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  • Testing When Correctness is Poorly Defined?

    - by dsimcha
    I generally try to use unit tests for any code that has easily defined correct behavior given some reasonably small, well-defined set of inputs. This works quite well for catching bugs, and I do it all the time in my personal library of generic functions. However, a lot of the code I write is data mining code that basically looks for significant patterns in large datasets. Correct behavior in this case is often not well defined and depends on a lot of different inputs in ways that are not easy for a human to predict (i.e. the math can't reasonably be done by hand, which is why I'm using a computer to solve the problem in the first place). These inputs can be very complex, to the point where coming up with a reasonable test case is near impossible. Identifying the edge cases that are worth testing is extremely difficult. Sometimes the algorithm isn't even deterministic. Usually, I do the best I can by using asserts for sanity checks and creating a small toy test case with a known pattern and informally seeing if the answer at least "looks reasonable", without it necessarily being objectively correct. Is there any better way to test these kinds of cases?

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  • File.Replace throwing IOException

    - by WebDevHobo
    I have an app that can make modify images. In some cases, this makes the filesize smaller, in some cases bigger. The program doesn't have an option to "not replace the file if result has a bigger filesize". So I wrote a little C# app to try and solve this. Instead of overwriting the files, I make the app write the result to a folder under the current one and name that folder Test. The C# app I wrote compares grabs the contents of both folders and puts the full path to the file(s) in two List objects. I then compare and replace. The replacing isn't working however. I get the following IOException: Unable to remove the file to be replaced The location is on an external hard-drive, on which I have full rights. Now, I know I can just do File.Delete and File.Move in that order, but this exception has gotten me interested in why this particular setup wont work. Here's the source code: http://pastebin.com/4Vq82Umu And yes, the file specified as last argument of the Replace function does exist.

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  • Where to start when doing a Domain Model?

    - by devoured elysium
    Let's say I've made a list of concepts I'll use to draw my Domain Model. Furthermore, I have a couple of Use Cases from which I did a couple of System Sequence Diagrams. When drawing the Domain Model, I never know where to start from: Designing the model as I believe the system to be. This is, if I am modelling a the human body, I start by adding the class concepts of Heart, Brain, Bowels, Stomach, Eyes, Head, etc. Start by designing what the Use Cases need to get done. This is, if I have a Use Case which is about making the human body swallow something, I'd first draw the class concepts for Mouth, Throat, Stomatch, Bowels, etc. The order in which I do things is irrelevant? I'd say probably it'd be best to try to design from the Use Case concepts, as they are generally what you want to work with, not other kind of concepts that although help describe the whole system well, much of the time might not even be needed for the current project. Is there any other approach that I am not taking in consideration here? How do you usually approach this? Thanks

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  • Is there any point in using a volatile long?

    - by Adamski
    I occasionally use a volatile instance variable in cases where I have two threads reading from / writing to it and don't want the overhead (or potential deadlock risk) of taking out a lock; for example a timer thread periodically updating an int ID that is exposed as a getter on some class: public class MyClass { private volatile int id; public MyClass() { ScheduledExecutorService execService = Executors.newScheduledThreadPool(1); execService.scheduleAtFixedRate(new Runnable() { public void run() { ++id; } }, 0L, 30L, TimeUnit.SECONDS); } public int getId() { return id; } } My question: Given that the JLS only guarantees that 32-bit reads will be atomic is there any point in ever using a volatile long? (i.e. 64-bit). Caveat: Please do not reply saying that using volatile over synchronized is a case of pre-optimisation; I am well aware of how / when to use synchronized but there are cases where volatile is preferable. For example, when defining a Spring bean for use in a single-threaded application I tend to favour volatile instance variables, as there is no guarantee that the Spring context will initialise each bean's properties in the main thread.

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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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  • How do you prove a function works?

    - by glenn I.
    I've recently gotten the testing religion and have started primarily with unit testing. I code unit tests which illustrate that a function works under certain cases, specifically using the exact inputs I'm using. I may do a number of unit tests to exercise the function. Still, I haven't actually proved anything other than the function does what I expect it to do under the scenarios I've tested. There may be other inputs and scenarios I haven't thought of and thinking of edge cases is expensive, particularly on the margins. This is all not very satisfying to do me. When I start to think of having to come up with tests to satisfy branch and path coverage and then integration testing, the prospective permutations can become a little maddening. So, my question is, how can one prove (in the same vein of proving a theorem in mathematics) that a function works (and, in a perfect world, compose these 'proofs' into a proof that a system works)? Is there a certain area of testing that covers an approach where you seek to prove a system works by proving that all of its functions work? Does anybody outside of academia bother with an approach like this? Are there tools and techniques to help? I realize that my use of the word 'work' is not precise. I guess I mean that a function works when it does what some spec (written or implied) states that it should do and does nothing other than that. Note, I'm not a mathematician, just a programmer.

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  • Data Warehouse: Modelling a future schedule

    - by Pat
    I'm creating a DW that will contain data on financial securities such as bonds and loans. These securities are associated with payment schedules. For example, a bond could pay quarterly, while a mortage would usually pay monthly (sometimes biweekly). The payment schedule is created when the security is traded and, in the majority of cases, will remain unchanged. However, the design would need to accomodate those cases where it does change. I'm currently attempting to model this data and I'm having difficulty coming up with a workable design. One of the most commonly queried fields is "next payment date". Users often want to know when a security will pay next. Therefore, I want to make it as easy as possible for them to get the next payment date and amount for each security. Also, users often run historical queries in which case they'd want the next payment date and amount as of a specific point in time. For example, they may want to look back at 1/31/09 and query the next payment dates (which would usually be in February 2009 for mortgages). It's also common that they want to query a security's entire payment schedule, which might consist of 360 records (30 year mortgage x 12 payments/year). Since the next payment date and amount would be changing each month or even biweekly, these fields wouldn't seem to fit into a slow-changing dimension very well. It would probably make more sense to use a fact table, but I'm unsure of how to model it. Any ideas would be greatly appreciated.

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  • StructureMap Configuration Per Thread/Request for the Full Dependency Chain

    - by Phil Sandler
    I've been using Structuremap for a few months now, and it has worked great on some smaller (green field) projects. Most of the configurations I have had to set up involve a single implementation per interface. In the cases where I needed to choose a specific implementation at runtime, I created a factory class that used ObjectFactory.GetNamedInstance<(). In the smaller projects, there were few enough of these cases where I was comfortable with the references to ObjectFactory. My understanding is that you want to limit these references as much as possible, and ideally only reference the ObjectFactory once. I am working to refactor a larger codebase to use IOC/StructureMap, and am finding that I may need many of these factory classes with ObjectFactory references to get what I need. Essentially, I am creating a "root service" with the ObjectFactory, so that everything in the dependency chain is managed by the container. The root service is created by name (i.e. "BuildCar", "BuildTruck"), and the services needed deeper in the dependency chain could also be constructed using the same name--so the "IAttachWheels" service could vary based on whether a car or truck is being built. Since the class that depends on IAttachWheels is the same in both configurations, I don't think I can use ConstructedBy in the registry to choose the implementation. Also, to be clear, the IAttachWheels implementations need to be managed by the container as well, because the dependency chain runs fairly deep. I looked briefly at Profiles as an option, but read (here on StackOverflow) that changing profiles essentially changes implementations for all threads. Is there a feature that is similar to profiles that is thread/request specific? Is the factory class that references ObjectFactory approach the right way to go? Any thoughts would be appreciated.

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  • Convert Virtual Key Code to unicode string

    - by Joshua Weinberg
    I have some code I've been using to get the current keyboard layout and convert a virtual key code into a string. This works great in most situations, but I'm having trouble with some specific cases. The one that brought this to light is the accent key next to the backspace key on german QWERTZ keyboards. http://en.wikipedia.org/wiki/File:KB_Germany.svg That key generates the VK code I'd expect kVK_ANSI_Equal but when using a QWERTZ keyboard layout I get no description back. Its ending up as a dead key because its supposed to be composed with another key. Is there any way to catch these cases and do the proper conversion? My current code is below. TISInputSourceRef currentKeyboard = TISCopyCurrentKeyboardInputSource(); CFDataRef uchr = (CFDataRef)TISGetInputSourceProperty(currentKeyboard, kTISPropertyUnicodeKeyLayoutData); const UCKeyboardLayout *keyboardLayout = (const UCKeyboardLayout*)CFDataGetBytePtr(uchr); if(keyboardLayout) { UInt32 deadKeyState = 0; UniCharCount maxStringLength = 255; UniCharCount actualStringLength = 0; UniChar unicodeString[maxStringLength]; OSStatus status = UCKeyTranslate(keyboardLayout, keyCode, kUCKeyActionDown, 0, LMGetKbdType(), kUCKeyTranslateNoDeadKeysBit, &deadKeyState, maxStringLength, &actualStringLength, unicodeString); if(actualStringLength > 0 && status == noErr) return [[NSString stringWithCharacters:unicodeString length:(NSInteger)actualStringLength] uppercaseString]; }

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  • Are there any changes in the licensing of Visual Studio 2013 Express editions?

    - by Ramón García-Pérez
    As was going through reading the license.htm file provided as part of the VS2013_RTM_WebExp_ENU.iso offline installation media for the Visual Studio 2013 Express for Web, section 6 reads as follows: 6. PACKAGE MANAGER AND THIRD PARTY SOFTWARE INSTALLATION FEATURES. The software includes the following features (each a “Feature”), each of which enables you to obtain software applications or packages through the Internet from other sources: Extension Manager, New Project Dialog, Web Platform Installer, and Microsoft NuGet-Based Package Manager. Those software applications and packages are offered and distributed in some cases by third parties and in some cases by Microsoft, but each such application or package is under its own license terms. Microsoft is not developing, distributing or licensing any of the third-party applications or packages to you, but instead, as a convenience, enables you to use the Features to access or obtain those applications or packages directly from the third-party application or package providers. By using the Features, you acknowledge and agree that: you are obtaining the applications or packages from such third parties and under separate license terms applicable to each application or package (including, with respect to the package-manager Features, any terms applicable to software dependencies that may be included in the package); MICROSOFT MAKES NO REPRESENTATIONS, WARRANTIES OR GUARANTEES AS TO THE FEED OR GALLERY URL, ANY FEEDS OR GALLERIES FROM SUCH URL, THE INFORMATION CONTAINED THEREIN, OR ANY SOFTWARE APPLICATIONS OR PACKAGES REFERENCED IN OR ACCESSED BY YOU THROUGH SUCH FEEDS OR GALLERIES. MICROSOFT GRANTS YOU NO LICENSE RIGHTS FOR THIRD-PARTY SOFTWARE APPLICATIONS OR PACKAGES THAT ARE OBTAINED USING THE FEATURES. Are there any changes in the licensing of Visual Studio 2013 Express editions? If so, does this means that Visual Studio extensions installation in Express Editions is now allowed? PS: Previous versions of the Express editions did not allow the installation of extensions as per "EULA/TOS" discussed here: Limitations of Visual Studio 2012 Express Desktop

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  • Should I put actors in the Domain-Model/Class-Diagram?

    - by devoured elysium
    When designing both the domain-model and class-diagrams I am having some trouble understanding what to put in them. I'll give an example of what I mean: I am doing a vacations scheduler program, that has an Administrator and End-Users. The Administrator does a couple of things like registering End-Users in the program, changing their previleges, etc. The End-User can choose his vacations days, etc. I initially defined an Administrator and End-User as concepts in the domain-model, and later as classes in the class-diagram. In the class-diagram, both classes ended up having a couple of methods like Administrator.RegisterNewUser(); Administrator.UnregisterUser(int id); etc. Only after some time I realised that actually both Administrator and End-User are actors, and maybe I got this design totally wrong. Instead of filling Administrator and End-User classes with methods to do what my Use-Cases request, I could define other classes from the domain to do them, and have controllers handle the Use-Cases(actually, I decided to do one for each Use-Case). I could have a UserDatabase.RegisterNewUser() and UserDatabase.UnregisterUser(int id);, for example, instead of having those methods on the Administrator class. The idea would be to try to think of the whole vacation-scheduler as a "closed-program" that has a set of features and doesn't bother with things such as authentication, that should be internal/protected, being that the only public things I'd let the outside world see would be its controllers. Is this the right approach? Or am I getting this totally wrong? Is it generally bad idea to put Actors in the domain-model/class-diagrams? What are good rules of thumb for this? My lecturer is following Applying UML and Patterns, which I find awful, so I'd like to know where I could look up more info on this described actor-models situation. I'm still a bit confused about all of this, as this new approach is radically different from anything I've done before.

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  • Can Drupal Taxonomy module be used to categorize court records and briefs?

    - by DKinzer
    I'm currently working on project that involves moving a database of documents for court records and briefs over to a Drupal environment. One of the problems that we are faced with is how to index these documents. In our court district, records and briefs all have a docket number which is assigned to a case. The interesting thing is that when multiple cases merge the docket numbers associated to the case become synonymous: Case 1, documents have Doceket No. A Case 2, documents have Docket No. B If case Cases 1 and Case 2 merge, then Docket No. A = Docket No. B My first inclination is to create Docket Vocabulary and have the terms of this Taxonomy be the docket numbers. I am hoping to take advantage of the fact that terms can be synonymous. I understand that there are several functions in the Taxonomy module that I may be able to take advantage, of including: taxonomy_get_synonyms taxonomy_get_related But I'm having problems convincing my collegues that this is the way to go, and frankly I'm not certain it's the right solution either. If anyone has had a similar issue and can offer some guidance as to how to move forward, I would greatly appreciate it. Thanks! D I've asked a related question (which I would also need to answer in order to move forward with this solution): http://stackoverflow.com/questions/2656247/can-drupal-terms-in-different-taxonomies-be-synonymous

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  • Python lists/arrays: disable negative indexing wrap-around

    - by wim
    While I find the negative number wraparound (i.e. A[-2] indexing the second-to-last element) extremely useful in many cases, there are often use cases I come across where it is more of an annoyance than helpful, and I find myself wishing for an alternate syntax to use when I would rather disable that particular behaviour. Here is a canned 2D example below, but I have had the same peeve a few times with other data structures and in other numbers of dimensions. import numpy as np A = np.random.randint(0, 2, (5, 10)) def foo(i, j, r=2): '''sum of neighbours within r steps of A[i,j]''' return A[i-r:i+r+1, j-r:j+r+1].sum() In the slice above I would rather that any negative number to the slice would be treated the same as None is, rather than wrapping to the other end of the array. Because of the wrapping, the otherwise nice implementation above gives incorrect results at boundary conditions and requires some sort of patch like: def ugly_foo(i, j, r=2): def thing(n): return None if n < 0 else n return A[thing(i-r):i+r+1, thing(j-r):j+r+1].sum() I have also tried zero-padding the array or list, but it is still inelegant (requires adjusting the lookup locations indices accordingly) and inefficient (requires copying the array). Am I missing some standard trick or elegant solution for slicing like this? I noticed that python and numpy already handle the case where you specify too large a number nicely - that is, if the index is greater than the shape of the array it behaves the same as if it were None.

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  • Emacs hide/show support for C++ triple-slash Doxygen markup?

    - by jsyjr
    I use Doxygen's triple-slash syntax to markup my C++ code. There are two important cases which arise: 1) block markup comments which are the sole element on the line and may or may not begin flush left; e.g. class foo /// A one sentence brief description of foo. The elaboration can /// continue on for many lines. { ... }; void foo::bar /// A one sentence brief description of bar. The elaboration can /// continue on for many lines. () const { ... } 2) trailing markup comments which always follow some number of C++ tokens earlier on the first line but may still spill over onto subsequent lines; e.g. class foo { int _var1; ///< A brief description of _var1. int _var2; ///< A brief description of _var2 ///< requiring additional lines. } void foo::bar ( int arg1 ///< A brief description of arg1. , int arg2 ///< A brief description of arg2 ///< requiring additional lines. ) const { ... } I wonder what hide/show support exists to deal with these conventions. The most important cases are the block markup comments. Ideally I would like to be able to eliminate these altogether, meaning that I would prefer not to waste a line simply to indicate presence of a folded block markup comment. Instead I would like a fringe marker, a la http://www.emacswiki.org/emacs/hideshowvis.el /john

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  • EF 4.0 Guid or Int as A primary Key

    - by bigb
    I am Implementing custom ASPNetMembership using EF 4.0 Is there any reason why i should use Guid as a primary key in User tables? As far as i know Int as a PK on SQL Server more performanced than strings. And Int is easier to iterate. Also, for security purpose if i need to pass this it id somewhere in url i may encrypt it somehow and pass it like a strings with no probs. But if i want to use auto generated Guid on SQL Server side using EF 4.0 i need to do this trick http://leedumond.com/blog/using-a-guid-as-an-entitykey-in-entity-framework-4/ I can't see any cases why i should use Guid as PK, may be only one if system going to have millions ans millions users, but also, theoretically, Guid could be duplicated sometime isn't so? Anyway Int32 size is 2,147.483.647 it is pretty much even for very-very big system, but if this number is still not enough I may go with Int64, in that cases I may have 9,223.372.036.854.775.807 rows. Pretty much huh? From another hand, M$ using Guids as PK in their ASPNetMembership implementation. [aspnetdb].[aspnet_Users] - PK UserId Type uniqueidentifier, should be some reasons/explanation why the did it?! May be some one has any ideas/experience about that?

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  • Should I still be using jquery .getJson in 1.4.2?

    - by chobo2
    Hi I was looking at the 14 days of jquery http://jquery14.com/day-01/jquery-14 and I saw this and it got me to wondering is there a point to use getJson anymore? JSON and script types auto-detected by content-type (jQuery.ajax Documentation, Commit 1, Commit 2) If the response to an Ajax request is returned with a JSON mime type (application/json), the dataType defaults to “json” (if no dataType is specified). Additionally, if the response to an Ajax request is returned with a JavaScript mime type (text/javascript or application/x-javascript) , the dataType defaults to “script” (if no dataType is specified), causing the script to automatically execute. First I can see such a huge benefit of this. In jquery 1.3 I came to a situation where in some cases I would return a partial view and some cases I would return a json result (asp.net mvc). It worked in firefox but in no other browser and one of the problems was I basically had to tell jquery to either do json or text/html. With it automatically detecting I could get away with this. Anyways I found a solution around this at that time. So now it just makes me wonder if there is any point to using GetJson. I am also unsure how to set these JavaScript mime types? I am assuming that if you return a JsonResult from asp.net mvc it will set it. but I am not sure if I was just sending a text result if it would be set( I am not sure if ContentResult would set this).

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  • java: assigning object reference IDs for custom serialization

    - by Jason S
    For various reasons I have a custom serialization where I am dumping some fairly simple objects to a data file. There are maybe 5-10 classes, and the object graphs that result are acyclic and pretty simple (each serialized object has 1 or 2 references to another that are serialized). For example: class Foo { final private long id; public Foo(long id, /* other stuff */) { ... } } class Bar { final private long id; final private Foo foo; public Bar(long id, Foo foo, /* other stuff */) { ... } } class Baz { final private long id; final private List<Bar> barList; public Baz(long id, List<Bar> barList, /* other stuff */) { ... } } The id field is just for the serialization, so that when I am serializing to a file, I can write objects by keeping a record of which IDs have been serialized so far, then for each object checking whether its child objects have been serialized and writing the ones that haven't, finally writing the object itself by writing its data fields and the IDs corresponding to its child objects. What's puzzling me is how to assign id's. I thought about it, and it seems like there are three cases for assigning an ID: dynamically-created objects -- id is assigned from a counter that increments reading objects from disk -- id is assigned from the number stored in the disk file singleton objects -- object is created prior to any dynamically-created object, to represent a singleton object that is always present. How can I handle these properly? I feel like I'm reinventing the wheel and there must be a well-established technique for handling all the cases.

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  • Using "margin: 0 auto;" in Internet Explorer 8

    - by stusmith
    I'm in the process of doing some advance IE8 testing, and it seems that the old technique of using "margin: 0 auto;" doesn't work in all cases in IE8. The following piece of HTML gives a centered button in FF3, Opera, Safari, Chrome, IE7, and IE8 compat, but NOT in IE8 standard: <div style="height: 500px; width: 500px; background-color: Yellow;"> <input type="submit" style="display: block; margin: 0 auto;" /> </div> (As a work-around I can add an explicit width to the button). So the question is: which browsers are correct? Or is this one of those cases where the behaviour is undefined? (My thinking is that all the browsers are incorrect - shouldn't the button be 100% width if it's "display: block"?) UPDATE: I'm being a dunce. Since input isn't a block-level element, I should have just contained it within a div with "text-align: center". Having said that, for curiosity's sake, I'd still like to know whether the button should or shouldn't be centered in the example above. FOR THE BOUNTY: I know I'm doing odd things in the example, and as I point out in the update, I should have just aligned it center. For the bounty, I'd like references to the specs that answer: If I set "display: block", should the button be width 100%? Or is this undefined? Since the display is block, should "margin: 0 auto;" center the button, or not, or undefined?

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  • Faster or more memory-efficient solution in Python for this Codejam problem.

    - by jeroen.vangoey
    I tried my hand at this Google Codejam Africa problem (the contest is already finished, I just did it to improve my programming skills). The Problem: You are hosting a party with G guests and notice that there is an odd number of guests! When planning the party you deliberately invited only couples and gave each couple a unique number C on their invitation. You would like to single out whoever came alone by asking all of the guests for their invitation numbers. The Input: The first line of input gives the number of cases, N. N test cases follow. For each test case there will be: One line containing the value G the number of guests. One line containing a space-separated list of G integers. Each integer C indicates the invitation code of a guest. Output For each test case, output one line containing "Case #x: " followed by the number C of the guest who is alone. The Limits: 1 = N = 50 0 < C = 2147483647 Small dataset 3 = G < 100 Large dataset 3 = G < 1000 Sample Input: 3 3 1 2147483647 2147483647 5 3 4 7 4 3 5 2 10 2 10 5 Sample Output: Case #1: 1 Case #2: 7 Case #3: 5 This is the solution that I came up with: with open('A-large-practice.in') as f: lines = f.readlines() with open('A-large-practice.out', 'w') as output: N = int(lines[0]) for testcase, i in enumerate(range(1,2*N,2)): G = int(lines[i]) for guest in range(G): codes = map(int, lines[i+1].split(' ')) alone = (c for c in codes if codes.count(c)==1) output.write("Case #%d: %d\n" % (testcase+1, alone.next())) It runs in 12 seconds on my machine with the large input. Now, my question is, can this solution be improved in Python to run in a shorter time or use less memory? The analysis of the problem gives some pointers on how to do this in Java and C++ but I can't translate those solutions back to Python.

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  • Invoking jQuery function without an element

    - by Sandman
    So, I use jQuery quite extensively and I am well aware of the "right" way to do the below, but there are times where I want to solve it in a more generic way. I'll explain. So, I may have a link, like this: <a href='menu' class='popup'>Show menu</a>. Now, I have a jQuery function that fires on click for all a.popup that takes the href-attribute and shows the <div id='menu'></div> item (in this case). It also handles URL's if it can't find a DOM item with that ID. No problem here. But, there are times when I don't have the same control over the coe where I can create a selectable target that way. Either because the code isn't created by me or because it is created through a chain of function that would all need a huge ovrhaul which I won't do. So, from time to time, I would like to have this code: <a href="javascript:popup('menu')">Show menu</a> This would be in a case where I can only submit the label and the HREF for a link. No class, no nothing. Problem here is that the function popup() has no idea about what element invoked it, and in most cases that's not a problem for me, since I only need to know where the mouse cursor was upon invokation. But in some cases, I use someone elses jQuery functions, like qTip or something else. so I still want to fire off qTip(); when clicking a link that runs this JS function, but what do I attach it to to make it show? I can't just runt $().qTip(); because that implies $(this) and "this" is undefined inside the function. So how do I do it? Any ideas?

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  • Is there a standard SQL Table design for overriding 'big picture' default values with lower level de

    - by RichardHowells
    Here's an example. Suppose we are trying to calculate a service charge. Say sales in the USA attract a 10 dollar charge, sales in the UK attract a 20 dollar charge So far it's easy - we are starting to imagine a table that lists charges by country. Now lets assume that Alaska and Hawaii are treated as special cases they are both 15 dollars That suggests a table with states, Alaska and Hawaii are charged at 15, but presumably we need 48 (redundant) rows all saying 10. This gives us a maintainance problem, our user only wants to type 10 once NOT 48 times. It does not sit well with the UK either. The UK does not have states. Suppose we throw in another couple of cross cutting rules. If you order by phone there is a 10% supplement on the charge. If you order via the web there is a 10% discount. But for some reason best known to the owners of the business the web/phone supplement/discount are not applied in Hawaii. It seems to me that this is quite a common kind of problem and there is probably a well known arrangement of tables to store the data. Most cases get handled by broad brush answers, but there are some very detailed low level variations that give rise to a huge number of theoretical combinations, most of which are not used.

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  • MDX: Filtering a member set by a measure's table values

    - by oyvinro
    I have some numbers in a fact table, and have generated a measure which use the SUM aggregator to summarize the numbers. But the problem is that I only want to sum the numbers that are higher than, say 10. I tried using a generic expression in the measure definition, and that works of course, but the problem is that I need to be able to dynamically set that value, because it's not always 10, meaning users should be able to select it themselves. More specifically, my current MDX looks like this: WITH SET [Email Measures] AS '{[Measures].[Number Of Answered Cases], [Measures].[Max Expedition Time First In Case], [Measures].[Avg Expedition Times First In Case], [Measures].[Number Of Incoming Email Requests], [Measures].[Avg Number Of Emails In Cases], [Measures].[Avg Expedition Times Total],[Measures].[Number Of Answered Incoming Emails]}' SET [Organizations] AS '{[Organization.Id].[860]}' SET [Operators] AS '{[Operator.Id].[3379],[Operator.Id].[3181]}' SET [Email Accounts] AS '{[Email Account.Id].[6]}' MEMBER [Time.Date].[Date Period] AS Aggregate ({[Time.Date].[2008].[11].[11] :[Time.Date].[2009].[1].[2] }) MEMBER [Email.Type].[Email Types] AS Aggregate ({[Email.Type].[0]}) SELECT {[Email Measures]} ON columns, [Operators] ON rows FROM [Email_Fact] WHERE ( [Time.Date].[Date Period] ) Now, the member in question is the calculated member [Avg Expedition Times Total]. This member takes in two measures; [Sum Expedition Times] and [Nr of Expedition Times] and splits one on the other to get the average, all this presently works. However, I want [Sum Expedition Times] to only summarize values over or under a parameter of my/the user's wish. How do I filter the numbers [Sum Expedition Times] iterates through, rather than filtering on the sum that the measure gives me in the end?

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  • Options for organizing android app with multiple independent apps

    - by lazyguy
    Problem Definition: We have a fairly large app which has multiple use cases such that they are all independent of each other. For example lets say we have a1, a2, a3 & a4 modules that are independent apps or use cases for our main app 'A'. The independent a1, a2, a3, a4 are all purchasable apps such that the user goes to our website instead of play store and activate either a1 or a2 by paying some fees on our website. So basically App 'A' is a free app in play-store and is sort of Dashboard with buttons to launch a1, a2, a3, a4. When the user click on lets say a1 button then we will check if a1 is already installed and launch it but if it is not present then give the user a link to download it. Option 1: Have a main app 'A' and a1, a2, a3, a4 as library project. But with this approach the main app A is too big in size. Option 2: Have a1, a2, a3, a4 build as separate .apk and then put in the assets folder of main app 'A' and then install them as needed. Again size of main app A is bigger. Option 3: Upload a1, a2, a3, a4 to a third party website or play store and download from it as needed. This way the main app remains lighter. Observation: In all these approaches there will be an independent app installed with its own icon on users phone. So basically user can launch from either the Dashboard (which will eventually launch an intent from Activity in a1 app) or user can directly launch app a1. Follow-up Question: Is there any other solution that anyone can suggest to tackle this kind of problem? Another things is by going this approach app a1, a2, a3, a4 can be developed & tested independently of each other.

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  • Is there a Python module for handling Python object addresses?

    - by cool-RR
    (When I say "object address", I mean the string that you type in Python to access an object. For example 'life.State.step'. Most of the time, all the objects before the last dot will be packages/modules, but in some cases they can be classes or other objects.) In my Python project I often have the need to play around with object addresses. Some tasks that I have to do: Given an object, get its address. Given an address, get the object, importing any needed modules on the way. Shorten an object's address by getting rid of redundant intermediate modules. (For example, 'life.life.State.step' may be the official address of an object, but if 'life.State.step' points at the same object, I'd want to use it instead because it's shorter.) Shorten an object's address by "rooting" a specified module. (For example, 'garlicsim_lib.simpacks.prisoner.prisoner.State.step' may be the official address of an object, but I assume that the user knows where the prisoner package is, so I'd want to use 'prisoner.prisoner.State.step' as the address.) Is there a module/framework that handles things like that? I wrote a few utility modules to do these things, but if someone has already written a more mature module that does this, I'd prefer to use that. One note: Please, don't try to show me a quick implementation of these things. It's more complicated than it seems, there are plenty of gotchas, and any quick-n-dirty code will probably fail for many important cases. These kind of tasks call for battle-tested code. UPDATE: When I say "object", I mostly mean classes, modules, functions, methods, stuff like these. Sorry for not making this clear before.

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  • Singleton pattern in C++

    - by skydoor
    I have a question about the singleton pattern. I saw two cases concerning the static member in the singleton class. First it is an object, like this class CMySingleton { public: static CMySingleton& Instance() { static CMySingleton singleton; return singleton; } // Other non-static member functions private: CMySingleton() {} // Private constructor ~CMySingleton() {} CMySingleton(const CMySingleton&); // Prevent copy-construction CMySingleton& operator=(const CMySingleton&); // Prevent assignment }; One is an pointer, like this class GlobalClass { int m_value; static GlobalClass *s_instance; GlobalClass(int v = 0) { m_value = v; } public: int get_value() { return m_value; } void set_value(int v) { m_value = v; } static GlobalClass *instance() { if (!s_instance) s_instance = new GlobalClass; return s_instance; } }; What's the difference between the two cases? Which one is correct?

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