thread, and the heartbeat thread kicks in and sends a PING message, will that thread block until the original Write call finishes, or do I have to add explicit synchronization to the Send method to prevent the two Send calls from clobbering the stream?

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  • Determine if the current thread has low I/O priority

    - by Magnus Hoff
    I have a background thread that does some I/O-intensive background type work. To please the other threads and processes running, I set the thread priority to "background mode" using SetThreadPriority, like this: SetThreadPriority(GetCurrentThread(), THREAD_MODE_BACKGROUND_BEGIN); However, THREAD_MODE_BACKGROUND_BEGIN is only available in Windows Server 2008 or newer, as well as Windows Vista and newer, but the program needs to work well on Windows Server 2003 and XP as well. So the real code is more like this: if (!SetThreadPriority(GetCurrentThread(), THREAD_MODE_BACKGROUND_BEGIN)) { SetThreadPriority(GetCurrentThread(), THREAD_PRIORITY_LOWEST); } The problem with this is that on Windows XP it will totally disrupt the system by using too much I/O. I have a plan for a ugly and shameful way of mitigating this problem, but that depends on me being able to determine if the current thread has low I/O priority or not. Now, I know I can store which thread priority I ended up setting, but the control flow in the program is not really well suited for this. I would rather like to be able to test later whether or not the current thread has low I/O priority -- if it is in "background mode". GetThreadPriority does not seem to give me this information. Is there any way to determine if the current thread has low I/O priority?

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  • Natural problems to solve using closures

    - by m.u.sheikh
    I have read quite a few articles on closures, and, embarassingly enough, I still don't understand this concept! Articles explain how to create a closure with a few examples, but I don't see any point in paying much attention to them, as they largely look contrived examples. I am not saying all of them are contrived, just that the ones I found looked contrived, and I dint see how even after understanding them, I will be able to use them. So in order to understand closures, I am looking at a few real problems, that can be solved very naturally using closures. For instance, a natural way to explain recursion to a person could be to explain the computation of n!. It is very natural to understand a problem like computing the factorial of a number using recursion. Similarly, it is almost a no-brainer to find an element in an unsorted array by reading each element, and comparing with the number in question. Also, at a different level, doing Object-oriented programming also makes sense. So I am trying to find a number of problems that could be solved with or without closures, but using closures makes thinking about them and solving them easier. Also, there are two types to closures, where each call to a closure can create a copy of the environment variables, or reference the same variables. So what sort of problems can be solved more naturally in which of the closure implementations?

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  • Rack, FastCGI, Lighttpd configuration

    - by zacsek
    Hi! I want to run a simple application using Rack, FastCGI and Lighttpd, but I cannot get it working. I get the following error: /usr/lib/ruby/1.8/rack/handler/fastcgi.rb:23:in `initialize': Address already in use - bind(2) (Errno::EADDRINUSE) from /usr/lib/ruby/1.8/rack/handler/fastcgi.rb:23:in `new' from /usr/lib/ruby/1.8/rack/handler/fastcgi.rb:23:in `run' from /www/test.rb:7 Here is the application: #!/usr/bin/ruby app = Proc.new do |env| [200, {'Content-Type' => 'text/plain'}, "Hello World!"] end require 'rack' Rack::Handler::FastCGI.run app, :Port => 4000 ... and the lighttpd.conf: server.modules += ( "mod_access", "mod_accesslog", "mod_fastcgi" ) server.port = 80 server.document-root = "/www" mimetype.assign = ( ".html" => "text/html", ".txt" => "text/plain", ".jpg" => "image/jpeg", ".png" => "image/png" ) index-file.names = ( "test.rb" ) fastcgi.debug = 1 fastcgi.server = ( ".rb" => (( "host" => "127.0.0.1", "port" => 4000, "bin-path" => "/www/test.rb", "check-local" => "disable", "max-procs" => 1 )) ) Can someone help me? What am I doing wrong?

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  • ActiveRecord/sqlite3 column type lost in table view?

    - by duncan
    I have the following ActiveRecord testcase that mimics my problem. I have a People table with one attribute being a date. I create a view over that table adding one column which is just that date plus 20 minutes: #!/usr/bin/env ruby %w|pp rubygems active_record irb active_support date|.each {|lib| require lib} ActiveRecord::Base.establish_connection( :adapter => "sqlite3", :database => "test.db" ) ActiveRecord::Schema.define do create_table :people, :force => true do |t| t.column :name, :string t.column :born_at, :datetime end execute "create view clowns as select p.name, p.born_at, datetime(p.born_at, '+' || '20' || ' minutes') as twenty_after_born_at from people p;" end class Person < ActiveRecord::Base validates_presence_of :name end class Clown < ActiveRecord::Base end Person.create(:name => "John", :born_at => DateTime.now) pp Person.all.first.born_at.class pp Clown.all.first.born_at.class pp Clown.all.first.twenty_after_born_at.class The problem is, the output is Time Time String When I expect the new datetime attribute of the view to be also a Time or DateTime in the ruby world. Any ideas? I also tried: create view clowns as select p.name, p.born_at, CAST(datetime(p.born_at, '+' || '20' || ' minutes') as datetime) as twenty_after_born_at from people p; With the same result.

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  • How accurately (in terms of time) does Windows play audio?

    - by MusiGenesis
    Let's say I play a stereo WAV file with 317,520,000 samples, which is theoretically 1 hour long. Assuming no interruptions of the playback, will the file finish playing in exactly one hour, or is there some occasional tiny variation in the playback speed such that it would be slightly more or slightly less (by some number of milliseconds) than one hour? I am trying to synchronize animation with audio, and I am using a System.Diagnostics.Stopwatch to keep the frames matching the audio. But if the playback speed of WAV audio in Windows can vary slightly over time, then the audio will drift out of sync with the Stopwatch-driven animation. Which leads to a second question: it appears that a Stopwatch - while highly granular and accurate for short durations - runs slightly fast. On my laptop, a Stopwatch run for exactly 24 hours (as measured by the computer's system time and a real stopwatch) shows an elapsed time of 24 hours plus about 5 seconds (not milliseconds). Is this a known problem with Stopwatch? (A related question would be "am I crazy?", but you can try it for yourself.) Given its usage as a diagnostics tool, I can see where a discrepancy like this would only show up when measuring long durations, for which most people would use something other than a Stopwatch. If I'm really lucky, then both Stopwatch and audio playback are driven by the same underlying mechanism, and thus will stay in sync with each other for days on end. Any chance this is true?

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  • How can a link within a WebView load another layout using javascript?

    - by huffmaster
    So I have 2 layout files (main.xml, featured.xml) and both each have a single WebView. When the application starts "main.xml" loads a html file into it's WebView. In this html file I have a link that calls javascript that runs code in the Activity that loaded the html. Once back in this Activity code though I try running setContentView(R.layout.featured) but it just bombs out on me. If I debug it just dies without any real error and if I run it the application just Force closes. Am I going about this correctly or should I be doing something differently? final private int MAIN = 1; final private int FEATURED = 2; /** Called when the activity is first created. */ @Override public void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); setContentView(R.layout.main); webview = (WebView) findViewById(R.id.wvMain); webview.getSettings().setJavaScriptEnabled(true); webview.getSettings().setSupportZoom(false); webview.addJavascriptInterface(new EHJavaScriptInterface(), "eh"); webview.loadUrl("file:///android_asset/default.html"); } final class EHJavaScriptInterface { EHJavaScriptInterface() { } public void loadLayout(final String lo) { int i = Integer.parseInt(lo.trim()); switch (i) { /****** THIS IS WHERE I'M BOMBING OUT *********/ case FEATURED: setContentView(R.layout.featured);break; case MAIN: setContentView(R.layout.main);break; } } }

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  • jQuery Checkbox Error

    - by Zack Fernandes
    Hello, I am working on a jQuery-based todo list interface, and have hit a bit of a wall. The jQuery I am working with is a bit hacked together from various tutorials I have read, as I'm a bit of a beginner. $('#todo input:checkbox').click(function(){ var id = this.attr("value"); if(!$(this).is(":checked")) { alert("Starting."); $.ajax({ type: "GET", url: "/todos/check/"+id, success: function(){ alert("It worked.") } }); } }) This is the HTML I am using, <div id="todo"> <input type="checkbox" checked="yes" value="1"> Hello, world. <br /> </div> Any help on this would be greatly appreciated. For reference, thereason I have alerts in the jQuery is for debugging. The reason I can tell the code isn't working is because I am not getting these alerts. Thanks.

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  • Javascript JQUERY AJAX: When Are These Implemented

    - by Michael Moreno
    I'm learning javascript. Poked around this excellent site to gather intel. Keep coming across questions / answers about javascript, JQUERY, JQUERY with AJAX, javascript with JQUERY, AJAX alone. My conclusion: these are all individually powerful and useful. My confusion: how does one determine which/which combination to use ? I've concluded that javascript is readily available on most browsers. For example, I can extend a simple HTML page with <html> <body> <script type="text/javascript"> document.write("Hello World!"); </script> </body> </html> However, within the scope of Python/DJANGO, many of these questions are JQUERY and AJAX related. At which point or under what development circumstances would I conclude that javascript alone isn't going to "cut it", and I need to implement JQUERY and/or AJAX and/or some other permutation ?

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  • Event feed implementation - will it scale?

    - by SlappyTheFish
    Situation: I am currently designing a feed system for a social website whereby each user has a feed of their friends' activities. I have two possible methods how to generate the feeds and I would like to ask which is best in terms of ability to scale. Events from all users are collected in one central database table, event_log. Users are paired as friends in the table friends. The RDBMS we are using is MySQL. Standard method: When a user requests their feed page, the system generates the feed by inner joining event_log with friends. The result is then cached and set to timeout after 5 minutes. Scaling is achieved by varying this timeout. Hypothesised method: A task runs in the background and for each new, unprocessed item in event_log, it creates entries in the database table user_feed pairing that event with all of the users who are friends with the user who initiated the event. One table row pairs one event with one user. The problems with the standard method are well known – what if a lot of people's caches expire at the same time? The solution also does not scale well – the brief is for feeds to update as close to real-time as possible The hypothesised solution in my eyes seems much better; all processing is done offline so no user waits for a page to generate and there are no joins so database tables can be sharded across physical machines. However, if a user has 100,000 friends and creates 20 events in one session, then that results in inserting 2,000,000 rows into the database. Question: The question boils down to two points: Is this worst-case scenario mentioned above problematic, i.e. does table size have an impact on MySQL performance and are there any issues with this mass inserting of data for each event? Is there anything else I have missed?

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  • How To Go About Updating Old C Code

    - by Ben313
    Hello: I have been working on some 10 year old C code at my job this week, and after implementing a few changes, I went to the boss and asked if he needed anything else done. Thats when he dropped the bomb. My next task was to go through the 7000 or so lines and understand more of the code, AND, to modularize the code somewhat. I asked him how he would like the source code modularized, and he said to start putting the old C code into c++ classes. Being a good worker, I nodded my head yes, and went back to my desk, where I sit now, wondering how in the world to take this code, and "modularize" it. Its already in 20 source files, each with its own purpose and function. in addition, there are three "main" structs. each of these stuctures has 30 plus fields, many of them being other, smaller sturcts. Its a complete mess to try to understand, but almost every single function in the program is passed a pointer to one of the structs, and uses the struct heavily. Is there any clean way for me to shoehorn this into classes? I am resolved to do it if it can be done, I just have no idea how to begin.

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  • How should developers cope with so many GUI configuration combinations?

    - by shawn-harrison
    These days, any decent Windows desktop application must perform well and look good under the following conditions: XP and Vista and Windows 7. 32 bit and 64 bit. With and without Themes. With and without Aero. At 96 and 120 and perhaps custom DPIs. One or more monitors (screens). Each OS has its own preferred font. Oh my! What is a lowly little Windows desktop application developer to do? :( I'm hoping to get a thread started with suggestions on how to deal with this GUI dilemma. First off, I'm on Delphi 7. a) Does Delphi 2010 bring anything new to the table to help with this situation? b) Should we pick an aftermarket component suite and rely on them to solve all these problems? c) Should we go with an aftermarket skinning engine? d) Perhaps a more HTML-type GUI is the way to go. Can we make a relatively complex GUI app with HTML that doesn't require using a browser? (prefer to keep it form based) e) Should we just knuckle down and code through each one of these scenarios and quit bitching about it? f) And finally, how in the world are we supposed to test all these conditions?

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  • UTF-8 HTML and CSS files with BOM (and how to remove the BOM with Python)

    - by Cameron
    First, some background: I'm developing a web application using Python. All of my (text) files are currently stored in UTF-8 with the BOM. This includes all my HTML templates and CSS files. These resources are stored as binary data (BOM and all) in my DB. When I retrieve the templates from the DB, I decode them using template.decode('utf-8'). When the HTML arrives in the browser, the BOM is present at the beginning of the HTTP response body. This generates a very interesting error in Chrome: Extra <html> encountered. Migrating attributes back to the original <html> element and ignoring the tag. Chrome seems to generate an <html> tag automatically when it sees the BOM and mistakes it for content, making the real <html> tag an error. So, using Python, what is the best way to remove the BOM from my UTF-8 encoded templates (if it exists -- I can't guarantee this in the future)? For other text-based files like CSS, will major browsers correctly interpret (or ignore) the BOM? They are being sent as plain binary data without .decode('utf-8'). Note: I am using Python 2.5. Thanks!

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  • Build a Visual Studio Project without access to referenced dlls

    - by David Reis
    I have a project which has a set of binary dependencies (assembly dlls for which I do no have the source code). At runtime those dependencies are required pre-installed on the machine and at compile time they are required in the source tree, e,g in a lib folder. As I'm also making source code available for this program I would like to enable a simple download and build experience for it. Unfortunately I cannot redistribute the dlls, and that complicates things, since VS wont link the project without access to the referenced dlls. Is there anyway to enable this project to be built and linked in absence of the real referenced dlls? Maybe theres a way to tell VS to link against an auto generated stub of the dll, so that it can rebuild without the original? Maybe there's a third party tool that will do this? Any clues or best practices at all in this area? I realize the person must have access to the dlls to run the code, so it makes sense that he could add them to the build process, but I'm just trying to save them the pain of collecting all the dlls and placing them in the lib folder manually.

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  • Am I making the right choice in choosing Yii as my PHP Framework?

    - by Bara
    I am about to begin development of a new website and have been doing research on PHP Frameworks. I'm not an advanced PHP developer, but I have been developing web sites and apps (in asp.net) for a few years now. My website will primarily be AJAX-based (using jQuery) and making lots of calls to web services. After some research, here's what I came up with: CakePHP: Originally started developing in this, but found it too complex. The fact that it forces you to use and learn all this new stuff just to use it was a bit daunting, so I put it aside for the time being. Zend: The performance of the framework leaves me a bit skeptical, but I heard it has great support for creating web services. I also heard it was a bit complex. CodeIgniter: No real reason for not using this one. Based on what I've read CodeIgniter and Yii are very similar, but Yii is a bit faster and doesn't have un-needed code for PHP4 (since I plan on developing exclusively in PHP5). As far as Yii, the only things that scare me about it are that it is newer than the other frameworks so it has a smaller community. It also doesn't seem to have a ton of web service support (only SOAP, from my understanding) as opposed to Zend. So my questions come down to: Should these things worry me? (not as big of a community, poor web service support) Is there anything else I should look into? Is my choice of Yii over the other frameworks ok for a primarily AJAX-based web app? Bara

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  • Is there any algorithm that can solve ANY traditional sudoku puzzles, WITHOUT guessing (or similar techniques)?

    - by justin
    Is there any algorithm that solves ANY traditional sudoku puzzle, WITHOUT guessing? Here Guessing means trying an candidate and see how far it goes, if a contradiction is found with the guess, backtracking to the guessing step and try another candidate; when all candidates are exhausted without success, backtracking to the previous guessing step (if there is one; otherwise the puzzle proofs invalid.), etc. EDIT1: Thank you for your replies. traditional sudoku means 81-box sudoku, without any other constraints. Let us say the we know the solution is unique, is there any algorithm that can GUARANTEE to solve it without backtracking? Backtracking is a universal tool, I have nothing wrong with it but, using a universal tool to solve sudoku decreases the value and fun in deciphering (manually, or by computer) sudoku puzzles. How can a human being solve the so called "the hardest sudoku in the world", does he need to guess? I heard some researcher accidentally found that their algorithm for some data analysis can solve all sudoku. Is that true, do they have to guess too?

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