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  • Soon to be PhD in Computer Science - Which Path to Follow?

    - by mttr
    I am going to submit my PhD thesis within the next six months. My PhD is on managing the availabiity of large-scale distributed systems, so I have some experience actually building non-trivial systems (+ I have four years experience working as a programmer). I am now trying to figure out what I should do following the PhD. I enjoy research (a quick definition: identify problem, come up with solution, ask interesting questions, find ways to answer them, build system, experiment, contribute some new knowledge and publish). I also like teaching and supervising students. It would seem that a career in academia is the ideal thing to do (can work on non-trivial problems and contribute something of use to some or more people). However, a career in academia has two significant drawbacks. First, it can be difficult to gain access to real systems with real users which then display real problems. This creates the danger that you do work that seems important (to you and maybe to some of your colleagues), but is not really relevant to anything or anyone. Second, the pay is pretty sad. Apparently, you have to sacrifice this for the privilege of doing research. I enjoy programming, but don't just want to hack some web-based system for the rest of my life. That is, working in IT for a bank is not a future I see myself enjoying. I want to work on interesting problms (that's difficult to define clearly): things where you don't know how to start, that take some time to figure out and attack, that require a rigorous approach to demonstrate that the problem has been solved, and problems that need a solution in the real world. Give the experience of people on stackoverflow, what do you think suitable options are and why (or alternatively, what gaps in my thinking does the above reveal)? Is industrial research (aka IBM Research, Microsoft Research) the only alternative avenue to a career in academia? What other areas, companies, occupations, etc. could provide me with stimulating, inspiring work? Which regions, countries am I most likely to find such work? Please share your experience.

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  • Is it possible to change HANDLE that has been opened for synchronous I/O to be opened for asynchrono

    - by Martin Dobšík
    Dear all, Most of my daily programming work in Windows is nowadays around I/O operations of all kind (pipes, consoles, files, sockets, ...). I am well aware of different methods of reading and writing from/to different kinds of handles (Synchronous, asynchronous waiting for completion on events, waiting on file HANDLEs, I/O completion ports, and alertable I/O). We use many of those. For some of our applications it would be very useful to have only one way to treat all handles. I mean, the program may not know, what kind of handle it has received and we would like to use, let's say, I/O completion ports for all. So first I would ask: Let's assume I have a handle: HANDLE h; which has been received by my process for I/O from somewhere. Is there any easy and reliable way to find out what flags it has been created with? The main flag in question is FILE_FLAG_OVERLAPPED. The only way known to me so far, is to try to register such handle into I/O completion port (using CreateIoCompletionPort()). If that succeeds the handle has been created with FILE_FLAG_OVERLAPPED. But then only I/O completion port must be used, as the handle can not be unregistered from it without closing the HANDLE h itself. Providing there is an easy a way to determine presence of FILE_FLAG_OVERLAPPED, there would come my second question: Is there any way how to add such flag to already existing handle? That would make a handle that has been originally open for synchronous operations to be open for asynchronous. Would there be a way how to create opposite (remove the FILE_FLAG_OVERLAPPED to create synchronous handle from asynchronous)? I have not found any direct way after reading through MSDN and googling a lot. Would there be at least some trick that could do the same? Like re-creating the handle in same way using CreateFile() function or something similar? Something even partly documented or not documented at all? The main place where I would need this, is to determine the the way (or change the way) process should read/write from handles sent to it by third party applications. We can not control how third party products create their handles. Dear Windows gurus: help please! With regards Martin

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  • Offline backup synchronization

    - by Pavan Kumar
    There is a Central Server running Windows Server 2003 and SQL Server 2005 and there are 7 client machines situated in various places and has XP Pro & SQL Server 2005 installed in all of them. They are not interconnected so they are physically seperate. One person goes to each of these centers maybe twice a month and takes the backup (Full database consisting of mdf and ldf files) with a pen drive and brings it to the Central server which contains the central database holding same schema as all the other client databases. I need to synchronize each backup database (belonging to different centers) one by one to update the existing data or inserting new data in the central database . The solution i got was Replication. The pendrive is brought to central server consisting of 7 instances of the databases and then the databases is attached to the central server one by one to the same SQL Server where the central database exists. Then my idea was to replicate the backup database one by one i.e using single subscription (Central Database) and multiple publication ( i.e 7 instances of databases in my case) toplogy by performing replication locally (i.e in the same machine). So i tried to develop a UI in C# .Net to programatically run the Transactional Replication with push subscription using RMO Programming (which is incomplete as of now because there is no point in developing when you already know it is not the solution). Transactional Replication can either be set to initialize with a snapshot or without a snapshot. If i go for the first option i.e with a snapshot , the data whatever is present in Central Database is overwritten by the new data . So the data present initially in the central database is lost. If i try to initialize without snapshot , no data (the data already has the updated and new data) will be sent from the backup database to server. The replication will work in a scenario where any incremental changes is done only after you set the replication . So the initial data whatever was present in the backup database when setting up the replication will not be replicated when running the snapshot agent for the first time to synchronize. Only changes in the backup database thereafter will be reflected to the central database .(Remember I am not going to insert new data or make any changes to the backup database after i attach it to the Central Server. ) So this solution is not feasible. I want a solution for synchronizing from one client database to central database present in the same machine using C#.NET. If you can provide me small example maybe with two databases(with same schema) DB1(Client) to DB2(Server) consisting of one or two tables it will be very helpful. The synchronization is not bidirectional.I want to only update existing data or insert new data from DB1 to DB2 (DB2 may contain some data initially). Thanks and Regards Pavan

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  • Calculating multiple column average in SQLite3

    - by Benjamin Oakes
    I need to average some values in a row-wise fashion, rather than a column-wise fashion. (If I were doing a column-wise average, I could just use avg()). My specific application of this requires me ignore NULLs in averaging. It's pretty straightforward logic, but seems awfully difficult to do in SQL. Is there an elegant way of doing my calculation? I'm using SQLite3, for what it's worth. Details If you need more details, here's an illustration: I have a a table with a survey: | q1 | q2 | q3 | ... | q144 | |----|-------|-------|-----|------| | 1 | 3 | 7 | ... | 2 | | 4 | 2 | NULL | ... | 1 | | 5 | NULL | 2 | ... | 3 | (Those are just some example values and simple column names. The valid values are 1 through 7 and NULL.) I need to calculate some averages like so: q7 + q33 + q38 + q40 + ... + q119 / 11 as domain_score_1 q10 + q11 + q34 + q35 + ... + q140 / 13 as domain_score_2 ... q2 + q5 + q13 + q25 + ... + q122 / 12 as domain_score_14 ...but i need to pull out the nulls and average based on the non-nulls. So, for domain_score_1 (which has 11 items), I would need to do: Input: 3, 5, NULL, 7, 2, NULL, 3, 1, 5, NULL, 1 (3 + 5 + 7 + 2 + 3 + 1 + 5 + 1) / (11 - 3) 27 / 8 3.375 A simple algorithm I'm considering is: Input: 3, 5, NULL, 7, 2, NULL, 3, 1, 5, NULL, 1 Coalesce each value to 0 if NULL: 3, 5, 0, 7, 2, 0, 3, 1, 5, 0, 1 Sum: 27 Get the number of non-zeros by converting values 0 to 1 and sum: 3, 5, 0, 7, 2, 0, 3, 1, 5, 0, 1 1, 1, 0, 1, 1, 0, 1, 1, 1, 0, 1 8 Divide those two numbers 27 / 8 3.375 But that seems like a lot more programming than this should take. Is there an elegant way of doing this that I'm not aware of? Update: Unless I'm misunderstanding something, avg() won't work for this. Example of what I would want to do: select avg(q7, q33, q38, ..., q119) from survey; Output: SQL error near line 3: wrong number of arguments to function avg()

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  • Scared of Calculus - Required to pass Differential Calculus as part of my Computer science major

    - by ke3pup
    Hi guys I'm finishing my Computer science degree in university but my fear of maths (lack of background knowledge) made me to leave all my maths units til' the very end which is now. i either take them on and pass or have to give up. I've passed all my programming units easily but knowing my poor maths skills won't do i've been staying clear of the maths units. I have to pass Differential Calculus and Linear Algebra first. With a help of book named "Linear Algebra: A Modern Introduction" i'm finding myself on track and i think i can pass the Linear Algebra unit. But with differential calculus i can't find a book to help me. They're either too advanced or just too simple for what i have to learn. The things i'm required to know for this units are: Set notation, the real number line, Complex numbers in cartesian form. Complex plane, modulus. Complex numbers in polar form. De Moivre’s Theorem. Complex powers and nth roots. Definition of ei? and ez for z complex. Applications to trigonometry. Revision of domain and range of a function Working in R3. Curves and surfaces. Functions of 2 variables. Level curves.Partial derivatives and tangent planes. The derivative as a difference quotient. Geometric significance of the derivative. Discussion of limit. Higher order partial derivatives. Limits of f(x,y). Continuity. Maxima and minima of f(x,y). The chain rule. Implicit differentiation. Directional derivatives and the gradient. Limit laws, l’Hoˆpital’s rule, composition law. Definition of sinh and cosh and their inverses. Taylor polynomials. The remainder term. Taylor series. Is there a book to help me get on track with the above? Being a student i can't buy too many books hence why i'm looking for a book that covers topics I need to know. The University library has a fairly limited collection which i took as loan but didn't find useful as it was too complex.

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  • Do you still limit line length in code?

    - by Noldorin
    This is a matter on which I would like to gauge the opinion of the community: Do you still limit the length of lines of code to a fixed maximum? This was certainly a convention of the past for many languages; one would typically cap the number of characters per line to a value such as 80 (and more recnetly 100 or 120 I believe). As far as I understand, the primary reasons for limiting line length are: Readability - You don't have to scroll over horizontally when you want to see the end of some lines. Printing - Admittedly (at least in my experience), most code that you are working on does not get printed out on paper, but by limiting the number of characters you can insure that formatting doesn't get messed up when printed. Past editors (?) - Not sure about this one, but I suspect that at some point in the distant past of programming, (at least some) text editors may have been based on a fixed-width buffer. I'm sure there are points that I am still missing out, so feel free to add to these... Now, when I tend to observe C or C# code nowadays, I often see a number of different styles, the main ones being: Line length capped to 80, 100, or even 120 characters. As far as I understand, 80 is the traditional length, but the longer ones of 100 and 120 have appeared because of the widespread use of high resolutions and widescreen monitors nowadays. No line length capping at all. This tends to be pretty horrible to read, and I don't see it too often, though it's certainly not too rare either. Inconsistent capping of line length. The length of some lines are limited to a fixed maximum (or even a maximum that changes depending on the file/location in code), while others (possibly comments) are not at all. My personal preference here (at least recently) has been to cap the line length to 100 in the Visual Studio editor. This means that in a decently sized window (on a non-widescreen monitor), the ends of lines are still fully visible. I can however see a few disadvantages in this, especially when you end up writing code that's indented 3 or 4 levels and then having to include a long string literal - though I often take this as a sign to refactor my code! In particular, I am curious what the C and C# coders (or anyone who uses Visual Studio for that matter) think about this point, though I would be interested in hearing anyone's thoughts on the subject. Edit Thanks for the all answers - I appreciate the variety of opinions here, all presenting sound reasons. Consensus does seem to be tipping in the direction of always (or almost always) limit the line length. Interestingly, it seems to be in various coding standards to limit the line length. Judging by some of the answers, both the Python and Google CPP guidelines set the limit at 80 chars. I haven't seen anything similar regarding C# or VB.NET, but I would be curious to see if there are ones anywhere.

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  • Java - How to make a set of JInternalFrame independant of each other?

    - by Amokrane
    Hello, I'm programming a short Paint program like and I'm trying to make an MDI architecture for it. To make that happen, I used JInternalFrame inside a JDesktopPane. Although I kind of obtain multiple frames, there are not really working properly. Basically, if I have 2 JInternalFrame I can draw only on the last one. The other one seems to be disabled. Here is a short video illustrating the problem. http://bit.ly/9ydiwM Here are some part of the code. Panneau.java public class Panneau extends JDesktopPane { /** La liste de fenêtres ouvertes */ private static ArrayList<Cadre> cadres; /** Le pannel comportant la liste des formes à dessiner*/ private Pannel pannel; /** La barre d'outils */ private ToolBox toolBox; public Panneau() { this.setLayout(new BorderLayout()); // Initialisations des listes de cadres cadres = new ArrayList<Cadre>(); // En haut ToolBox toolBox = new ToolBox(); this.add(toolBox, BorderLayout.NORTH); **// Intialisation de la première internal frame Cadre cadre = new Cadre(); this.add(cadre, BorderLayout.CENTER);** cadres.add(cadre); // Ajout du pannel à gauche pannel = new Pannel(); this.add(pannel, BorderLayout.WEST); } /** * Crée une nouvelle fenêtre de dessin * */ **public void createNewInternalFrame() { Cadre cadre = new Cadre(); this.add(cadre, BorderLayout.CENTER); cadres.add(cadre); }** } public class Cadre extends JInternalFrame { /** Largeur par d'une fenêtre interne */ private int width; /** Hauteur d'une fenêtre interne */ private int height; /** Titre d'une fenêtre interne */ private String title; /** Toile associée à la fenêtre interne */ private Toile toile; public Cadre() { width = 400; height = 400; title = "Form"; toile = new Toile(); this.setTitle(title); this.setSize(width, height); this.setEnabled(true); this.setResizable(true); this.setAutoscrolls(true); this.setClosable(true); this.setIconifiable(true); this.setDoubleBuffered(true); this.setContentPane(toile); this.setVisible(true); this.pack(); } } Basically, Panneau is the main Window that contains all the differents parts of the GUI. I can create as much JInternalFrame that I want, using : Panneau.createNewInternalFrame(). Toile is basically where I draw my shapes. Any idea ? Thanks

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  • How to write this Linq SQL as a Dynamic Query (using strings)?

    - by Dr. Zim
    Skip to the "specific question" as needed. Some background: The scenario: I have a set of products with a "drill down" filter (Query Object) populated with DDLs. Each progressive DDL selection will further limit the product list as well as what options are left for the DDLs. For example, selecting a hammer out of tools limits the Product Sizes to only show hammer sizes. Current setup: I created a query object, sent it to a repository, and fed each option to a SQL "table valued function" where null values represent "get all products". I consider this a good effort, but far from DDD acceptable. I want to avoid any "programming" in SQL, hopefully doing everything with a repository. Comments on this topic would be appreciated. Specific question: How would I rewrite this query as a Dynamic Query? A link to something like 101 Linq Examples would be fantastic, but with a Dynamic Query scope. I really want to pass to this method the field in quotes "" for which I want a list of options and how many products have that option. from p in db.Products group p by p.ProductSize into g select new Category { PropertyType = g.Key, Count = g.Count() } Each DDL option will have "The selection (21)" where the (21) is the quantity of products that have that attribute. Upon selecting an option, all other remaining DDLs will update with the remaining options and counts. Edit: Additional notes: .OrderBy("it.City") // "it" refers to the entire record .GroupBy("City", "new(City)") // This produces a unique list of City .Select("it.Count()") //This gives a list of counts... getting closer .Select("key") // Selects a list of unique City .Select("new (key, count() as string)") // +1 to me LOL. key is a row of group .GroupBy("new (City, Manufacturer)", "City") // New = list of fields to group by .GroupBy("City", "new (Manufacturer, Size)") // Second parameter is a projection Product .Where("ProductType == @0", "Maps") .GroupBy("new(City)", "new ( null as string)")// Projection not available later? .Select("new (key.City, it.count() as string)")// GroupBy new makes key an object Product .Where("ProductType == @0", "Maps") .GroupBy("new(City)", "new ( null as string)")// Projection not available later? .Select("new (key.City, it as object)")// the it object is the result of GroupBy var a = Product .Where("ProductType == @0", "Maps") .GroupBy("@0", "it", "City") // This fails to group Product at all .Select("new ( Key, it as Product )"); // "it" is property cast though What I have learned so far is LinqPad is fantastic, but still looking for an answer. Eventually, completely random research like this will prevail I guess. LOL. Edit:

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  • What are the Tags Around Default iPhone Address Book People Phone Number Labels?

    - by rnistuk
    My question concerns markup that surrounds some of the default phone number labels in the Person entries of the Contact list on the iPhone. I have created an iPhone contact list address book entry for a person, "John Smith" with the following phone number entries: Mobile (604) 123-4567 iPhone (778) 123-4567 Home (604) 789-4561 Work (604) 456-7891 Main (604) 789-1234 megaphone (234) 567-8990 Note that the first five labels are default labels provided by the Contacts application and the last label, "megaphone", is a custom label. I wrote the following method to retrieve and display the labels and phone numbers for each person in the address book: -(void)displayPhoneNumbersForAddressBook { ABAddressBookRef book = ABAddressBookCreate(); CFArrayRef people = ABAddressBookCopyArrayOfAllPeople(book); ABRecordRef record = CFArrayGetValueAtIndex(people, 0); ABMultiValueRef multi = ABRecordCopyValue(record, kABPersonPhoneProperty); NSLog(@"---------" ); NSLog(@"displayPhoneNumbersForAddressBook" ); CFStringRef label, phone; for (CFIndex i = 0; i < ABMultiValueGetCount(multi); ++i) { label = ABMultiValueCopyLabelAtIndex(multi, i); phone = ABMultiValueCopyValueAtIndex(multi, i); NSLog(@"label: \"%@\" number: \"%@\"", (NSString*)label, (NSString*)phone); CFRelease(label); CFRelease(phone); } NSLog(@"---------" ); CFRelease(multi); CFRelease(people); CFRelease(book); } and here is the output for the address book entry that I entered: 2010-03-08 13:24:28.789 test2m[2479:207] --------- 2010-03-08 13:24:28.789 test2m[2479:207] displayPhoneNumbersForAddressBook 2010-03-08 13:24:28.790 test2m[2479:207] label: "_$!<Mobile>!$_" number: "(604) 123-4567" 2010-03-08 13:24:28.790 test2m[2479:207] label: "iPhone" number: "(778) 123-4567" 2010-03-08 13:24:28.791 test2m[2479:207] label: "_$!<Home>!$_" number: "(604) 789-4561" 2010-03-08 13:24:28.791 test2m[2479:207] label: "_$!<Work>!$_" number: "(604) 456-7891" 2010-03-08 13:24:28.792 test2m[2479:207] label: "_$!<Main>!$_" number: "(604) 789-1234" 2010-03-08 13:24:28.792 test2m[2479:207] label: "megaphone" number: "(234) 567-8990" 2010-03-08 13:24:28.793 test2m[2479:207] --------- What are the markup characters _$!< and >!$_ surrounding most, save for iPhone, of the default labels for? Can you point me to where in the "Address Book Programming Guide for iPhone OS" I can find the information? Thank you for your help.

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  • Error Handling without Exceptions

    - by James
    While searching SO for approaches to error handling related to business rule validation , all I encounter are examples of structured exception handling. MSDN and many other reputable development resources are very clear that exceptions are not to be used to handle routine error cases. They are only to be used for exceptional circumstances and unexpected errors that may occur from improper use by the programmer (but not the user.) In many cases, user errors such as fields that are left blank are common, and things which our program should expect, and therefore are not exceptional and not candidates for use of exceptions. QUOTE: Remember that the use of the term exception in programming has to do with the thinking that an exception should represent an exceptional condition. Exceptional conditions, by their very nature, do not normally occur; so your code should not throw exceptions as part of its everyday operations. Do not throw exceptions to signal commonly occurring events. Consider using alternate methods to communicate to a caller the occurrence of those events and leave the exception throwing for when something truly out of the ordinary happens. For example, proper use: private void DoSomething(string requiredParameter) { if (requiredParameter == null) throw new ArgumentExpcetion("requiredParameter cannot be null"); // Remainder of method body... } Improper use: // Renames item to a name supplied by the user. Name must begin with an "F". public void RenameItem(string newName) { // Items must have names that begin with "F" if (!newName.StartsWith("F")) throw new RenameException("New name must begin with /"F/""); // Remainder of method body... } In the above case, according to best practices, it would have been better to pass the error up to the UI without involving/requiring .NET's exception handling mechanisms. Using the same example above, suppose one were to need to enforce a set of naming rules against items. What approach would be best? Having the method return a enumerated result? RenameResult.Success, RenameResult.TooShort, RenameResult.TooLong, RenameResult.InvalidCharacters, etc. Using an event in a controller class to report to the UI class? The UI calls the controller's RenameItem method, and then handles an AfterRename event that the controller raises and that has rename status as part of the event args? The controlling class directly references and calls a method from the UI class that handles the error, e.g. ReportError(string text). Something else... ? Essentially, I want to know how to perform complex validation in classes that may not be the Form class itself, and pass the errors back to the Form class for display -- but I do not want to involve exception handling where it should not be used (even though it seems much easier!) Based on responses to the question, I feel that I'll have to state the problem in terms that are more concrete: UI = User Interface, BLL = Business Logic Layer (in this case, just a different class) User enters value within UI. UI reports value to BLL. BLL performs routine validation of the value. BLL discovers rule violation. BLL returns rule violation to UI. UI recieves return from BLL and reports error to user. Since it is routine for a user to enter invalid values, exceptions should not be used. What is the right way to do this without exceptions?

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  • Is the Scala 2.8 collections library a case of "the longest suicide note in history" ?

    - by oxbow_lakes
    First note the inflammatory subject title is a quotation made about the manifesto of a UK political party in the early 1980s. This question is subjective but it is a genuine question, I've made it CW and I'd like some opinions on the matter. Despite whatever my wife and coworkers keep telling me, I don't think I'm an idiot: I have a good degree in mathematics from the University of Oxford and I've been programming commercially for almost 12 years and in Scala for about a year (also commercially). I have just started to look at the Scala collections library re-implementation which is coming in the imminent 2.8 release. Those familiar with the library from 2.7 will notice that the library, from a usage perspective, has changed little. For example... > List("Paris", "London").map(_.length) res0: List[Int] List(5, 6) ...would work in either versions. The library is eminently useable: in fact it's fantastic. However, those previously unfamiliar with Scala and poking around to get a feel for the language now have to make sense of method signatures like: def map[B, That](f: A => B)(implicit bf: CanBuildFrom[Repr, B, That]): That For such simple functionality, this is a daunting signature and one which I find myself struggling to understand. Not that I think Scala was ever likely to be the next Java (or /C/C++/C#) - I don't believe its creators were aiming it at that market - but I think it is/was certainly feasible for Scala to become the next Ruby or Python (i.e. to gain a significant commercial user-base) Is this going to put people off coming to Scala? Is this going to give Scala a bad name in the commercial world as an academic plaything that only dedicated PhD students can understand? Are CTOs and heads of software going to get scared off? Was the library re-design a sensible idea? If you're using Scala commercially, are you worried about this? Are you planning to adopt 2.8 immediately or wait to see what happens? Steve Yegge once attacked Scala (mistakenly in my opinion) for what he saw as its overcomplicated type-system. I worry that someone is going to have a field day spreading fud with this API (similarly to how Josh Bloch scared the JCP out of adding closures to Java). Note - I should be clear that, whilst I believe that Josh Bloch was influential in the rejection of the BGGA closures proposal, I don't ascribe this to anything other than his honestly-held beliefs that the proposal represented a mistake.

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  • Adding Icons next to items in Navigation Drawer

    - by DunriteJW
    I have been trying to figure this out for quite some time right now. I've looked all over this site and many others, and can't find anything that works. I simply want icons next to each item in my navigation drawer. I am currently using the method that Google's navigation drawer sample app uses. in the MainActivity.java I have the following: mColorTitles = getResources().getStringArray(R.array.colors_array); mDrawerLayout = (DrawerLayout) findViewById(R.id.drawer_layout); mDrawerList = (ListView) findViewById(R.id.left_drawer); mColorIcons = getResources().getStringArray(R.array.color_icons); adapter = new ArrayAdapter<String>(this, R.layout.drawer_list_item, mColorTitles); // set a custom shadow that overlays the main content when the drawer opens mDrawerLayout.setDrawerShadow(R.drawable.drawer_shadow, GravityCompat.START); // set up the drawer's list view with items and click listener mDrawerList.setAdapter(adapter); mDrawerList.setOnItemClickListener(new DrawerItemClickListener()); my drawer_list_item.xml: <TextView xmlns:android="http://schemas.android.com/apk/res/android" android:id="@android:id/text1" android:layout_width="match_parent" android:layout_height="match_parent" android:textAppearance="?android:attr/textAppearanceListItemSmall" android:gravity="center_vertical" android:paddingLeft="5dp" android:paddingRight="16dp" android:textColor="#000" android:background="?android:attr/activatedBackgroundIndicator" android:minHeight="?android:attr/listPreferredItemHeightSmall"/> it currently just makes the navigation drawer display the color titles from the array. I have the icons that I want in another array, and they follow the exact same order as I want them associated with the colors. I just have no idea how to even begin inserting the icons from that array into the navigation items if it helps, here's what my arrays look like in my strings.xml (not full code) <string-array name="colors_array"> <item>Home</item> <item>Cherry</item> <item>Crimson</item> ... <array name="color_icons"> <item>@drawable/homeicon</item> <item>@drawable/cherryicon</item> <item>@drawable/crimsonicon</item> ... I've tried putting a drawable in the drawer_list_item, which works, but (of course) it always puts the same one in there. I could not think of a way to change it according to the color. I am relatively new to android programming, so if I am missing something simple, I'm sorry. If you could help me out, I would greatly appreciate it, as this is basically the last thing I need to do before I publish my application to the Play Store. Thanks in advance!

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  • Zend Framework - Ruby on Rails has a screencast showing how to code a blog in 15 minutes. Does ZF ha

    - by Sootah
    Ruby on Rails has a screencast presentation they use to promote their framework that shows how to code a basic weblog system in 15 minutes with RoR. Does the Zend PHP Framework have a similar screencast/presentation/whatever demonstrating something similar? It doesn't have to be a blog specifically, but I would definitely like to find a presentation that shows some rapid application development using ZF. Where I'm coming from: I have been programming on and off for years now. I started out with QBASIC waaaaay back in the day making little programs (text adventure games, screensavers, simple little things). I then moved to C++ but never really did anything too impressive with it. Since then (probably 5 years or so now) I have started to use C# for my desktop development and PHP for my web development. I've made some pretty cool tools here and there, but am certainly not a professional programmer by any stretch of the term as it has always simply been a hobby of mine. Right now I have two major web applications that I will start work on shortly. (Like tomorrow, or later tonight ideally.. :) ) Both will be database-driven apps that will require user registration, the ability to manipulate data that is specific to their account (their posts, listings, user account details, etc), amongst other things. Currently I am evaluating different frameworks to help me develop these web apps more quickly. I've been looking at, and have heard good things about Ruby on Rails. Hulu and YellowPages.com using it is an obvious endorsement - Of course, I have heard about the scalability issues that it potentially has; but that shouldn't be an issue with what I am working on. I don't expect millions of users per day for either project. I am also seriously looking at the Zend Framework for my needs because I already have some experience with PHP. Ideally I would like to find a ZF screencast that shows an app being written quickly so that I have a roughly equal comparison between the two options I am exploring and can see first-hand how things get done in both. That said - I am not opposed to considering frameworks other than RoR or ZF. The only research I've done on the subject has been over the past couple of days so I am quite certain that there are other excellent options out there that I've not even looked at - or heard of. Of course, it'd be awesome if there is a rapid app dev presentation that I can watch for whatever else is suggested. So - Suggestions? Links to good screencasts that show rapid application development in other frameworks? Are there other PHP frameworks that I should be considering? (Ones that are easy to deploy would be ideal, so I don't have to purchase a dedicated server that I have full control over. I'd like to keep my hosting costs down assuming that it's reasonable) Thanks in advance! -Sootah

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  • JAXB marshals XML differently to OutputStream vs. StringWriter

    - by Andy
    I apologize if this has been answered, but the search terms I have been using (i.e. JAXB @XmlAttribute condensed or JAXB XML marshal to String different results) aren't coming up with anything. I am using JAXB to un/marshal objects annotated with @XmlElement and @XmlAttribute annotations. I have a formatter class which provides two methods -- one wraps the marshal method and accepts the object to marshal and an OutputStream, the other just accepts the object and returns the XML output as a String. Unfortunately, these methods do not provide the same output for the same objects. When marshaling to a file, simple object fields internally marked with @XmlAttribute are printed as: <element value="VALUE"></element> while when marshaling to a String, they are: <element value="VALUE"/> I would prefer the second format for both cases, but I am curious as to how to control the difference, and would settle for them being the same regardless. I even created one static marshaller that both methods use to eliminate different instance values. The formatting code follows: /** Marker interface for classes which are listed in jaxb.index */ public interface Marshalable {} /** Local exception class */ public class XMLMarshalException extends BaseException {} /** Class which un/marshals objects to XML */ public class XmlFormatter { private static Marshaller marshaller = null; private static Unmarshaller unmarshaller = null; static { try { JAXBContext context = JAXBContext.newInstance("path.to.package"); marshaller = context.createMarshaller(); marshaller.setProperty(Marshaller.JAXB_FORMATTED_OUTPUT, true); marshaller.setProperty(Marshaller.JAXB_ENCODING, "UTF-8"); unmarshaller = context.createUnmarshaller(); } catch (JAXBException e) { throw new RuntimeException("There was a problem creating a JAXBContext object for formatting the object to XML."); } } public void marshal(Marshalable obj, OutputStream os) throws XMLMarshalException { try { marshaller.marshal(obj, os); } catch (JAXBException jaxbe) { throw new XMLMarshalException(jaxbe); } } public String marshalToString(Marshalable obj) throws XMLMarshalException { try { StringWriter sw = new StringWriter(); marshaller.marshal(obj, sw); } catch (JAXBException jaxbe) { throw new XMLMarshalException(jaxbe); } } } /** Example data */ @XmlType @XmlAccessorType(XmlAccessType.FIELD) public class Data { @XmlAttribute(name = value) private String internalString; } /** Example POJO */ @XmlType @XmlRootElement(namespace = "project/schema") @XmlAccessorType(XmlAccessType.FIELD) public class Container implements Marshalable { @XmlElement(required = false, nillable = true) private int number; @XmlElement(required = false, nillable = true) private String word; @XmlElement(required = false, nillable = true) private Data data; } The result of calling marshal(container, new FileOutputStream("output.xml")) and marshalToString(container) are as follows: Output to file <?xml version="1.0" encoding="UTF-8" standalone="yes"?> <ns2:container xmlns:ns2="project/schema"> <number>1</number> <word>stackoverflow</word> <data value="This is internal"></data> </ns2:container> and Output to String <?xml version="1.0" encoding="UTF-8" standalone="yes"?> <ns2:container xmlns:ns2="project/schema"> <number>1</number> <word>stackoverflow</word> <data value="This is internal"/> </ns2:container>

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  • Does anyone know how to appropriately deal with user timezones in rails 2.3?

    - by Amazing Jay
    We're building a rails app that needs to display dates (and more importantly, calculate them) in multiple timezones. Can anyone point me towards how to work with user timezones in rails 2.3(.5 or .8) The most inclusive article I've seen detailing how user time zones are supposed to work is here: http://wiki.rubyonrails.org/howtos/time-zones... although it is unclear when this was written or for what version of rails. Specifically it states that: "Time.zone - The time zone that is actually used for display purposes. This may be set manually to override config.time_zone on a per-request basis." Keys terms being "display purposes" and "per-request basis". Locally on my machine, this is true. However on production, neither are true. Setting Time.zone persists past the end of the request (to all subsequent requests) and also affects the way AR saves to the DB (basically treating any date as if it were already in UTC even when its not), thus saving completely inappropriate values. We run Ruby Enterprise Edition on production with passenger. If this is my problem, do we need to switch to JRuby or something else? To illustrate the problem I put the following actions in my ApplicationController right now: def test p_time = Time.now.utc s_time = Time.utc(p_time.year, p_time.month, p_time.day, p_time.hour) logger.error "TIME.ZONE" + Time.zone.inspect logger.error ENV['TZ'].inspect logger.error p_time.inspect logger.error s_time.inspect jl = JunkLead.create! jl.date_at = s_time logger.error s_time.inspect logger.error jl.date_at.inspect jl.save! logger.error s_time.inspect logger.error jl.date_at.inspect render :nothing => true, :status => 200 end def test2 Time.zone = 'Mountain Time (US & Canada)' logger.error "TIME.ZONE" + Time.zone.inspect logger.error ENV['TZ'].inspect render :nothing => true, :status => 200 end def test3 Time.zone = 'UTC' logger.error "TIME.ZONE" + Time.zone.inspect logger.error ENV['TZ'].inspect render :nothing => true, :status => 200 end and they yield the following: Processing ApplicationController#test (for 98.202.196.203 at 2010-12-24 22:15:50) [GET] TIME.ZONE#<ActiveSupport::TimeZone:0x2c57a68 @tzinfo=#<TZInfo::DataTimezone: Etc/UTC>, @name="UTC", @utc_offset=0> nil Fri Dec 24 22:15:50 UTC 2010 Fri Dec 24 22:00:00 UTC 2010 Fri Dec 24 22:00:00 UTC 2010 Fri, 24 Dec 2010 22:00:00 UTC +00:00 Fri Dec 24 22:00:00 UTC 2010 Fri, 24 Dec 2010 22:00:00 UTC +00:00 Completed in 21ms (View: 0, DB: 4) | 200 OK [http://www.dealsthatmatter.com/test] Processing ApplicationController#test2 (for 98.202.196.203 at 2010-12-24 22:15:53) [GET] TIME.ZONE#<ActiveSupport::TimeZone:0x2c580a8 @tzinfo=#<TZInfo::DataTimezone: America/Denver>, @name="Mountain Time (US & Canada)", @utc_offset=-25200> nil Completed in 143ms (View: 1, DB: 3) | 200 OK [http://www.dealsthatmatter.com/test2] Processing ApplicationController#test (for 98.202.196.203 at 2010-12-24 22:15:59) [GET] TIME.ZONE#<ActiveSupport::TimeZone:0x2c580a8 @tzinfo=#<TZInfo::DataTimezone: America/Denver>, @name="Mountain Time (US & Canada)", @utc_offset=-25200> nil Fri Dec 24 22:15:59 UTC 2010 Fri Dec 24 22:00:00 UTC 2010 Fri Dec 24 22:00:00 UTC 2010 Fri, 24 Dec 2010 15:00:00 MST -07:00 Fri Dec 24 22:00:00 UTC 2010 Fri, 24 Dec 2010 15:00:00 MST -07:00 Completed in 20ms (View: 0, DB: 4) | 200 OK [http://www.dealsthatmatter.com/test] Processing ApplicationController#test3 (for 98.202.196.203 at 2010-12-24 22:16:03) [GET] TIME.ZONE#<ActiveSupport::TimeZone:0x2c57a68 @tzinfo=#<TZInfo::DataTimezone: Etc/UTC>, @name="UTC", @utc_offset=0> nil Completed in 17ms (View: 0, DB: 2) | 200 OK [http://www.dealsthatmatter.com/test3] Processing ApplicationController#test (for 98.202.196.203 at 2010-12-24 22:16:04) [GET] TIME.ZONE#<ActiveSupport::TimeZone:0x2c57a68 @tzinfo=#<TZInfo::DataTimezone: Etc/UTC>, @name="UTC", @utc_offset=0> nil Fri Dec 24 22:16:05 UTC 2010 Fri Dec 24 22:00:00 UTC 2010 Fri Dec 24 22:00:00 UTC 2010 Fri, 24 Dec 2010 22:00:00 UTC +00:00 Fri Dec 24 22:00:00 UTC 2010 Fri, 24 Dec 2010 22:00:00 UTC +00:00 Completed in 151ms (View: 0, DB: 4) | 200 OK [http://www.dealsthatmatter.com/test] It should be clear above that the 2nd call to /test shows Time.zone set to Mountain, even though it shouldn't. Additionally, checking the database reveals that the test action when run after test2 saved a JunkLead record with a date of 2010-12-22 15:00:00, which is clearly wrong.

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  • Computation on db data then list them using either SimpleCursorAdapter or ArrayAdapter

    - by kc2uno
    Hi all, I juststarted programming in android a few weeks ago, so I am not entirely sure how to deal with listing values. Please help me out! I have some questions regarding displaying data sets from db in a list. Currently I have a cursor returned by my db points to a list of rows and I want display 2 columns values in a single row of the list. The row xml looks like this: <TextView android:id="@+id/text1" android:textSize="16sp" android:textStyle="bold" android:layout_width="fill_parent" android:layout_height="wrap_content"/> <TextView android:id="@+id/text2" android:textSize="14sp" android:layout_width="fill_parent" android:layout_height="wrap_content"/> so I was thinking using simplecursoradapter which supposedly makes my life easier by displaying the data in a list. However that is only true if I want to display the raw data. For the purpose of my program I need to do some computations on the raw data sets, then display them. I am not sure how to do that using SimpleCursorAdapter. Here's how I display the raw data: String[] from = new String[]{BtDbAdapter.KEY_EX_TYPE,BtDbAdapter.KEY_EX_TIMESTAMP}; int[] to = new int[]{R.id.text1, R.id.text2}; // Now create a simple cursor adapter and set it to display SimpleCursorAdapter records = new SimpleCursorAdapter(this, R.layout.exset_row, mExsetCursor, from, to); setListAdapter(records); Is there a way to do computation on the data in those rows before I bind it with the SimpleCursorAdapter? I was trying to use an alternative way of doing this by using arraylist and arrayadapter, but that way I dont know to how achieve displaying 2 items in a single row. This is my code for using arrayadapter which only display 1 text in a row instead of 2 textviews in a row: //fill in the array timestamp_arr = new ArrayList<String>(); type_arr = new ArrayList<String>(); fillRecord(); Log.d(TAG,"setting now in recordlist"); setListAdapter(new ArrayAdapter<String>(this, R.layout.list_item,timestamp_arr)); setListAdapter(new ArrayAdapter<String>(this, R.layout.list_item2,type_arr)); It's very obvious that it only displays one textview in a row because I set the second arrayadapter overwrites the first one! I was trying to use R.id.text1 and R.id.text2 for them, but it gave me some errors saying 04-23 01:40:58.658: ERROR/AndroidRuntime(3309): android.content.res.Resources$NotFoundException: Resource ID #0x7f070008 type #0x12 is not valid I believe the second method can achieve this, but I'm not sure how do deal with the layout problems, so if you any suggestions, please post them out. Thank you!!

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  • Writing more efficient xquery code (avoiding redundant iteration)

    - by Coquelicot
    Here's a simplified version of a problem I'm working on: I have a bunch of xml data that encodes information about people. Each person is uniquely identified by an 'id' attribute, but they may go by many names. For example, in one document, I might find <person id=1>Paul Mcartney</person> <person id=2>Ringo Starr</person> And in another I might find: <person id=1>Sir Paul McCartney</person> <person id=2>Richard Starkey</person> I want to use xquery to produce a new document that lists every name associated with a given id. i.e.: <person id=1> <name>Paul McCartney</name> <name>Sir Paul McCartney</name> <name>James Paul McCartney</name> </person> <person id=2> ... </person> The way I'm doing this now in xquery is something like this (pseudocode-esque): let $ids := distinct-terms( [all the id attributes on people] ) for $id in $ids return <person id={$id}> { for $unique-name in distinct-values ( for $name in ( [all names] ) where $name/@id=$id return $name ) return <name>{$unique-name}</name> } </person> The problem is that this is really slow. I imagine the bottleneck is the innermost loop, which executes once for every id (of which there are about 1200). I'm dealing with a fair bit of data (300 MB, spread over about 800 xml files), so even a single execution of the query in the inner loop takes about 12 seconds, which means that repeating it 1200 times will take about 4 hours (which might be optimistic - the process has been running for 3 hours so far). Not only is it slow, it's using a whole lot of virtual memory. I'm using Saxon, and I had to set java's maximum heap size to 10 GB (!) to avoid getting out of memory errors, and it's currently using 6 GB of physical memory. So here's how I'd really like to do this (in Pythonic pseudocode): persons = {} for id in ids: person[id] = set() for person in all_the_people_in_my_xml_document: persons[person.id].add(person.name) There, I just did it in linear time, with only one sweep of the xml document. Now, is there some way to do something similar in xquery? Surely if I can imagine it, a reasonable programming language should be able to do it (he said quixotically). The problem, I suppose, is that unlike Python, xquery doesn't (as far as I know) have anything like an associative array. Is there some clever way around this? Failing that, is there something better than xquery that I might use to accomplish my goal? Because really, the computational resources I'm throwing at this relatively simple problem are kind of ridiculous.

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  • Maven mercurial extension constantly fails

    - by TheLQ
    After 2+ hours I was able to get the maven-scm-provider-hg extension (for pushing to mercurial repos from Maven) semi working, meaning that it was executing commands instead of just giving errors. However I think I've run into a wall with this error [INFO] [deploy:deploy {execution: default-deploy}] [INFO] Retrieving previous build number from pircbotx.googlecode.com [INFO] Removing C:\DOCUME~1\Owner\LOCALS~1\Temp\wagon-scm1210107000.checkout\pir cbotx\pircbotx\1.3-SNAPSHOT [INFO] EXECUTING: cmd.exe /X /C "hg clone -r tip https://*SNIP*@site.pircbotx.googlecode.com/hg/maven2/snapshots/pircbotx/pircbotx/1.3-SNAPSHOT C:\DOCUME~1\Owner\LOCALS~1\Temp\wagon-scm1210107000.checkout\pircbotx\pircbotx\1.3-SNAPSHOT" [INFO] EXECUTING: cmd.exe /X /C "hg locate" [INFO] repository metadata for: 'snapshot pircbotx:pircbotx:1.3-SNAPSHOT' could not be found on repository: pircbotx.googlecode.com, so will be created Uploading: scm:hg:https://site.pircbotx.googlecode.com/hg/maven2/snapshots/pircbotx/pircbotx/1.3-SNAPSHOT/pircbotx-1.3-SNAPSHOT.jar [INFO] ------------------------------------------------------------------------ [ERROR] BUILD ERROR [INFO] ------------------------------------------------------------------------ [INFO] Error deploying artifact: Error listing repository: No such command 'list'. What on earth would cause that error? I'm on a Windows box, so any commands that aren't commands give "'list' is not recognized as an internal or external command...", not "No such command 'list'." POM <build> <extensions> <extension> <groupId>org.apache.maven.scm</groupId> <artifactId>maven-scm-provider-hg</artifactId> <version>1.4</version> </extension> <extension> <groupId>org.apache.maven.wagon</groupId> <artifactId>wagon-scm</artifactId> <version>1.0-beta-7</version> </extension> </extensions> ... <distributionManagement> <snapshotRepository> <id>pircbotx.googlecode.com</id> <name>PircBotX Site</name> <url>scm:hg:https://site.pircbotx.googlecode.com/hg/maven2/snapshots</url> <uniqueVersion>false</uniqueVersion> </snapshotRepository> </distributionManagement> Mercurial version W:\programming\pircbot-hg>hg version Mercurial Distributed SCM (version 1.7.2) Any suggestions?

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  • error by creating process

    - by Tyzak
    hello i want to get startet with programming with WIN32, therefore i wrote a programm that creates a process but in the line of code where i create the process the programm gets an error an dosn't work (abend). i don't know if the code in programm 1 is wrong or the code in the second programm that should be created by the first. ( I don't know if the code in the first programm after "createprocess" is right because i didn't get further with debugging, because in this line i get the error.(i tested it without the cout,waitforobject and close handle but i didn't work either )). First Programm: #include <iostream> #include <windows.h> #include <string> using namespace std; void main() { bool ret; bool retwait; STARTUPINFO startupinfo; GetStartupInfo (&startupinfo); PROCESS_INFORMATION pro2info; ret = CreateProcess(NULL, L"D:\\betriebssystemePRA1PRO2.exe", NULL, NULL, false, CREATE_NEW_CONSOLE, NULL, NULL, &startupinfo, &pro2info); cout<<"hProcess: "<<pro2info.hProcess<<endl; cout<<"dwProcessId: "<<pro2info.dwProcessId <<endl; retwait= WaitForSingleObject (pro2info.hProcess, 100); retwait= WaitForSingleObject (pro2info.hProcess, 100); CloseHandle (pro2info.hProcess);//prozesshandle schließen retwait= WaitForSingleObject (pro2info.hProcess, 100); ExitProcess(0); } Seconde Programm: #include <iostream> #include <windows.h> #include <string> using namespace std; void main() { int b; b=GetCurrentProcessId(); cout<<b<<endl; cout<<"Druecken Sie Enter zum Beenden"<<endl; cin.get(); //warten bis Benutzer bestätigt Sleep (700); ExitProcess(0); cout<<"test"; } Thanks in advance

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  • Why are there 3 conflicting OpenCV camera calibration formulas?

    - by John
    I'm having a problem with OpenCV's various parameterization of coordinates used for camera calibration purposes. The problem is that three different sources of information on image distortion formulae apparently give three non-equivalent description of the parameters and equations involved: (1) In their book "Learning OpenCV…" Bradski and Kaehler write regarding lens distortion (page 376): xcorrected = x * ( 1 + k1 * r^2 + k2 * r^4 + k3 * r^6 ) + [ 2 * p1 * x * y + p2 * ( r^2 + 2 * x^2 ) ], ycorrected = y * ( 1 + k1 * r^2 + k2 * r^4 + k3 * r^6 ) + [ p1 * ( r^2 + 2 * y^2 ) + 2 * p2 * x * y ], where r = sqrt( x^2 + y^2 ). Assumably, (x, y) are the coordinates of pixels in the uncorrected captured image corresponding to world-point objects with coordinates (X, Y, Z), camera-frame referenced, for which xcorrected = fx * ( X / Z ) + cx and ycorrected = fy * ( Y / Z ) + cy, where fx, fy, cx, and cy, are the camera's intrinsic parameters. So, having (x, y) from a captured image, we can obtain the desired coordinates ( xcorrected, ycorrected ) to produced an undistorted image of the captured world scene by applying the above first two correction expressions. However... (2) The complication arises as we look at OpenCV 2.0 C Reference entry under the Camera Calibration and 3D Reconstruction section. For ease of comparison we start with all world-point (X, Y, Z) coordinates being expressed with respect to the camera's reference frame, just as in #1. Consequently, the transformation matrix [ R | t ] is of no concern. In the C reference, it is expressed that: x' = X / Z, y' = Y / Z, x'' = x' * ( 1 + k1 * r'^2 + k2 * r'^4 + k3 * r'^6 ) + [ 2 * p1 * x' * y' + p2 * ( r'^2 + 2 * x'^2 ) ], y'' = y' * ( 1 + k1 * r'^2 + k2 * r'^4 + k3 * r'^6 ) + [ p1 * ( r'^2 + 2 * y'^2 ) + 2 * p2 * x' * y' ], where r' = sqrt( x'^2 + y'^2 ), and finally that u = fx * x'' + cx, v = fy * y'' + cy. As one can see these expressions are not equivalent to those presented in #1, with the result that the two sets of corrected coordinates ( xcorrected, ycorrected ) and ( u, v ) are not the same. Why the contradiction? It seems to me the first set makes more sense as I can attach physical meaning to each and every x and y in there, while I find no physical meaning in x' = X / Z and y' = Y / Z when the camera focal length is not exactly 1. Furthermore, one cannot compute x' and y' for we don't know (X, Y, Z). (3) Unfortunately, things get even murkier when we refer to the writings in Intel's Open Source Computer Vision Library Reference Manual's section Lens Distortion (page 6-4), which states in part: "Let ( u, v ) be true pixel image coordinates, that is, coordinates with ideal projection, and ( u ~, v ~ ) be corresponding real observed (distorted) image coordinates. Similarly, ( x, y ) are ideal (distortion-free) and ( x ~, y ~ ) are real (distorted) image physical coordinates. Taking into account two expansion terms gives the following: x ~ = x * ( 1 + k1 * r^2 + k2 * r^4 ) + [ 2 p1 * x * y + p2 * ( r^2 + 2 * x^2 ) ] y ~ = y * ( 1 + k1 * r^2 + k2 * r^4 ] + [ 2 p2 * x * y + p2 * ( r^2 + 2 * y^2 ) ], where r = sqrt( x^2 + y^2 ). ... "Because u ~ = cx + fx * u and v ~ = cy + fy * v , … the resultant system can be rewritten as follows: u ~ = u + ( u – cx ) * [ k1 * r^2 + k2 * r^4 + 2 * p1 * y + p2 * ( r^2 / x + 2 * x ) ] v ~ = v + ( v – cy ) * [ k1 * r^2 + k2 * r^4 + 2 * p2 * x + p1 * ( r^2 / y + 2 * y ) ] The latter relations are used to undistort images from the camera." Well, it would appear that the expressions involving x ~ and y ~ coincided with the two expressions given at the top of this writing involving xcorrected and ycorrected. However, x ~ and y ~ do not refer to corrected coordinates, according to the given description. I don't understand the distinction between the meaning of the coordinates ( x ~, y ~ ) and ( u ~, v ~ ), or for that matter, between the pairs ( x, y ) and ( u, v ). From their descriptions it appears their only distinction is that ( x ~, y ~ ) and ( x, y ) refer to 'physical' coordinates while ( u ~, v ~ ) and ( u, v ) do not. What is this distinction all about? Aren't they all physical coordinates? I'm lost! Thanks for any input!

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  • trouble with boost::filesystem::wrecursive_directory_iterator

    - by Dogmatixed
    I'm trying to write a program to help me manage my iTunes library, including removing duplicates and cataloging certain things. At this point I'm still just trying to get it to walk through all the folders, and have run into a problem: I have a small amount of Japanese music, where the artist and/or album is written in Japanese characters. Because of how iTunes arranges things in its library the directories contain these characters. "shouldn't be a problem, though." I thought, because the boost::filesystem library has a wide character version of its recursive iterator. but when I actually try to use it, it seems to completely stop when it hits the first Japanese char. complete stop as in it doesn't finish printing the line, no carriage return or anything. now, I'm still pretty new to programming, so I'm assuming it's my mistake, anyone know why this is happening? here's what I think is the relevant code: fs::wrecursive_directory_iterator end_it; int i; try { for(fs::wrecursive_directory_iterator rec_it(full_path); rec_it != end_it; ++rec_it) { for(i = 0; i < rec_it.level(); i++) { out << "\t"; } out << rec_it->string() << std::endl; } } catch(std::exception e) { out << "something went wrong: " << e.what(); } and from my output file, minus some of the path: /Test Libs/Combine /Test Libs/Lib1 /Test Libs/Lib1/02 Too Long.m4a /Test Libs/Lib1/03 Like a Hitman, Like a Dancer.mp3 /Test Libs/Lib1/A Certain Ratio /Test Libs/Lib1/A Certain Ratio/Beyond Punk! /Test Libs/Lib1/A Certain Ratio/Unknown Album /Test Libs/Lib1/A Certain Ratio/Unknown Album/Do The Du.mp3 /Test Libs/Lib1/A Certain Ratio/Unknown Album/Shack Up.mp3 /Test Libs/Lib1/ finally, what I expect: /Test Libs/Combine /Test Libs/Lib1 /Test Libs/Lib1/02 Too Long.m4a /Test Libs/Lib1/03 Like a Hitman, Like a Dancer.mp3 /Test Libs/Lib1/A Certain Ratio /Test Libs/Lib1/A Certain Ratio/Beyond Punk! /Test Libs/Lib1/A Certain Ratio/Unknown Album /Test Libs/Lib1/A Certain Ratio/Unknown Album/Do The Du.mp3 /Test Libs/Lib1/A Certain Ratio/Unknown Album/Shack Up.mp3 /Test Libs/Lib1/??? /Test Libs/Lib1/Bring it on /Test Libs/Lib1/04 Bring it on.mp3 any thoughts? Thanks.

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  • Installing my sdist from PyPI puts the files in the wrong places

    - by Tartley
    Hey. My problem is that when I upload my Python package to PyPI, and then install it from there using pip, my app breaks because it installs my files into completely different locations than when I simply install the exact same package from a local sdist. Installing from the local sdist puts files on my system like this: /Python27/ Lib/ site-packages/ gloopy-0.1.alpha-py2.7.egg/ (egg and install info files) data/ (images and shader source) doc/ (html) examples/ (.py scripts that use the library) gloopy/ (source) This is much as I'd expect, and works fine (e.g. my source can find my data dir, because they lie next to each other, just like they do in development.) If I upload the same sdist to PyPI and then install it from there, using pip, then things look very different: /Python27/ data/ (images and shader source) doc/ (html) Lib/ site-packages/ gloopy-0.1.alpha-py2.7.egg/ (egg and install info files) gloopy/ (source files) examples/ (.py scripts that use the library) This doesn't work at all - my app can't find its data files, plus obviously it's a mess, polluting the top-level /python27 directory with all my junk. What am I doing wrong? How do I make the pip install behave like the local sdist install? Is that even what I should be trying to achieve? Details I have setuptools installed, and also distribute, and I'm calling distribute_setup.use_setuptools() WindowsXP, Python2.7. My development directory looks like this: /gloopy /data (image files and GLSL shader souce read at runtime) /doc (html files) /examples (some scripts to show off the library) /gloopy (the library itself) My MANIFEST.in mentions all the files I want to be included in the sdist, including everything in the data, examples and doc directories: recursive-include data *.* recursive-include examples *.py recursive-include doc/html *.html *.css *.js *.png include LICENSE.txt include TODO.txt My setup.py is quite verbose, but I guess the best thing is to include it here, right? I also includes duplicate references to the same data / doc / examples directories as are mentioned in the MANIFEST.in, because I understand this is required in order for these files to be copied from the sdist to the system during install. NAME = 'gloopy' VERSION= __import__(NAME).VERSION RELEASE = __import__(NAME).RELEASE SCRIPT = None CONSOLE = False def main(): import sys from pprint import pprint from setup_utils import distribute_setup from setup_utils.sdist_setup import get_sdist_config distribute_setup.use_setuptools() from setuptools import setup description, long_description = read_description() config = dict( name=name, version=version, description=description, long_description=long_description, keywords='', packages=find_packages(), data_files=[ ('examples', glob('examples/*.py')), ('data/shaders', glob('data/shaders/*.*')), ('doc', glob('doc/html/*.*')), ('doc/_images', glob('doc/html/_images/*.*')), ('doc/_modules', glob('doc/html/_modules/*.*')), ('doc/_modules/gloopy', glob('doc/html/_modules/gloopy/*.*')), ('doc/_modules/gloopy/geom', glob('doc/html/_modules/gloopy/geom/*.*')), ('doc/_modules/gloopy/move', glob('doc/html/_modules/gloopy/move/*.*')), ('doc/_modules/gloopy/shapes', glob('doc/html/_modules/gloopy/shapes/*.*')), ('doc/_modules/gloopy/util', glob('doc/html/_modules/gloopy/util/*.*')), ('doc/_modules/gloopy/view', glob('doc/html/_modules/gloopy/view/*.*')), ('doc/_static', glob('doc/html/_static/*.*')), ('doc/_api', glob('doc/html/_api/*.*')), ], classifiers=[ 'Development Status :: 1 - Planning', 'Intended Audience :: Developers', 'License :: OSI Approved :: BSD License', 'Operating System :: Microsoft :: Windows', 'Programming Language :: Python :: 2.7', ], # see classifiers http://pypi.python.org/pypi?:action=list_classifiers ) config.update(dict( author='Jonathan Hartley', author_email='[email protected]', url='http://bitbucket.org/tartley/gloopy', license='New BSD', ) ) if '--verbose' in sys.argv: pprint(config) setup(**config) if __name__ == '__main__': main()

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  • one page over 9 different urls

    - by Ali Demirtas
    Hi I am using prestashop as the cart for my website. I have a problem; the website used to be in dynamic urls. I enabled friendly url writing. The problem is that one page has more than one url. You can access a same page from the dynamic url and static url. In fact a single page has 9 different urls. This obviously creates problems for seo as search engines penalize my website for this. Here are examples of a page with more than 2 urls (http://www.turkishfootballstore.com/lang-nl/product.php?id_product=515) (http://www.turkishfootballstore.com/fenerbahce/515-fenerbahce-thuisshirt-20092010.html) (http://www.turkishfootballstore.com/lang-nl/fenerbahce/515-fenerbahce-thuisshirt-20092010.html) you can see even the static url's have 2 one with language defined and the other without. out fo the three urls above the correct one is the one at the bottom. What can I do to solve this problem? I have no knowledge of programming. Here is the htaccess for the website. Any sample code or help is really appreciated. There is 550 pages and every page is published in 17 different languages I want to use a 301 auto redirect. What is the simplest way to do it? I have no idea of coding. # URL rewriting module activation RewriteEngine on # URL rewriting rules RewriteRule ^([a-z0-9]+)\-([a-z0-9]+)(\-[_a-zA-Z0-9-]*)/([_a-zA-Z0-9-]*)\.jpg$ /img/p/$1-$2$3.jpg [L,E] RewriteRule ^([0-9]+)\-([0-9]+)/([_a-zA-Z0-9-]*)\.jpg$ /img/p/$1-$2.jpg [L,E] RewriteRule ^([0-9]+)(\-[_a-zA-Z0-9-]*)/([_a-zA-Z0-9-]*)\.jpg$ /img/c/$1$2.jpg [L,E] RewriteRule ^lang-([a-z]{2})/([a-zA-Z0-9-]*)/([0-9]+)\-([a-zA-Z0-9-]*)\.html(.*)$ /product.php?id_product=$3&isolang=$1$5 [L,E] RewriteRule ^lang-([a-z]{2})/([0-9]+)\-([a-zA-Z0-9-]*)\.html(.*)$ /product.php?id_product=$2&isolang=$1$4 [L,E] RewriteRule ^lang-([a-z]{2})/([0-9]+)\-([a-zA-Z0-9-]*)(.*)$ /category.php?id_category=$2&isolang=$1 [QSA,L,E] RewriteRule ^([a-zA-Z0-9-]*)/([0-9]+)\-([a-zA-Z0-9-]*)\.html(.*)$ /product.php?id_product=$2$4 [L,E] RewriteRule ^([0-9]+)\-([a-zA-Z0-9-]*)\.html(.*)$ /product.php?id_product=$1$3 [L,E] RewriteRule ^([0-9]+)\-([a-zA-Z0-9-]*)(.*)$ /category.php?id_category=$1 [QSA,L,E] RewriteRule ^content/([0-9]+)\-([a-zA-Z0-9-]*)(.*)$ /cms.php?id_cms=$1 [QSA,L,E] RewriteRule ^([0-9]+)__([a-zA-Z0-9-]*)(.*)$ /supplier.php?id_supplier=$1$3 [QSA,L,E] RewriteRule ^([0-9]+)_([a-zA-Z0-9-]*)(.*)$ /manufacturer.php?id_manufacturer=$1$3 [QSA,L,E] RewriteRule ^lang-([a-z]{2})/(.*)$ /$2?isolang=$1 [QSA,L,E] # Catch 404 errors ErrorDocument 404 /404.php Options +FollowSymLinks RewriteEngine on RewriteCond %{HTTP_HOST} ^***.com [NC] RewriteRule ^(.*)$ http://www.***.com/$1 [L,R=301] Options +FollowSymLinks RewriteEngine on # index.php to / RewriteCond %{THE_REQUEST} ^[A-Z]{3,9}\ /.*index\.php\ HTTP/ RewriteRule ^(.*)index\.php$ /$1 [R=301,L] Header set Cache-Control: "no-store, no-cache, must-revalidate, pre-check=0, post-check=0, max-age=0"

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  • Winforms: calling entry form function from a different class

    - by samy
    I'm kinda new to programming and got a question on what is a good practice. I created a class that represents a ball and it has a function Jump() that use 2 timers and get the ball up and down. I know that in Winforms you got to call Invalidate() every time you want to repaint the screen, or part of it. I didn't find a good way to do that, so I reference the form in my class, and called Invalidate() inside my ball class every time I need to repaint to ball movement. (this works but I got a feeling that this is not a good practice) Here is the class I created: public class Ball { public Form1 parent;//----> here is the reference to the form public Rectangle ball; Size size; public Point p; Timer timerBallGoUp = new Timer(); Timer timerBallGDown = new Timer(); public int ballY; public Ball(Size _size, Point _p) { size = _size; p = _p; ball = new Rectangle(p, size); } public void Jump() { ballY = p.Y; timerBallGDown.Elapsed += ballGoDown; timerBallGDown.Interval = 50; timerBallGoUp.Elapsed += ballGoUp; timerBallGoUp.Interval = 50; timerBallGoUp.Start(); } private void ballGoUp(object obj,ElapsedEventArgs e) { p.Y++; ball.Location = new Point(ball.Location.X, p.Y); if (p.Y >= ballY + 50) { timerBallGoUp.Stop(); timerBallGDown.Start(); } parent.Invalidate(); // here i call parent.Invalidate() 1 } private void ballGoDown(object obj, ElapsedEventArgs e) { p.Y--; ball.Location = new Point(ball.Location.X, p.Y); if (p.Y <= ballY) { timerBallGDown.Stop(); timerBallGoUp.Start(); } parent.Invalidate(); // here i call parent.Invalidate() 2 } } I'm wondring if there is a better way to do that? (sorry for my english)

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  • Segmentation fault in std function std::_Rb_tree_rebalance_for_erase ()

    - by Sarah
    I'm somewhat new to programming and am unsure how to deal with a segmentation fault that appears to be coming from a std function. I hope I'm doing something stupid (i.e., misusing a container), because I have no idea how to fix it. The precise error is Program received signal EXC_BAD_ACCESS, Could not access memory. Reason: KERN_INVALID_ADDRESS at address: 0x000000000000000c 0x00007fff8062b144 in std::_Rb_tree_rebalance_for_erase () (gdb) backtrace #0 0x00007fff8062b144 in std::_Rb_tree_rebalance_for_erase () #1 0x000000010000e593 in Simulation::runEpidSim (this=0x7fff5fbfcb20) at stl_tree.h:1263 #2 0x0000000100016078 in main () at main.cpp:43 The function that exits successfully just before the segmentation fault updates the contents of two containers. One is a boost::unordered_multimap called carriage; it contains one or more struct Infection objects that contain two doubles. The other container is of type std::multiset< Event, std::less< Event EventPQ called ce. It is full of Event structs. void Host::recover( int s, double recoverTime, EventPQ & ce ) { // Clearing all serotypes in carriage // and their associated recovery events in ce // and then updating susceptibility to each serotype double oldRecTime; int z; for ( InfectionMap::iterator itr = carriage.begin(); itr != carriage.end(); itr++ ) { z = itr->first; oldRecTime = (itr->second).recT; EventPQ::iterator epqItr = ce.find( Event(oldRecTime) ); assert( epqItr != ce.end() ); ce.erase( epqItr ); immune[ z ]++; } carriage.clear(); calcSusc(); // a function that edits an array cout << "Done with sync_recovery event." << endl; } The last cout << line appears immediately before the seg fault. I hope this is enough (but not too much) information. My idea so far is that the rebalancing is being attempting on ce after this function, but I am unsure why it would be failing. (It's unfortunately very hard for me to test this code by removing particular lines, since they would create logical inconsistencies and further problems, but if experienced programmers still think this is the way to go, I'll try.)

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