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  • Service behavior not being applied correctly

    - by Rubans
    I have a custom behavior for a service where I want to specify a receive timeout value, I have created a behavior and on the build service header. I use the declarative attribute to apply the behavior or as I thought. But the behavior seems to make no difference, i.e. the set timeout value is not being applied as expected. However when I have noticed the behavior is only being applied when the host is opened rather than when created. The same behavior when applied explicitly through does work. Any ideas? Behavior: [AttributeUsage(AttributeTargets.Class)] public class BuildServiceBindingBehavior : Attribute, IServiceBehavior { public BuildServiceBindingBehavior( string p_receiveTime ) { ReceiveTimeout = TimeSpan.Parse( p_receiveTime ); } #region IServiceBehavior Members public void AddBindingParameters( ServiceDescription serviceDescription, ServiceHostBase serviceHostBase, System.Collections.ObjectModel.Collection<ServiceEndpoint> endpoints, System.ServiceModel.Channels.BindingParameterCollection bindingParameters ) { } public void ApplyDispatchBehavior( ServiceDescription serviceDescription, ServiceHostBase serviceHostBase ) { // add this behavior to each endpoint foreach ( var endPoint in serviceDescription.Endpoints ) { endPoint.Binding.ReceiveTimeout = ReceiveTimeout; } } public void Validate( ServiceDescription serviceDescription, ServiceHostBase serviceHostBase ) { } #endregion internal TimeSpan ReceiveTimeout { get; set; } } Service code: [ServiceBehavior(Name = "DotNetBuildsService", InstanceContextMode = InstanceContextMode.PerSession, ConcurrencyMode = ConcurrencyMode.Single )] // Set receieve time out [BuildServiceBindingBehavior( "0:0:1" )] public class BuildService : IBuildTasksService { //implementation code }

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  • Move SELECT to SQL Server side

    - by noober
    Hello all, I have an SQLCLR trigger. It contains a large and messy SELECT inside, with parts like: (CASE WHEN EXISTS(SELECT * FROM INSERTED I WHERE I.ID = R.ID) THEN '1' ELSE '0' END) AS IsUpdated -- Is selected row just added? as well as JOINs etc. I like to have the result as a single table with all included. Question 1. Can I move this SELECT to SQL Server side? If yes, how to do this? Saying "move", I mean to create a stored procedure or something else that can be executed before reading dataset in while cycle. The 2 following questions make sense only if answer is "yes". Why do I want to move SELECT? First off, I don't like mixing SQL with C# code. At second, I suppose that server-side queries run faster, since the server have more chances to cache them. Question 2. Am I right? Is it some sort of optimizing? Also, the SELECT contains constant strings, but they are localizable. For instance, WHERE R.Status = "Enabled" "Enabled" should be changed for French, German etc. So, I want to write 2 static methods -- OnCreate and OnDestroy -- then mark them as stored procedures. When registering/unregistering my assembly on server side, just call them respectively. In OnCreate format the SELECT string, replacing {0}, {1}... with required values from the assembly resources. Then I can localize resources only, not every script. Question 3. Is it good idea? Is there an existing attribute to mark methods to be executed by SQL Server automatically after (un)registartion an assembly? Regards,

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  • Are these saml request-response good enough?

    - by Ashwin
    I have set up a single sign on(SSO) for my services. All the services confirm the identity of the user using the IDPorvider(IDP). In my case I am also the IDP. In my saml request, I have included the following: 1. the level for which auth. is required. 2. the consumer url 3. the destination service url. 4. Issuer Then, encrypting this message with the SP's(service provider) private key and then with the IDP's Public key. Then I am sending this request. The IDP on receiving the request, first decrypts with his own private key and then with SP's public key. In the saml response: 1. destination url 2. Issuer 3. Status of the response Is this good enough? Please give your suggestions?

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  • Java: refactoring static constants

    - by akf
    We are in the process of refactoring some code. There is a feature that we have developed in one project that we would like to now use in other projects. We are extracting the foundation of this feature and making it a full-fledged project which can then be imported by its current project and others. This effort has been relatively straight-forward but we have one headache. When the framework in question was originally developed, we chose to keep a variety of constant values defined as static fields in a single class. Over time this list of static members grew. The class is used in very many places in our code. In our current refactoring, we will be elevating some of the members of this class to our new framework, but leaving others in place. Our headache is in extracting the foundation members of this class to be used in our new project, and more specifically, how we should address those extracted members in our existing code. We know that we can have our existing Constants class subclass this new project's Constants class and it would inherit all of the parent's static members. This would allow us to effect the change without touching the code that uses these members to change the class name on the static reference. However, the tight coupling inherent in this choice doesn't feel right. before: public class ConstantsA { public static final String CONSTANT1 = "constant.1"; public static final String CONSTANT2 = "constant.2"; public static final String CONSTANT3 = "constant.3"; } after: public class ConstantsA extends ConstantsB { public static final String CONSTANT1 = "constant.1"; } public class ConstantsB { public static final String CONSTANT2 = "constant.2"; public static final String CONSTANT3 = "constant.3"; } In our existing code branch, all of the above would be accessible in this manner: ConstantsA.CONSTANT2 I would like to solicit arguments about whether this is 'acceptable' and/or what the best practices are.

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  • Linux apache developing configuration

    - by Jeffrey Vandenborne
    Recenly reinstalled my system, and came to a point where I need apache and php. I've been searching a long time, but I can't figure out how to configure apache the best way for a developer computer. The plan is simple, I want to install apache 2 + mysql server so I can develop some php website. I don't want to install lamp though, just the apache2, php5 and mysql. The problem that I've been looking an answer for is the permissions on the /var/www/ folder. I've tried making it my folder using the chown command, followed by a chmod -R 755 /var/www. Most things work then, but fwrite for example won't work, because I need to give write permissions to everyone, unless I change my global umask to 000 I'm not sure what I can do. In short: I want to install apache2, php5, mysql-server without using lamp, but configured in a way so I can open up netbeans, start a project with root in /var/www/, and run every single function without permission faults. Does anyone have experiences or workarounds to this? Extra: OS: Ubuntu 10.04 ARCH: x86_64

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  • What do you call a generalized (non-GUI-related) "Model-View-Controller" architecture?

    - by dcuccia
    I am currently refactoring code that coordinates multiple hardware components for data acquisition, and feeling a bit like I'm recreating the wheel. In particular, an MVC-like pattern seems to be emerging. Except, this has nothing to do with a GUI and I'm worried that I'm forcing this particular pattern where another might be more appropriate. Here's my scenario: Individual hardware "component" classes obey interface contracts for each hardware type. Previously, component instances were orchestrated by a single monolithic InstrumentController class, which relied heavily on configuration + branching logic for executing a specific acquisition sequence. After an iteration, I have a separate controller for each component, with these controllers all managed by a small InstrumentControllerBase (or its derivatives). The composite system will receive "input" either programmatically or via inter-hardware component triggering - in either case these interactions are routed to, and handled by, the appropriate controller. So, I have something that feels MVC-esque, but I don't know if that's because I'm forcing the point. With little direct MVC experience in application development, it's hard to know if I'm just trying to make my scenario fit MVC, where another pattern might be a good alternative or complimentary. My problem is, search results and wiki documentation of these family of patterns seems to immediately drop me into GUI-specific discussions. I understand "M means Model data and the V means View" - but do you call the superset pattern? Component-Commander-Controller? Whence can I exhume examples exemplary?

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  • Creating a network adapter - how hard is it?

    - by Vilx-
    I'm interested in building a little (commercial) device on top of Arduino. I want it to be able to interface with network. Network as in standard Ethernet, Cat5, RJ-45, etc. I know that there is an Ethernet Shield, but it costs even more than the Arduino itself, and it's pretty big. Naturally, I want my device to be as small and as cheap as possible. So I'm thinking about recreating an Ethernet module myself. The problem is - I haven't got any experience with Ethernet, nor do I have a good idea where to start looking. Thus I can't even say if my ideas are feasible. Ultimately I would like the device to have three ports - one for incoming signal, two for outgoing, so the device is essentially a little switch where it is plugged in itself as well. The switching capabilities need not be very fast - the volume of data will be low. 10Mbit is more than enough, can be even slower. If that is not possible, a single port for controlling the device itself will also do. Another possibility I'm considering is power line communications - sending information through power lines. That's another area I've no experience with. What hardware should I be looking at, and where can I find information about the necessary software? So - can anyone tell me if these ideas are feasible, and if yes - where should I start looking?

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  • JQuery: Combine multiple pages into one

    - by k_wave
    I am developing an application by using phonegap and jQuery Mobile. Phonegap recommends a single document structure. As 5 divs or more in a document are pretty unclear, I'm trying to split up my pages (the div's) into multiple documents. As soon as phonegap loads the app, I want to insert these documents into the index.html. function loadPage(external_document) { var docname=external_document+".html"; $.get(docname, function(data) { console.log(docname+" loading"); $("body").append($(data).find("body")); $("head").append($(data).find("head")); console.log(docname+" loaded"); }); } document.addEventListener("deviceready", function(){ loadPage("DialogCredentials"); }, false); DialogCredentials.html <html> <head> <script type="text/javascript" src="js/DialogCredentials.js"></script> </head> <body> <div data-role="page" id="dlg_credentials"> <div data-role="header"><h1>Login</h1></div> <div data-role="content"> ... </div> </div><!-- /page --> </body> </html> As soon as the loadPage gets executed there should be a <div id="dlg_credentials"… and the corresponding javascript tag in the dom of my main document. But it isn't. There are no errors shown in the web inspector. So what am I doing wrong here?

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  • Noise with multi-threaded raytracer

    - by herber88
    This is my first multi-threaded implementation, so it's probably a beginners mistake. The threads handle the rendering of every second row of pixels (so all rendering is handled within each thread). The problem persists if the threads render the upper and lower parts of the screen respectively. Both threads read from the same variables, can this cause any problems? From what I've understood only writing can cause concurrency problems... Can calling the same functions cause any concurrency problems? And again, from what I've understood this shouldn't be a problem... The only time both threads write to the same variable is when saving the calculated pixel color. This is stored in an array, but they never write to the same indices in that array. Can this cause a problem? Multi-threaded rendered image (Spam prevention stops me from posting images directly..) Ps. I use the exactly same implementation in both cases, the ONLY difference is a single vs. two threads created for the rendering.

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  • Esper generating episodes

    - by Jasonojh
    I would like to use Esper to generate episodes of events. I am trying to detect the changes in robot movement during each time period and was wondering what would be the best way of implementation. The rules for generation of episodes from the events would be If the new event time(eg. 7sec, robot A) of a robot is more than 3 sec than the latest event(eg. 3 sec, robot A) of the same robot, the new event belongs to a new episode. Each episode should represent only one robot (eg. 2sec, robotA and 3sec, robotB should output 2 episodes) Input data: Event Time Robot Position 1 1 A 0 2 2 A 1 3 6 A 2 Output data should be: Array[0]={Event 1,Event 2} Array[1]={Event 3} //more than 3 sec Input data: Event Time Robot Position 1 1 A 0 2 2 A 1 3 4 B 0 4 6 A 2 Output data should be: Array[0]={Event 1,Event 2} Array[1]={Event 3} //different robot Array[2]={Event 4} Please help provide suggestions. I have tried using mulitple listeners, one for each robot, to create episodes and it works but I am trying to use a single EPL statement to do it. I have tried win:time_accum(3sec) group by robot but the second example output: Array[0]={Event 1,Event 2, Event 4} Array[1]={Event 3} as the time window is shifted everytime an event comes in, the system still thinks that event 4 is less than 3 sec due to event 3. how do I create a unique time window for each robot? Thank you for your suggestions and any help is greatly appreciated.

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  • Stop writing blank line at the end of CSV file (using MATLAB)

    - by Grant M.
    Hello all ... I'm using MATLAB to open a batch of CSV files containing column headers and data (using the 'importdata' function), then I manipulate the data a bit and write the headers and data to new CSV files using the 'dlmwrite' function. I'm using the '-append' and 'newline' attributes of 'dlmwrite' to add each line of text/data on a new line. Each of my new CSV files has a blank line at the end, whereas this blank line was not there before when I read in the data ... and I'm not using 'newline' on my final call of 'dlmwrite'. Does anyone know how I can keep from writing this blank line to the end of my CSV files? Thanks for your help, Grant EDITED 5/18/10 1:35PM CST - Added information about code and text file per request ... you'll notice after performing the procedure below that there appears to be a carriage return at the end of the last line in the new text file. Consider a text file named 'textfile.txt' that looks like this: Column1, Column2, Column3, Column4, Column 5 1, 2, 3, 4, 5 1, 2, 3, 4, 5 1, 2, 3, 4, 5 1, 2, 3, 4, 5 1, 2, 3, 4, 5 Here's a sample of the code I am using: % import data importedData = importdata('textfile.txt'); % manipulate data importedData.data(:,1) = 100; % store column headers into single comma-delimited % character array (for easy writing later) columnHeaders = importedData.textdata{1}; for counter = 2:size(importedData.textdata,2) columnHeaders = horzcat(columnHeaders,',',importedData.textdata{counter}); end % write column headers to new file dlmwrite('textfile_updated.txt',columnHeaders,'Delimiter','','newline','pc') % append all but last line of data to new file for dataCounter = 1:(size(importedData.data,2)-1) dlmwrite('textfile_updated.txt',importedData.data(dataCounter,:),'Delimiter',',','newline','pc','-append') end % append last line of data to new file, not % creating new line at end dlmwrite('textfile_updated.txt',importedData.data(end,:),'Delimiter',',','-append')

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  • Passing user_id, site_id, and question_id to same table on create...

    - by bgadoci
    I can't seem to figure out how to do this. I am trying to pass four different variables to a single table. To be more specific I am trying to create a "like" in a likes table that also captures the site_id (like an answer), user_id, and the question_id. Here is the set up. class Like < ActiveRecord::Base belongs_to :site belongs_to :user belongs_to :question end I will spare you the reverse, has_many associations but they are there. Here is the likes controller where I think the problem is. class LikesController < ApplicationController def create @user = current_user @site = Site.find(params[:site_id]) @like = @site.likes.create!(params[:like]) @like.user = current_user @like.save respond_to do |format| format.html { redirect_to @site} format.js end end end This code successfully passes the like and site_id but after many different variations of trying I can't get it to pass the question id. Here is my form: /views/sites/_site.html.erb (though the partial is being displayed in the /views/questions/show.html.erb file). <% remote_form_for [site, Like.new] do |f| %> <%= f.hidden_field :site_name, :value => "#{site.name}" %> <%= f.hidden_field :ip_address, :value => "#{request.remote_ip}" %> <%= f.hidden_field :like, :value => "1" %> <%= submit_tag "^" , :class => 'voteup' %> <% end %>

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  • Obtain reference to View in ActionScript class within ViewNavigatorApplication

    - by chb
    I've got a very simple project in FlashBuilder 4.5. It's a mobile application of type ViewNavigatorApplication with a single view, MapView. In the MapView.mxml file, I've got a Flex component of type Map declared in xml. <?xml version="1.0" encoding="utf-8"?> <s:View xmlns:fx="http://ns.adobe.com/mxml/2009" name="CatBusMapView"> <fx:Script> <![CDATA[ import com.esri.ags.Map; .... ]]> </fx:Script> <fx:Declarations> .... </fx:Declarations> <esri:Map id="cbm"> ... </esri:Map> </s:View> In this same project, I've an actionscript class called UserGeolocation. In this class, I'm attempting to get a reference to this map component. So far, I can get a reference to the top-level application, its ViewNavigator and the NavigationStack of said ViewNavigator. However, I cannot find a way to access the MapView, much less the map I've declared within it. I'm aware of methods like firstView() and activeView(), but I want an absolute solution, one that retrieves the view regardless of whether or not it's first or active. I've tried navigator.getChildByName("MapView") with no luck.

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  • C# Application process hangs after some time

    - by Chris
    Hi, I implemented a simple C# application which inserts about 350000 records into the database. This used to work well and the process took approximately 20 minutes. I created a progress bar which lets you know approximately the progress of the records insertion. When the progress bar reaches about 75% it stops progressing. I have to manually terminate the program as the process doesn't seem to complete. If I use less data (like 10000), the progress bar finishes and the process is completed. However when I try to insert all the records, this won't happen any more. Note that if I wait longer to terminate the program manually, more records would have been inserted. For example, if I terminate the program after 15 minutes, 200000 records are inserted, whereas if I terminate the program after 20 minutes, 250000 records are inserted. This program is using a single thread. In face I can't do anything else until the process is complete. Does this have anything to do with threading or processes? Any feedback will be greatly appreciated. Thanks.

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  • nhibernate sessionfactory instance more than once on web service

    - by Manuel
    Hello, i have a web service that use nhibernate. I have a singleton pattern on the repositorry library but on each call the service, it creates a new instance of the session factory wich is very expensive. What can i do? region Atributos /// <summary> /// Session /// </summary> private ISession miSession; /// <summary> /// Session Factory /// </summary> private ISessionFactory miSessionFactory; private Configuration miConfiguration = new Configuration(); private static readonly ILog log = LogManager.GetLogger(typeof(NHibernatePersistencia).Name); private static IRepositorio Repositorio; #endregion #region Constructor private NHibernatePersistencia() { //miConfiguration.Configure("hibernate.cfg.xml"); try { miConfiguration.Configure(); this.miSessionFactory = miConfiguration.BuildSessionFactory(); this.miSession = this.SessionFactory.OpenSession(); log.Debug("Se carga NHibernate"); } catch (Exception ex) { log.Error("No se pudo cargar Nhibernate " + ex.Message); throw ex; } } public static IRepositorio Instancia { get { if (Repositorio == null) { Repositorio = new NHibernatePersistencia(); } return Repositorio; } } #endregion #region Propiedades /// <summary> /// Sesion de NHibernate /// </summary> public ISession Session { get { return miSession.SessionFactory.GetCurrentSession(); } } /// <summary> /// Sesion de NHibernate /// </summary> public ISessionFactory SessionFactory { get { return this.miSessionFactory; } } #endregion In wich way can i create a single instance for all services?

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  • Looking for an issue tracker / project management software that automatically manages start/completion dates based on priority/relationships

    - by user361910
    So, a little background. We are a small company with a half-dozen developers. We have been evaluating many project management / issue tracking software packages (TRAC, Redmine, FogBugz, etc) and trying to create a decent process/workflow for managing projects, adding features, fixing bugs, etc. I'd like to think our requirements are similar to most other companies our size. Essentially, what this comes down to is 1) An easy way for the PM and developers to track projects, issues, bugs, etc 2) An easy way for the PM and admin/executives to get a birds-eye view of progress and easily manage timelines, schedules, and priorities. After trying TRAC, we moved to Redmine. We found Redmine to be easier than track to administer and the ability to have sub-projects and sub-tickets is great. However, the big problem we ran into is the fact that it is very difficult to manage schedules and timelines. It seems like it would be incredibly time-intensive to manage because you have to manually enter a start date, estimated time, and end date for each ticket, project, etc. So if you setup a month's schedule based on priorities, what are you supposed to do when a particular ticket/issue/subproject takes up more time than was estimated. Right now, it appears I would have to go back in and MANUALLY change the start/end date of every single item. What would be ideal is to be able to set priorities/dependencies and estimated time on tickets/milestones, and have the software automatically manage the start/end dates. Does anyone know how to get Redmine to do this, or recommend a different software package that can do something like this!

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  • Best (functional?) programming language to learn coming from Mathematica

    - by Will Robertson
    As a mechanical engineering PhD student, I haven't had a great pedigree in programming as part of my “day job”. I started out in Matlab (having written some Hypercard and Applescript back in the day, and being introduced to Ada, of all things, in my 1st undergrad year), learned to program—if you can call it that—in (La)TeX; and finally discovered and fell for Mathematica. Now I'm interested in learning a "real" programming language that I can enjoy in the same sort of style as Mathematica, which tries to stress functional programming since it seems to map more nicely to how certain kinds of mathematics can be written algorithmically. So which functional language should I learn? I guess the obvious answer is “as many as possible”, but let's start out humble and give a single, well-considered option a good crack. I've heard good things about, say, Haskell and Scala, but I wonder if (given my non–computer science background) I'd be better off starting in more “grounded” territory and going with Ruby or Python (the latter having the big advantage of being used for Sage, which I'd also like to investigate…after my PhD). Well, I guess this is pretty subjective, so perhaps I could rephrase: would it be better to start looking at Haskell (say) straight after an ad-hoc education to functional programming in Mathematica, or will I get more out of learning Python (say) first? In reference to the question "what do I want to do with it?", I guess my answer is "fun, and learning more". I've got this list of languages that I'd like to look at, and I don't know how to trim them down. And I'd rather start with something a little higher-level than C simply so that I can be somewhat productive without having to re-invent many wheels for any code I'd like to write.

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  • SQL left join with multiple rows into one row

    - by beardedd
    Basically, I have two tables, Table A contains the actual items that I care to get out, and Table B is used for language translations. So, for example, Table A contains the actual content. Anytime text is used within the table, instead of storing actual varchar values, ids are stored that relate back to text stored in Table B. This allows me to by adding a languageID column to Table B, have multiple translations for the same row in the database. Example: Table A Title (int) Description (int) Other Data.... Table B TextID (int) - This is the column whose value is stored in other tables LanguageID (int) Text (varchar) My question is more a call for suggestions on how to best handle this. Ideally I want a query that I can use to select from the table, and get the text as opposed to the ids of the text out of the table. Currently when I have two text items in the table this is what I do: SELECT C.ID, C.Title, D.Text AS Description FROM (SELECT A.ID, A.Description, B.Text AS Title FROM TableA A, TranslationsTable B WHERE A.Title = B.TextID AND B.LanguaugeID = 1) C LEFT JOIN TranslationsTable D ON C.Description = D.TextID AND D.LanguaugeID = 1 This query gives me the row from Table A I am looking for (using where statements in the inner select statement) with the actual text based on the language ID used instead of the text ids. This works fine when I am only using one or two text items that need to be translated, but adding a third item or more, it starts to get really messy - essentially another left join on top of the example. Any suggestions on a better query, or at least a good way to handle 3 or more text items in a single row?

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  • How to differentiate between exceptions i can show the user, and ones i can't?

    - by Ian Boyd
    i have some business logic that traps some logically invalid situations, e.g. trying to reverse a transaction that was already reversed. In this case the correct action is to inform the user: Transaction already reversed or Cannot reverse a reversing transaction or You do not have permission to reverse transactions or This transaction is on a session that has already been closed or This transaction is too old to be reversed The question is, how do i communicate these exceptional cases back to the calling code, so they can show the user? Do i create a separate exception for each case: catch (ETransactionAlreadyReversedException) MessageBox.Show('Transaction already reversed') catch (EReversingAReversingTransactionException) MessageBox.Show('Cannot reverse a reversing transaction') catch (ENoPermissionToReverseTranasctionException) MessageBox.Show('You do not have permission to reverse transactions') catch (ECannotReverseTransactionOnAlredyClosedSessionException) MessageBox.Show('This transaction is on a session that has already been closed') catch (ECannotReverseTooOldTransactionException) MessageBox.Show('This transaction is too old to be reversed') Downside for this is that when there's a new logical case to show the user: Tranasctions created by NSL cannot be reversed i don't simply show the user a message, and instead it leaks out as an unhandled excpetion, when really it should be handled with another MessageBox. The alternative is to create a single exception class: `EReverseTransactionException` With the understanding that any exception of this type is a logical check, that should be handled with a message box: catch (EReverseTransactionException) But it's still understood that any other exceptions, ones that involve, for example, an memory ECC parity error, continue unhandled. In other words, i don't convert all errors that can be thrown by the ReverseTransaction() method into EReverseTransactionException, only ones that are logically invalid cause of the user.

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  • Using before_create in Rails to normalize a many to many table

    - by weotch
    I am working on a pretty standard tagging implementation for a table of recipes. There is a many to many relationship between recipes and tags so the tags table will be normalized. Here are my models: class Recipe < ActiveRecord::Base has_many :tag_joins, :as => :parent has_many :tags, :through => :tag_joins end class TagJoin < ActiveRecord::Base belongs_to :parent, :polymorphic => true belongs_to :tag, :counter_cache => :usage_count end class Tag < ActiveRecord::Base has_many :tag_joins, :as => :parent has_many :recipes, :through => :tag_joins, :source => :parent , :source_type => 'Recipe' before_create :normalizeTable def normalizeTable t = Tag.find_by_name(self.name) if (t) j = TagJoin.new j.parent_type = self.tag_joins.parent_type j.parent_id = self.tag_joins.parent_id j.tag_id = t.id return false end end end The last bit, the before_create callback, is what I'm trying to get working. My goal is if there is an attempt to create a new tag with the same name as one already in the table, only a single row in the join table is produced, using the existing row in tags. Currently the code dies with: undefined method `parent_type' for #<Class:0x102f5ce38> Any suggestions?

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  • How do I define a monadic function to work on a list in J?

    - by Gregory Higley
    Let's say I have the following J expression: # 3 ((|=0:)#]) 1+i.1000 This counts the number of numbers between 1 and 1000 that are evenly divisible by 3. (Now, before anyone points out that there's an easier way to do this, this question is about the syntax of J, and not mathematics.) Let's say I define a monadic function for this, as follows: f =: monad define # y ((|=0:)#]) 1+i.1000 ) This works great with a single argument, e.g., f 4 250 If I pass a list in, I get a length error: f 1 2 3 |length error: f Now, I completely understand why I get the length error. When you substitute the list 1 2 3 for the y argument of the monad, you get: # 1 2 3 ((|=0:)#]) 1+i.1000 If you know anything about J, it's pretty clear why the length error is occurring. So, I don't need an explanation of that. I want to define the function such that when I pass a list, it returns a list, e.g., f 1 2 3 1000 500 333 How can I either (a) redefine this function to take a list and return a list or (b) get the function to work on a list as-is without being redefined, perhaps using some adverb or other technique?

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  • Modify php shopping cart to support multiple drop down menus

    - by Thomas
    I have a shopping cart script that I am trying to modify to support multiple product selection. As it is now, the customer can select a product from a single drop down menu. Now, I would like to add multiple dropdown menus (all populated with the same options). Here is the php that outputs the dropdown menu: if($eshopoptions['options_num']>1){ $opt=$eshopoptions['options_num']; $replace.="\n".'<label for="eopt'.$theid.'"><select id="eopt'.$theid.'" name="option">'; for($i=1;$i<=$opt;$i++){ $option=$eshop_product['products'][$i]['option']; $price=$eshop_product['products'][$i]['price']; if($option!=''){ if($price!='0.00') $replace.='<option value="'.$i.'">'.stripslashes(esc_attr($option)).' @ '.sprintf( _c('%1$s%2$s|1-currency symbol 2-amount','eshop'), $currsymbol, number_format($price,2)).'</option>'."\n"; else $replace.='<option value="'.$i.'">'.stripslashes(esc_attr($option)).'</option>'."\n"; } } Is there some really simple way of getting the code to output the menu say 3 times instead of once?

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  • Filtering two arrays to avoid Inf/NaN values

    - by Gacek
    I have two arrays of doubles of the same size, containg X and Y values for some plots. I need to create some kind of protection against Inf/NaN values. I need to find all that pairs of values (X, Y) for which both, X and Y are not Inf nor NaN If I have one array, I can do it using lambdas: var filteredValues = someValues.Where(d=> !(double.IsNaN(d) || double.IsInfinity(d))).ToList(); Now, for two arrays I use following loop: List<double> filteredX=new List<double>(); List<double> filteredX=new List<double>(); for(int i=0;i<XValues.Count;i++) { if(!double.IsNan(XValues[i]) && !double.IsInfinity(XValues[i]) && !double.IsNan(YValues[i]) && !double.IsInfinity(YValues[i]) ) { filteredX.Add(XValues[i]); filteredY.Add(YValues[i]); } } Is there any way of filtering two arrays at the same time using LINQ/Lambdas, as it was done for single array?

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  • How to make DataGrid Row really fully selectable (clicking on non-cell area)

    - by Samuel
    The question might be a little misleading. Here is a screenshot of a DataGrid that has some dummy values (code provided below) Is there a way to make the white area not covered by a cell clickable? My intention: I want to have full row selection. This can be achieved by SelectionUnit="FullRow" which is fine but how can I make the white area implicitly select the entire row without expanding available cells in width and avoiding code behind Here is the repro code: Xaml: <Window x:Class="DGVRowSelectTest.MainWindow" xmlns="http://schemas.microsoft.com/winfx/2006/xaml/presentation" xmlns:x="http://schemas.microsoft.com/winfx/2006/xaml" Title="MainWindow" Height="350" Width="525" DataContext="{Binding RelativeSource={RelativeSource Self}}"> <DataGrid ItemsSource="{Binding Names}" SelectionMode="Single" SelectionUnit="FullRow" > </DataGrid> </Window> Dummy Code behind of it (just sets the two entries up) using System.Collections.Generic; using System.Windows; namespace DGVRowSelectTest { public partial class MainWindow : Window { private IList<KeyValuePair<string, string>> _names = new List<KeyValuePair<string, string>>{new KeyValuePair<string, string>("A1", "A2"),new KeyValuePair<string, string>("B1","B2")}; public IList<KeyValuePair<string, string>> Names{get { return _names; }set { _names = value; }} public MainWindow() { InitializeComponent(); } } }

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  • LINQ - Splitting up a string with maximum length, but not chopping words apart.

    - by Stacey
    I have a simple LINQ Extension Method... public static IEnumerable<string> SplitOnLength(this string input, int length) { int index = 0; while (index < input.Length) { if (index + length < input.Length) yield return input.Substring(index, length); else yield return input.Substring(index); index += length; } } This takes a string, and it chops it up into a collection of strings that do not exceed the given length. This works well - however I'd like to go further. It chops words in half. I don't need it to understand anything complicated, I just want it to be able to chop a string off 'early' if cutting it at the length would be cutting in the middle of text (basically anything that isn't whitespace). However I suck at LINQ, so I was wondering if anyone had an idea on how to go about this. I know what I am trying to do, but I'm not sure how to approach it. So let's say I have the following text. This is a sample block of text that I would pass through the string splitter. I call this method SplitOnLength(6) I would get the following. This i s a sa mple b lock o f text that I would pass t hrough the s tring splitt er. I would rather it be smart enough to stop and look more like .. This is a sample // bad example, since the single word exceeds maximum length, but the length would be larger numbers in real scenarios, closer to 200. Can anyone help me?

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