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  • [IceFaces] Why are validators of unchanged components called?

    - by bitschnau
    I have a IceFaces-form and several input fields. Let's say I have this: <ice:selectOneMenu id="accountMenu" value="#{accountController.account.aId}" validator="#{accountController.validateAccount}"> <f:selectItems id="accountItems" value="#{accountController.accountItems}" /> </ice:selectOneMenu> and this: <ice:selectOneMenu id="costumerMenu" value="#{customerController.customer.cId}" validator="#{customerController.validateCustomer"> <f:selectItems id="customerItems" value="#{customerController.customerItems}" /> </ice:selectOneMenu> If I change one value, the respective validator is called, what is fine. But also the other validator is called, which is not fine, because the user get's an irritating message to insert a value to a field he maybe was just going to pay attention to. It's like poking the user with a stick to "Hurry up now!". BAD! I thought the attribute "partialSubmit" is controlling this behaviour, so only the one DOM-part is submitted, which is affected by the user interaction, but if I declare the both components to be partially submitted, nothing changes. Still both validators are called if one component value is changed. How can I prevent the whole form from being validated until it is submitted completely?

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  • jquery draggable/droppable issue

    - by Scarface
    Hey guys I have a drag and drop function that does not fully work. What I want to do is be able to drag and drop a picture into a div and have that picture pop up in the div. I have a list of 2 pictures right now, so I have the following function echoed for each picture. Both pictures are draggable and droppable, but the first one is the only one that appears in the div, regardless of which picture gets dragged in. I am not sure what is wrong because the jquery function seems to be unique to each picture. If any one has any suggestions I would appreciate it greatly. while ($row = mysql_fetch_assoc($query)) { $image=htmlentities($row['image']); //image name $uniqid=uniqid(); //unique id for jquery functions $dirname = "usercontent/$user/images/$image"; echo "<img id=\"$uniqid\" src=\"$dirname\" width=\"75\" height=\"75\"/>"; echo "<script> $(function() { $(\"#$uniqid\").draggable({ scroll: true, scrollSensitivity: 10, scrollSpeed: 10, revert: true, helper: 'clone', cursorAt: { cursor: 'move', top: 27, left: 27 } }); $(\"#droppable2, #droppable-background , #droppable2-innerer\").droppable({ greedy: true, activeClass: 'ui-state-hover', hoverClass: 'ui-state-active', drop: function(event, ui) { $(this).addClass('ui-state-highlight').find('> p').html('Dropped!'); $('#droppable-background').css(\"background-image\",\"url($dirname)\"); } }); }); </script>"; }

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  • Overloading generic implicit conversions

    - by raichoo
    Hi I'm having a little scala (version 2.8.0RC1) problem with implicit conversions. Whenever importing more than one implicit conversion the first one gets shadowed. Here is the code where the problem shows up: // containers class Maybe[T] case class Nothing[T]() extends Maybe[T] case class Just[T](value: T) extends Maybe[T] case class Value[T](value: T) trait Monad[C[_]] { def >>=[A, B](a: C[A], f: A => C[B]): C[B] def pure[A](a: A): C[A] } // implicit converter trait Extender[C[_]] { class Wrapper[A](c: C[A]) { def >>=[B](f: A => C[B])(implicit m: Monad[C]): C[B] = { m >>= (c, f) } def >>[B](b: C[B])(implicit m: Monad[C]): C[B] = { m >>= (c, { (x: A) => b } ) } } implicit def extendToMonad[A](c: C[A]) = new Wrapper[A](c) } // instance maybe object maybemonad extends Extender[Maybe] { implicit object MaybeMonad extends Monad[Maybe] { override def >>=[A, B](a: Maybe[A], f: A => Maybe[B]): Maybe[B] = { a match { case Just(x) => f(x) case Nothing() => Nothing() } } override def pure[A](a: A): Maybe[A] = Just(a) } } // instance value object identitymonad extends Extender[Value] { implicit object IdentityMonad extends Monad[Value] { override def >>=[A, B](a: Value[A], f: A => Value[B]): Value[B] = { a match { case Value(x) => f(x) } } override def pure[A](a: A): Value[A] = Value(a) } } import maybemonad._ //import identitymonad._ object Main { def main(args: Array[String]): Unit = { println(Just(1) >>= { (x: Int) => MaybeMonad.pure(x) }) } } When uncommenting the second import statement everything goes wrong since the first "extendToMonad" is shadowed. However, this one works: object Main { implicit def foo(a: Int) = new { def foobar(): Unit = { println("Foobar") } } implicit def foo(a: String) = new { def foobar(): Unit = { println(a) } } def main(args: Array[String]): Unit = { 1 foobar() "bla" foobar() } } So, where is the catch? What am I missing? Regards, raichoo

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  • jQuery slideDown() Makes Everything in Wrapper Shift

    - by Ben
    Hello everyone, I am currently creating a simple menu where there are several names of services and a user can click on one and jQuery will show it's corresponding paragraph describing it below it. My jQuery code is fine and does exactly what I want, however, I have one bug I have yet to iron out. Whenever I click one of these headings and it's description displays, everything in the wrapper for the page shifts to the left about 7 pixels in Firefox, it does the same thing is Google Chrome however I have not measured the amout but I am sure it is irrelevant. Anyways, I am using the slideToggle() command to show the hidden parragraph. I assume this is occuring because when the slideDown occurs it is somehow changing the width of everything and the "margin: 0 auto;" setting for the wrapper rule in my css is compensating for this change. Does anyone have any way I can remedy this problem? I have tried several other fixes I've found around the internet but to no avail. Here is what my code looks like, I put it on jsFiddle to make it easier to view: http://jsfiddle.net/vcH7m/ Feel free to edit it there if you like, or post what needs to be fixed here. Whatever is more convenient. Thank you very much for the help!

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  • Should uni provide "correct answer" after programming assignment is due?

    - by Michael Mao
    Hi all: This is my very first subjective question. And I think it is programming related - the assignment is to be written in a programming language. I am not for "getting the full marks out of a subject". I am actually not for a "correct answer", but for a "better solution", so that I can compare, and can improve. I reckon it is good that I practice programming first and check the solution later to pick up the things I've done wrong/bad. Without a "benchmark" to against, this would be much harder. Unfortunately as far as I know, not all programming subjects taught in uni would kindly provide the students with a "correct answer" in the end, after the assignment is due. One bad metaphor for this is like someone asks you a question which they don't have a clear answer themselves and hope to take advantage of your answer as the basis for their answer. Personally, I feel having a assignment solution provided by the academic staff is essential to students. I do appreciate this, and I feel I might not be the only one. I am a very proactive student in uni. I learn more, I practice more, an assignment for me is more like a challenge to achieve "the best solution I can come up with", not something "I have to pass"... The cause of this question is that for the past few days I have crafted 500+ lines of Perl code, for a tiny assignment. I feel pain when I look at my solution(not finished yet) and I feel like I am an idiot doing some crap code. I know there must be a much better solution. And I reckon it is better for the lecturer in this subject to get me one, rather than asking for an answer here, even I would shamelessly add the link to my solution apart from the assignment requirements. I know in SO, there are a lot of tutors/lecturers for programming subjects/courses. I'd like to hear your words on this question.

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  • Hibernate mapping Problem

    - by Geln Yang
    Hi, There is a table Item like, code,name 01,parent1 02,parent2 0101,child11 0102,child12 0201,child21 0202,child22 Create a java object and hbm xml to map the table.The Item.parent is a Item whose code is equal to the first two characters of its code : class Item{ String code; String name; Item parent; List<Item> children; .... setter/getter.... } <hibernate-mapping> <class name="Item" table="Item"> <id name="code" length="4" type="string"> <generator class="assigned" /> </id> <property name="name" column="name" length="50" not-null="true" /> <many-to-one name="parent" class="Item" not-found="ignore"> <formula> <![CDATA[ (select i.code,r.name from Item i where (case length(code) when 4 then i.code=SUBSTRING(code,1,2) else false end)) ]]> </formula> </many-to-one> <bag name="children"></bag> </class> </hibernate-mapping> I try to use formula to define the many-to-one relationship,but it doesn't work!Is there something wrong?Or is there other method? Thanks! ps,I use mysql database.

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  • iphone - grouping UIImageViews x blocking elements

    - by Mike
    I have to rotate several UIImageViews around a specific center. To accomplish this I am using the famous trick of putting these views as subviews of a larger one and rotating that one. The problem is that these subviews have to detect touches, because each one has buttons on it. The hierarchy is like this LARGE_VIEW | |_____ imageView1 | |_________ button1 | |_________ button2 | |_________ button3 | |_____ imageView2 |_________ button4 |_________ button5 |_________ button6 etc So, to make buttons respond to tap, I had to make this; [LARGE_VIEW setUserInteractionEnabled:YES]; [imageView1 setUserInteractionEnabled:YES]; [imageView2 setUserInteractionEnabled:YES]; ImageView1 and 2 are two vertical rows of buttons on each side of the screen. The problem is that there's another view below LARGE_VIEW and this view is not receiving the taps, because LARGE_VIEW is intercepting them first. I don't need LARGE_VIEW to detect any taps except on the two areas where imageView 1 and 2 are. LARGE_VIEW must let pass taps on the area defined by this rect (52, 0, 768-2*52, 1024). ImageView1 and 2 have this size: 52 pixels wide and 1024 pixels high (iPad). ImageView1's rect is: (0, 0, 52, 1024) and ImageView2's rect is: (768-52, 0, 52, 1024) LARGE_VIEW must let pass taps on the area defined by this rect (52, 0, 768-2*52, 1024). How to solve that? I need LARGE_VIEW detect taps on each rect defined on my previous paragraph and pass these taps to its subviews and just let pass taps outside these rects to the app, so other views BELOW, can detect taps too. thanks.

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  • How to synchronize Silverlight clients with WCF?

    - by user564226
    Hi, this is probably only some conceptual problem, but I cannot seem to find the ideal solution. I'd like to create a Silverlight client application that uses WCF to control a third party application via some self written webservice. If there is more than one Silverlight client, all clients should be synchronized, i.e. parameter changes from one client should be propagated to all clients. I set up a very simple Silverlight GUI that manipulates parameters which are passed to the server (class inherits INotifyPropertyChanged): public double Height { get { return frameworkElement.Height; } set { if (frameworkElement.Height != value) { frameworkElement.Height = value; OnPropertyChanged("Height", value); } } } OnPropertyChanged is responsible for transferring data. The WCF service (duplex net.tcp) maintains a list of all clients and as soon as it receives a data packet (XElement with parameter change description) it forwards this very packet to all clients but the one the packet was received from. The client receives the package, but now I'm not sure, what's the best way to set the property internally. If I use "Height" (see above) a new change message would be generated and sent to all other clients a.s.o. Maybe I could use the data field (frameworkElement.Height) itself or a function - but I'm not sure whether there would arise problems with data binding later on. Also I don't want to simply copy parts of the code properties, to prevent bugs with redundant code. So what would you recommend? Thanks!

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  • CSS Table Formatting to a HTML Table

    - by Rurigok
    I am attempting to provide CSS formating to two HTML tables, but I cannot. I am setting up a webpage in HTML & CSS (with the CSS in an external sheet) and the layout of the website depends on the tables. There are 2 tables, one for the head and another for the body. They are set up whereas content is situated in one middle column of 60% width, with one column on each side of the center with 20% width each, along with other table formatting. My question is - how can I format the tables in CSS? I successfully formatted them in HTML, but this will not do. This is the CSS code for the tables - each table has the id layouttable: #layouttable{border:0px;width:100%;} #layouttable td{width:20%;vertical-align:top;} #layouttable td{width:60%;vertical-align:top;background-color:#E8E8E8;} #layouttable td{width:20%;vertical-align:top;} The tables in the html document both each have, in respective order, these elements (with content inside not shown): <table id="layouttable"><tr><td></td><td></td><td></td></tr></table> Does anyone have any idea why this CSS is not working, or can write some code to fix it? If further explanation is needed, please, ask.

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  • Typical Hadoop setup for remote job submission

    - by Artii
    So I am still a bit new to hadoop and am currently in the process of setting up a small test cluster on Amazonaws. So my question relates to some tips on the structuring of the cluster so it is possible to work submit jobs from remote machines. Currently I have 5 machines. 4 are basically the Hadoop cluster with the NameNodes, Yarn etc. One machine is used as a manager machine( Cloudera Manager). I am gonna describe my thinking process on the setup and if anyone can chime in the points I am not clear with, that would be great. I was thinking what was the best setup for a small cluster. So I decided to expose only one manager machine and probably use that to submit all the jobs through it. The other machines will see each other etc, but not be accessible from the outside world. I am have conceptual idea on how to do this,but I am not sure how to properly go about doing this though, if anyone could point me in the right direction that would great. Also another big point is, I want to be able to submit jobs to the cluster through exposed machine from a client machine (might be Windows). I am not so clear on this setup as well. Do I need to have Hadoop installed on the machine in order to use the normal hadoop commands, and to write/submit jobs say from Eclipse or something similar. So to sum it up my questions are, Is this an ok setup for a small test cluster How can I go about using one exposed machine to submit/route jobs to the cluster, without having any of the Hadoop nodes on it. How do I setup a client machine to submit jobs to a remote cluster, and an example on how to do it on Windows. Also if there are any reason not to use Windows as a client machine in this setup. Thanks I would greatly appreciate any advice or help on this.

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  • Conditional insert as a single database transaction in HSQLDB 1.8?

    - by Kevin Pauli
    I'm using a particular database table like a "Set" data structure, i.e., you can attempt to insert the same row several times, but it will only contain one instance. The primary key is a natural key. For example, I want the following series of operations to work fine, and result in only one row for Oklahoma: insert into states_visited (state_name) values ('Oklahoma'); insert into states_visited (state_name) values ('Texas'); insert into states_visited (state_name) values ('Oklahoma'); I am of course getting an error due to the duplicate primary key on subsequent inserts of the same value. Is there a way to make the insert conditional, so that these errors are not thrown? I.e. only do the the insert if the natural key does not already exist? I know I could do a where clause and a subquery to test for the row's existence first, but it seems that would be expensive. That's 2 physical operations for one logical "conditional insert" operation. Anything like this in SQL? FYI I am using HSQLDB 1.8

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  • Bubble sort dropped images based on their names

    - by user2259784
    I have written a simple bubble sort function that sort an array of Image objects based on image names. For some reason my function is not swapping the elements of array when needed ( basically new assignment is not working) Here is my code : listOfFiles = event.dataTransfer.files; sortImages(listOfFiles); function sortImages(listOfFiles) { var re = /[0-9]/; var temp; for( var index=0; index < listOfFiles.length ; index++) { for ( var index2=0; index2 < listOfFiles.length-1 ; index2++) { var one = parseFloat(re.exec(listOfFiles[index2].name )); var two = parseFloat(re.exec(listOfFiles[index2+1].name)); console.log(one + " : " + two); if (one > two) { console.log(listOfFiles[index2+1]); console.log(listOfFiles[index2]); //following three lines don't work temp = listOfFiles[index2+1]; listOfFiles[index2+1] = listOfFiles[index2]; listOfFiles[index2] = temp; console.log(listOfFiles[index2+1]); console.log(listOfFiles[index2]); } } } }

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  • Non standard interaction among two tables to avoid very large merge

    - by riko
    Suppose I have two tables A and B. Table A has a multi-level index (a, b) and one column (ts). b determines univocally ts. A = pd.DataFrame( [('a', 'x', 4), ('a', 'y', 6), ('a', 'z', 5), ('b', 'x', 4), ('b', 'z', 5), ('c', 'y', 6)], columns=['a', 'b', 'ts']).set_index(['a', 'b']) AA = A.reset_index() Table B is another one-column (ts) table with non-unique index (a). The ts's are sorted "inside" each group, i.e., B.ix[x] is sorted for each x. Moreover, there is always a value in B.ix[x] that is greater than or equal to the values in A. B = pd.DataFrame( dict(a=list('aaaaabbcccccc'), ts=[1, 2, 4, 5, 7, 7, 8, 1, 2, 4, 5, 8, 9])).set_index('a') The semantics in this is that B contains observations of occurrences of an event of type indicated by the index. I would like to find from B the timestamp of the first occurrence of each event type after the timestamp specified in A for each value of b. In other words, I would like to get a table with the same shape of A, that instead of ts contains the "minimum value occurring after ts" as specified by table B. So, my goal would be: C: ('a', 'x') 4 ('a', 'y') 7 ('a', 'z') 5 ('b', 'x') 7 ('b', 'z') 7 ('c', 'y') 8 I have some working code, but is terribly slow. C = AA.apply(lambda row: ( row[0], row[1], B.ix[row[0]].irow(np.searchsorted(B.ts[row[0]], row[2]))), axis=1).set_index(['a', 'b']) Profiling shows the culprit is obviously B.ix[row[0]].irow(np.searchsorted(B.ts[row[0]], row[2]))). However, standard solutions using merge/join would take too much RAM in the long run. Consider that now I have 1000 a's, assume constant the average number of b's per a (probably 100-200), and consider that the number of observations per a is probably in the order of 300. In production I will have 1000 more a's. 1,000,000 x 200 x 300 = 60,000,000,000 rows may be a bit too much to keep in RAM, especially considering that the data I need is perfectly described by a C like the one I discussed above. How would I improve the performance?

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  • Run arbitrary subprocesses on Windows and still terminate cleanly?

    - by Weeble
    I have an application A that I would like to be able to invoke arbitrary other processes as specified by a user in a configuration file. Batch script B is one such process a user would like to be invoked by A. B sets up some environment variables, shows some messages and invokes a compiler C to do some work. Does Windows provide a standard way for arbitrary processes to be terminated cleanly? Suppose A is run in a console and receives a CTRL+C. Can it pass this on to B and C? Suppose A runs in a window and the user tries to close the window, can it cancel B and C? TerminateProcess is an option, but not a very good one. If A uses TerminateProcess on B, C keeps running. This could cause nasty problems if C is long-running, since we might start another instance of C to operate on the same files while the first instance of C is still secretly at work. In addition, TerminateProcess doesn't result in a clean exit. GenerateConsoleCtrlEvent sounds nice, and might work when everything's running in a console, but the documentation says that you can only send CTRL+C to your own console, and so wouldn't help if A were running in a window. Is there any equivalent to SIGINT on Windows? I would love to find an article like this one: http://www.cons.org/cracauer/sigint.html for Windows.

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  • Are certain open-source licenses more suitable than others for career growth?

    - by Francisco Garcia
    As a software engineer/programmer myself, I love the possibility to download the code and learn from it. However building software is what brings food to my table. I have doubts regarding the type of license I should use for my own personal projects or when picking up one project to learn from. There are already many questions about licenses on Stackoverflow, but I would like to make this one much more specific. If your main profession and way of living is building software: which type of license do you find more useful for you? And I mean, the license that can benefit you most as a professional because it gives you more freedom to reuse the experience you gain. GPL is a great license to build communities because it forces you to give back your work. However I like BSD licenses because of their extra freedom. I know that if the code I am exploring is BSD licensed, I might be able to expand not only my skills, but also my programmer toolbox. Whenever I am working for a company, I might recall that something similar was done in another project and I will be able to copy or imitate certain part of the code. I know that there are religious wars regarding GPL vs BSD and it is not my intention to start one. Probably many companies already take snipsets from GPL projects anyway. I just want to insist in the factor of professional enrichment. I do not intend to discriminate any license. I said I prefer BSD licenses but I also use Linux because the user base is bigger and also the market demand.

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  • Fun with casting and inheritance

    - by Vaccano
    NOTE: This question is written in a C# like pseudo code, but I am really going to ask which languages have a solution. Please don't get hung up on syntax. Say I have two classes: class AngleLabel: CustomLabel { public bool Bold; // code to allow the label to be on an angle } class Label: CustomLabel { public bool Bold; // Code for a normal label // Maybe has code not in an AngleLabel (align for example). } They both decend from this class: class CustomLabel: Control { protected bool Bold; } The bold field is exposed as public in the descended classes. No interfaces are available on the classes. Now, I have a method that I want to beable to pass in a CustomLabel and set the Bold property. Can this be done without having to 1) find out what the real class of the object is and 2) cast to that object and then 3) make seperate code for each variable of each label type to set bold. Kind of like this: public void SetBold(customLabel: CustomLabel) { AngleLabel angleLabel; NormalLabel normalLabel; if (angleLabel is AngleLabel ) { angleLabel= customLabel as AngleLabel angleLabel.Bold = true; } if (label is Label) { normalLabel = customLabel as Label normalLabel .Bold = true; } } It would be nice to maybe make one cast and and then set bold on one variable. What I was musing about was to make a fourth class that just exposes the bold variable and cast my custom label to that class. Would that work? If so, which languages would it work for? (This example is drawn from an old version of Delphi (Delphi 5)). I don't know if it would work for that language, (I still need to try it out) but I am curious if it would work for C++, C# or Java. If not, any ideas on what would work? (Remember no interfaces are provided and I can not modify the classes.) Any one have a guess?

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  • Convert long/lat to pixel x/y on a given picure.

    - by Kalinin
    I have a city "map" (for example - Moscow). She in accuracy repeats the contours the given city in google maps (that is it is copied from google maps and it is a little processed, but the sense remained the same). Also I have object co-ordinates in a city (in co-ordinates of google). Problem: how to convert google co-ordinates to the co-ordinates of my picture (that is in pixels on OX and OY on a picture). That is I receive google-co-ordinates and it is necessary for me to draw this point on my picture. The most desired variant of the answer - is based on javascript, but it is possible and on php. I know that on small scales (for example on city scales) it to make simply enough (it is necessary to learn what google-co-ordinates has one of picture corners, then to learn "price" of one pixel in google-co-ordinates on a picture on axes OX and OY separately). But on the big scales (country scale) "price" of one pixel will be not a constant, and will vary strongly enough and the method described above cannot be applied. How to solve a problem on country scales?

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  • Negative number representation across multiple architechture

    - by Donotalo
    I'm working with OKI 431 micro controller. It can communicate with PC with appropriate software installed. An EEPROM is connected in the I2C bus of the micro which works as permanent memory. The PC software can read from and write to this EEPROM. Consider two numbers, B and C, each is two byte integer. B is known to both the PC software and the micro and is a constant. C will be a number so close to B such that B-C will fit in a signed 8 bit integer. After some testing, appropriate value for C will be determined by PC and will be stored into the EEPROM of the micro for later use. Now the micro can store C in two ways: The micro can store whole two byte representing C The micro can store B-C as one byte signed integer, and can later derive C from B and B-C I think that two's complement representation of negative number is now universally accepted by hardware manufacturers. Still I personally don't like negative numbers to be stored in a storage medium which will be accessed by two different architectures because negative number can be represented in different ways. For you information, 431 also uses two's complement. Should I get rid of the headache that negative number can be represented in different ways and accept the one byte solution as my other team member suggested? Or should I stick to the decision of the two byte solution because I don't need to deal with negative numbers? Which one would you prefer and why?

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  • Best practices for withstanding launch day traffic burst

    - by Sam McAfee
    We are working on a website for a client that (for once) is expected to get a fair amount of traffic on day one. There are press releases, people are blogging about it, etc. I am a little concerned that we're going to fall flat on our face on day one. What are the main things you would look at to ensure (in advance without real traffic data) that you can stay standing after a big launch. Details: This is a L/A/M/PHP stack, using an internally developed MVC framework. This is currently being launched on one server, with Apache and MySQL both on it, but we can break that up if need be. We are already installing memcached and doing as much PHP-level caching as we can think of. Some of the pages are rather query intensive, and we are using Smarty as our template engine. Keep in mind there is no time to change any of these major aspects--this is the just the setup. What sorts of things should we watch out for?

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  • testng multiple suites

    - by Eli
    Hi people. my problem is as follows: i am testing a web-ui using selenium and testng. i have a test suite with many test classes in it. i have a method with the @BeforeSuite witch also has a @Parameters annotation, this method recieves as a parameter the browser in witch the selenium will test by run,executing the lines: selenium = new DefaultSelenium("localhost", 4444, **browser**, "http://localhost:8099"); selenium.start(); the xml im using to run the test suite is: <suite name="suite"> <parameter name = "browser" value = "*firefox"/> <test name="allTests"> <classes> <class name="test.webui.MemcachedDeploymentTest" /> </classes> </test> </suite> this works fine and the test runs in firefox. my problem is that i would like to somehow run this suite again, immediatly after the first run finishes, but this time with chrome as the browser. i now have 2 xml suites, one with chrome and one with firefox, is there any way to run these test suites one after the other automatically? maybe using a third xml? Thanks in advance

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  • Trying to make a plugin system in C++

    - by Pirate for Profit
    I'm making a task-based program that needs to have plugins. Tasks need to have properties which can be easily edited, I think this can be done with Qt's Meta-Object Compiler reflection capabilities (I could be wrong, but I should be able to stick this in a QtPropertyBrowser?) So here's the base: class Task : public QObject { Q_OBJECT public: explicit Task(QObject *parent = 0) : QObject(parent){} virtual void run() = 0; signals: void taskFinished(bool success = true); } Then a plugin might have this task: class PrinterTask : public Task { Q_OBJECT public: explicit PrinterTask(QObject *parent = 0) : Task(parent) {} void run() { Printer::getInstance()->Print(this->getData()); // fictional emit taskFinished(true); } inline const QString &getData() const; inline void setData(QString data); Q_PROPERTY(QString data READ getData WRITE setData) // for reflection } In a nutshell, here's what I want to do: // load plugin // find all the Tasks interface implementations in it // have user able to choose a Task and edit its specific Q_PROPERTY's // run the TASK It's important that one .dll has multiple tasks, because I want them to be associated by their module. For instance, "FileTasks.dll" could have tasks for deleting files, making files, etc. The only problem with Qt's plugin setup is I want to store X amount of Tasks in one .dll module. As far as I can tell, you can only load one interface per plugin (I could be wrong?). If so, the only possible way to do accomplish what I want is to create a FactoryInterface with string based keys which return the objects (as in Qt's Plug-And-Paint example), which is a terrible boilerplate that I would like to avoid. Anyone know a cleaner C++ plugin architecture than Qt's to do what I want? Also, am I safely assuming Qt's reflection capabilities will do what I want (i.e. able to edit an unknown dynamically loaded tasks' properties with the QtPropertyBrowser before dispatching)?

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  • changing asp .net web service namespace when already in productive state

    - by eloQ
    by some unfortunate events we published a web service with the tempuri-namespace a couple of months ago and no one did notice (not in our company, not the companies connecting to the web service) even though it's live since that time and lots of companies (~25 i guess) already access this web service. now i'm thinking of correcting that mistake and have the namespace fixed to a proper value. the only problem is: as soon as we would do it, all the programs and services connected to this web service would stop working. i can't really allow that to happen. is there any way to fix the namespace for future purpose or to have the web service operate under two namespaces as one web service? any tip at all what i could do to get rid of the tempuri-namespace and have it fixed without needing to synchronize the change with all the external companies? i'm all out of ideas, so any help would be much appreciated! thanks! I hope this question is alright here, first time user, found this through using search engines on my research and found tempuri.org related posts, just not the right one..

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  • Using an element against an entire list in Haskell

    - by Snick
    I have an assignment and am currently caught in one section of what I'm trying to do. Without going in to specific detail here is the basic layout: I'm given a data element, f, that holds four different types inside (each with their own purpose): data F = F Float Int, Int a function: func :: F -> F-> Q Which takes two data elements and (by simple calculations) returns a type that is now an updated version of one of the types in the first f. I now have an entire list of these elements and need to run the given function using one data element and return the type's value (not the data element). My first analysis was to use a foldl function: myfunc :: F -> [F] -> Q myfunc y [] = func y y -- func deals with the same data element calls myfunc y (x:xs) = foldl func y (x:xs) however I keep getting the same error: "Couldn't match expected type 'F' against inferred type 'Q'. In the first argument of 'foldl', namely 'myfunc' In the expression: foldl func y (x:xs) I apologise for such an abstract analysis on my problem but could anyone give me an idea as to what I should do? Should I even use a fold function or is there recursion I'm not thinking about?

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  • create controls at run-time in .net

    - by ahmed naguib
    i add a course then search in students grid view and select multiple students after i choose students say they are 50 student user enter the number of students in each group say =10 mean that i will have 5 groups each group contain 10 student when user click button a five container appear whatever these container are ul or listboxes user can move one student from one group to another group cause every group start course at specific date notice : number of students user determine it and number of students in each group also user determine container i didnot decide ul as i will write or text boxes but how to transfer student from one listbox to another <ul group1> <li>student1</li> <li>student2</li> <li>student3</li> <li>student4</li> <li>student5</li> </ul> <ul group1> <li>student1</li> <li>student2</li> <li>student3</li> <li>student4</li> <li>student5</li> </ul>

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  • How do I handle the messages for a simple web-based live chat, on the server side?

    - by Carson Myers
    I'm building a simple live chat into a web application running on Django, but one thing I'm confused about is how I should store the messages between users. The chat will support multiple users, and a chat "session" is composed of users connected to one user that is the "host." The application is a sort of online document collaboration thing, so user X has a document, and users Y and Z would connect to user X to talk about the document, and that would be one chat session. If user Y disconnected for five minutes, and then signed back in and reconnected to user X, he should not get any of the messages shared between users X and Z while he was away. if users X, Y, and Z can have a chat session about user X's document, then users X and Y can connect to a simultaneous, but separate discussion about user Z's document. How should I handle this? Should I keep each message in the database? Each message would have an owner user and a target user (the host), and a separate table would be used to connect users with messages (which messages are visible to what users). Or should I store each session as an HTML file on the server, which messages get appended to? The problem is, I can't just send messages directly between clients. They have to be sent to the server in a POST request, and then each client has to periodically check for the messages in a GET request. Except I can't just have each message cleared after a client fetches it, because there could be multiple clients. How should I set this up? Any suggestions?

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