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  • Using SiteMesh with RequestDispatcher's forward()

    - by Rob Hruska
    I'm attempting to integrate SiteMesh into a legacy application using Tomcat 5 as my a container. I have a main.jsp that I'm decorating with a simple decorator. In decorators.xml, I've just got one decorator defined: <decorators defaultdir="/decorators"> <decorator name="layout-main" page="layout-main.jsp"> <pattern>/jsp/main.jsp</pattern> </decorator> </decorators> This decorator works if I manually go to http://example.com/my-webapp/jsp/main.jsp. However, there are a few places where a servlet, instead of doing a redirect to a jsp, does a forward: getServletContext().getRequestDispatcher("/jsp/main.jsp").forward(request, response); This means that the URL remains at something like http://example.com/my-webapp/servlet/MyServlet instead of the jsp file and is therefore not being decorated, I presume since it doesn't match the pattern in decorators.xml. I can't do a <pattern>/*</pattern> because there are other jsps that do not need to be decorated by layout-main.jsp. I can't do a <pattern>/servlet/MyServlet*</pattern> because MyServlet may forward to main.jsp sometimes and perhaps error.jsp at other times. Is there a way to work around this without expansive changes to how the servlets work? Since it's a legacy app I don't have as much freedom to change things, so I'm hoping for something configuration-wise that will fix this. SiteMesh's documentation really isn't that great. I've been working mostly off the example application that comes with the distribution. I really like SiteMesh, and am hoping I can get it to work in this case.

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  • Database design and foreign keys: Where should they be added in related tables?

    - by Carvell Fenton
    I have a relatively simple subset of tables in my database for tracking something called sessions. These are academic sessions (think offerings of a particular program). The tables to represent a sessions information are: sessions session_terms session_subjects session_mark_item_info session_marks All of these tables have their own primary keys, and are like a tree, in that sessions have terms, terms have subjects, subjects have mark items, etc. So each on would have at least its "parent's" foreign key. My question is, design wise is it a good idea to include the sessions primary key in the other tables as a foreign key to easily select related session items, or is that too much redundency? If I include the session foreign key (or all parent foreign keys from tables up the heirarchy) in all the tables, I can easily select all the marks for a session. As an example, something like SELECT mark FROM session_marks WHERE sessionID=... If I don't, then I would have to combine selects with something like WHERE something IN (SELECT... Which approach is "more correct" or efficient? Thanks in advance!

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  • Having a different action for each button dynamically created in a loop

    - by Oliver
    Hi, use this website a lot but first time posting. My program creates a number of buttons depending on the number of records in a file. E.g. 5 records, 5 buttons. The buttons are being created but i'm having a problem with the action listener. If add the action listener in the loop every button does the same thing; but if I add the action listener outside the loop it just adds the action listener to last button. Any ideas? Here is what I have code-wise (I've just added the for loop to save space): int j=0; for(int i=0; i<namesA.size(); i++) { b = new JButton(""+namesA.get(i)+""); conPanel.add(b); conFrame.add(conPanel); b.addActionListener(new ActionListener(){ public void actionPerformed(ActionEvent ae2){ System.out.println(namesA.get(j)); } }}); j++; } Much Appreciated

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  • How to reuse results with a schema for end of day stock-data

    - by Vishalrix
    I am creating a database schema to be used for technical analysis like top-volume gainers, top-price gainers etc.I have checked answers to questions here, like the design question. Having taken the hint from boe100 's answer there I have a schema modeled pretty much on it, thusly: Symbol - char 6 //primary Date - date //primary Open - decimal 18, 4 High - decimal 18, 4 Low - decimal 18, 4 Close - decimal 18, 4 Volume - int Right now this table containing End Of Day( EOD) data will be about 3 million rows for 3 years. Later when I get/need more data it could be 20 million rows. The front end will be asking requests like "give me the top price gainers on date X over Y days". That request is one of the simpler ones, and as such is not too costly, time wise, I assume. But a request like " give me top volume gainers for the last 10 days, with the previous 100 days acting as baseline", could prove 10-100 times costlier. The result of such a request would be a float which signifies how many times the volume as grown etc. One option I have is adding a column for each such result. And if the user asks for volume gain in 10 days over 20 days, that would require another table. The total such tables could easily cross 100, specially if I start using other results as tables, like MACD-10, MACD-100. each of which will require its own column. Is this a feasible solution? Another option being that I keep the result in cached html files and present them to the user. I dont have much experience in web-development, so to me it looks messy; but I could be wrong ( ofc!) . Is that a option too? Let me add that I am/will be using mod_perl to present the response to the user. With much of the work on mysql database being done using perl. I would like to have a response time of 1-2 seconds.

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  • SQL Server database change workflow best practices

    - by kubi
    The Background My group has 4 SQL Server Databases: Production UAT Test Dev I work in the Dev environment. When the time comes to promote the objects I've been working on (tables, views, functions, stored procs) I make a request of my manager, who promotes to Test. After testing, she submits a request to an Admin who promotes to UAT. After successful user testing, the same Admin promotes to Production. The Problem The entire process is awkward for a few reasons. Each person must manually track their changes. If I update, add, remove any objects I need to track them so that my promotion request contains everything I've done. In theory, if I miss something testing or UAT should catch it, but this isn't certain and it's a waste of the tester's time, anyway. Lots of changes I make are iterative and done in a GUI, which means there's no record of what changes I made, only the end result (at least as far as I know). We're in the fairly early stages of building out a data mart, so the majority of the changes made, at least count-wise, are minor things: changing the data type for a column, altering the names of tables as we crystallize what they'll be used for, tweaking functions and stored procs, etc. The Question People have been doing this kind of work for decades, so I imagine there have got to be a much better way to manage the process. What I would love is if I could run a diff between two databases to see how the structure was different, use that diff to generate a change script, use that change script as my promotion request. Is this possible? If not, are there any other ways to organize this process? For the record, we're a 100% Microsoft shop, just now updating everything to SQL Server 2008, so any tools available in that package would be fair game.

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  • PHP: Profiling code and strict environment ~ Improving my coding

    - by DavidYell
    I would like to update my local working environment to be stricter in an effort to improve my code. I know that my code is okay, but as with most things there is always room for improvement. I use XAMPP on my local machine, for simplicities sake Apache Friends XAMPP (Basic Package) version 1.7.2 So I've updated my php.ini : error_reporting to be E_ALL | E_STRICT to help with the code standard. I've also enabled the XDebug extension zend_extension = "C:\xampp\php\ext\php_xdebug.dll" which seems to be working, having tested some broken code and got the nice standard orange error notice. However, having read this question, http://stackoverflow.com/questions/133686/what-is-the-best-way-to-profile-php-code and enabled the profiler, I cannot seem to create a cachegrind file. Many of the guides that I've looked at seem to think you need to install XDebug in XAMPP which leads me to think they are out of date, as XDebug is bundled with XAMPP these days. So I would appreciate it if anyone can help point me in the right direction with both configuring XDebug to output grind files, and or just a great set of default settings for the XDebug config in XAMPP. Seems there is very little documentation to go on. If people have tips on integrating these tools with Netbeans, that would be awesomesauce. I'm happy to get suggestions on other things that I can do to help tighten up my php code, both syntactically and performance wise Thanks, and apologies for the rambling question(s)! Ninja edit I should menion that I'm using named vhosts as my Apache configuration, which I think is why running XDebug on port 9000 isn't working for me. I guess I'd need to edit my vhost to include port 9000

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  • Handling missing/incomplete data in R--is there function to mask but not remove NAs?

    - by doug
    As you would expect from a DSL aimed at data analysis, R handles missing/incomplete data very well, for instance: Many R functions have an 'na.rm' flag that you can set to 'T' to remove the NAs: mean( c(5,6,12,87,9,NA,43,67), na.rm=T) But if you want to deal with NAs before the function call, you need to do something like this: to remove each 'NA' from a vector: vx = vx[!is.na(a)] to remove each 'NA' from a vector and replace it w/ a '0': ifelse(is.na(vx), 0, vx) to remove entire each row that contains 'NA' from a data frame: dfx = dfx[complete.cases(dfx),] All of these functions permanently remove 'NA' or rows with an 'NA' in them. Sometimes this isn't quite what you want though--making an 'NA'-excised copy of the data frame might be necessary for the next step in the workflow but in subsequent steps you often want those rows back (e.g., to calculate a column-wise statistic for a column that has missing rows caused by a prior call to 'complete cases' yet that column has no 'NA' values in it). to be as clear as possible about what i'm looking for: python/numpy has a class, 'masked array', with a 'mask' method, which lets you conceal--but not remove--NAs during a function call. Is there an analogous function in R?

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  • Help with SQL Query

    - by djfrear
    With regards to the following statement: Select * From explorer.booking_record booking_record_ Inner Join explorer.client client_ On booking_record_.labelno = client_.labelno Inner Join explorer.tour_hotel tour_hotel_ On tour_hotel_.tourcode = booking_record_.tourrefcode Inner Join explorer.hotelrecord hotelrecord_ On tour_hotel_.hotelcode = hotelrecord_.hotelref Where booking_record_.bookingdate Not Like '0000-00-00' And booking_record_.tourdeparturedate Not Like '0000-00-00' And hotelrecord_.hotelgroup = "LPL" And Year(booking_record_.tourdeparturedate) Between Year(AddDate(Now(), Interval -5 Year)) And Year(Now()) My MySQL skills are certainly not up to scratch, the actual result set I wish to find is "a customer who has been to 5 or more LPL hotels in the past 5 years". So far I havent got as far as dealing with the count as I'm getting a huge number of results with some 250+ per customer. I assume this is to do with the way I'm joining tables. Schema wise the booking_record table contains a tour reference code, which links to tour_hotel which then contains a hotelcode which links to hotelrecord. This hotelrecord table contains the hotelgroup. The client table is joined to the booking_record via a booking reference and a client may have many bookings. If anyone could suggest a way for me to do this I'd be very grateful and hopefully learn enough to do it myself next time! I've been scratching my head over this one for a few hours now! Customers may have many bookings within booking_record Daniel.

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  • Regular expressions - finding and comparing the first instance of a word

    - by Dan
    Hi there, I am currently trying to write a regular expression to pull links out of a page I have. The problem is the links need to be pulled out only if the links have 'stock' for example. This is an outline of what I have code wise: <td class="prd-details"> <a href="somepage"> ... <span class="collect unavailable"> </td> <td class="prd-details"> <a href="somepage"> ... <span class="collect available"> </td> What I would like to do is pull out the links only if 'collect available' is in the tag. I have tried to do this with the regular expression: (?s)prd-details[^=]+="([^"]+)" .+?collect{1}[^\s]+ available However on running it, it will find the first 'prd-details' class and keep going until it finds 'collect available', thereby taking the incorrect results. I thought by specifying the {1} after the word collect it would only use the first instance of the word it finds, but apparently I'm wrong. I've been trying to use different things such as positive and negative lookaheads but I cant seem to get anything to work. Might anyone be able to help me with this issue? Thanks, Dan

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  • How to motivate as a project leader?

    - by Zenzen
    Ok so some of you might think this is not stackoverflow related, but since I got a similar question during an interview (for a J2EE dev position) I think you guys will help me in the end. The situation is simple: you're working on a project in a small group (4-5 people), you're the project leader and the guy who's the most competent (technology wise) is also slacking the most. What do you do to motivate him? The problem is, I'm having the same issue at the university - this semester we have a lot of projects going on (6 to be exact) so we decided to dived the work so everyone will do 1-2 projects in a technology he knows/wants to learn. It's been working well for the most part, the problem is the person whom we thought would finish his project way before us as he's the most experienced among us. How am I supposed to make him do his share properly? Till now he was just half assing his part by doing the bare minimum, with which the professor wasn't really pleased to say the least... Now it's only a university project, but in the future I might have the same problem in a real job and losing a really smart and experienced worker (as firing him is the only solution I can come up with now) would really be a waste. Aren't there any better ways? p.s. now that I think about it, are there any books that would help me in becoming a better project manager?

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  • Web Shop Schema - Document Db

    - by Maxem
    I'd like to evaluate a document db, probably mongo db in an ASP.Net MVC web shop. A little reasoning at the beginning: There are about 2 million products. The product model would be pretty bad for rdbms as there'd be many different kinds of products with unique attributes. For example, there'd be books which have isbn, authors, title, pages etc as well as dvds with play time, directors, artists etc and quite a few more types. In the end, I'd have about 9 different products with a combined column count (counting common columns like title only once) of about 70 to 100 whereas each individual product has 15 columns at most. The three commonly used ways in RDBMS would be: EAV model which would have pretty bad performance characteristics and would make it either impractical or perform even worse if I'd like to display the author of a book in a list of different products (think start page, recommended products etc.). Ignore the column count and put it all in the product table: Although I deal with somewhat bigger databases (row wise), I don't have any experience with tables with more than 20 columns as far as performance is concered but I guess 100 columns would have some implications. Create a table for each product type: I personally don't like this approach as it complicates everything else. C# Driver / Classes: I'd like to use the NoRM driver and so far I think i'll try to create a product dto that contains all properties (grouped within detail classes like book details, except for those properties that should be displayed on list views etc.). In the app I'll use BookBehavior / DvdBehaviour which are wrappers around a product dto but only expose the revelent Properties. My questions now: Are my performance concerns with the many columns approach valid? Did I overlook something and there is a much better way to do it in an RDBMS? Is MongoDb on Windows stable enough? Does my approach with different behaviour wrappers make sense?

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  • The fastest way to iterate through a collection of objects

    - by Trev
    Hello all, First to give you some background: I have some research code which performs a Monte Carlo simulation, essential what happens is I iterate through a collection of objects, compute a number of vectors from their surface then for each vector I iterate through the collection of objects again to see if the vector hits another object (similar to ray tracing). The pseudo code would look something like this for each object { for a number of vectors { do some computations for each object { check if vector intersects } } } As the number of objects can be quite large and the amount of rays is even larger I thought it would be wise to optimise how I iterate through the collection of objects. I created some test code which tests arrays, lists and vectors and for my first test cases found that vectors iterators were around twice as fast as arrays however when I implemented a vector in my code in was somewhat slower than the array I was using before. So I went back to the test code and increased the complexity of the object function each loop was calling (a dummy function equivalent to 'check if vector intersects') and I found that when the complexity of the function increases the execution time gap between arrays and vectors reduces until eventually the array was quicker. Does anyone know why this occurs? It seems strange that execution time inside the loop should effect the outer loop run time.

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  • Building Paypal based membership website - total noob - would appreciate help

    - by Ali
    this is a follow up on my question on paypal integration. I'm working ona membership site for racing fans. My membership site has 3 membership levels - free, gold and premium. When a user signs up he/she can gets a free membership on the spot but has the option to upgrade to a gold membership for 4 Dollars a month or a premium membership for 10 Dollars a month. I've gone through the paypal integration guide a few times though and have a vague understanding of how to get this to work. I think the recurring payments option would be fine enough - however I don't know how do I implement this in my system. Like when a user decides to go for a paid account i.e. Gold or premium from basic - what should I do on both my code side and on the paypal account side - I'd really appreciate if anyone would outline what I'd have to do here. Plus when a user decides to upgrade from lets say a Gold to a premium account - there is the issue of computing how much should be charged to upgrade his/her account eg: a user has been billed for 4 dollars and the next day opts to go for a premium account so assuming that the surplus for the rest of the month is 5 dollars and further from that all payments would be recurring 10 dollars monthly - how do I implement this? And in case a user decides to downgrade from a premium account of 10 dollars a month to a gold account of 4 dollars a month - how do I handle the surplus which would have to be refunded for that month alone and changing the membership? And like wise if someone wishes to cancel membership and go to having a free account - how do I refund whatever is owed and cancel the subscription. I'm sorry if it sounds like I'm asking to be spoon fed :( I'm quite new to this and this is for a client and I would really appreciate all the help here and really have to get this working right. Thanks again everyone - waiting for all your replies.

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  • Seperate html pages for each screen in Jquery mobile

    - by vrs
    I am newbie to Jquery Mobile, so far what ever examples i searched contains only one html page for whole application, with multipe div tags where each page/screen is defined as div tag with data-role as page with some header and footers optionally. Based on user actions, we are hiding some div's(pages) and showing only expected page. Also, this multi-page template seems to be standard design, as written by some blogs. Are there any other designing ways? what I would like to have is multipe html pages, for ex one for login, one for home, one for contact etc. Other wise it is difficult to understand/code/debug issues, especially people from Java background like me.So, what I want is some kind of MVC design with JQueryMobile, like each view/screen as sepearate html associated with one js (Controller). Can we have multiple html pages in JqueryMobile app? If possible how to pass data/ maintain session between them? Any samples are most welcome. Thanks In Advance. Note: Also I don't want server side includes, may app contains 10 to 15 screens, each page will make a webservice call and fetch some data and map it to UI.

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  • Is my objective possible using WCF (and is it the right way to do things?)

    - by David
    I'm writing some software that modifies a Windows Server's configuration (things like MS-DNS, IIS, parts of the filesystem). My design has a server process that builds an in-memory object graph of the server configuration state and a client which requests this object graph. The server would then serialize the graph, send it to the client (presumably using WCF), the server then makes changes to this graph and sends it back to the server. The server receives the graph and proceeds to make modifications to the server. However I've learned that object-graph serialisation in WCF isn't as simple as I first thought. My objects have a hierarchy and many have parametrised-constructors and immutable properties/fields. There are also numerous collections, arrays, and dictionaries. My understanding of WCF serialisation is that it requires use of either the XmlSerializer or DataContractSerializer, but DCS places restrictions on the design of my object-graph (immutable data seems right-out, it also requires parameter-less constructors). I understand XmlSerializer lets me use my own classes provided they implement ISerializable and have the de-serializer constructor. That is fine by me. I spoke to a friend of mine about this, and he advocates going for a Data Transport Object-only route, where I'd have to maintain a separate DataContract object-graph for the transport of data and re-implement my server objects on the client. Another friend of mine said that because my service only has two operations ("GetServerConfiguration" and "PutServerConfiguration") it might be worthwhile just skipping WCF entirely and implementing my own server that uses Sockets. So my questions are: Has anyone faced a similar problem before and if so, are there better approaches? Is it wise to send an entire object graph to the client for processing? Should I instead break it down so that the client requests a part of the object graph as it needs it and sends only bits that have changed (thus reducing concurrency-related risks?)? If sending the object-graph down is the right way, is WCF the right tool? And if WCF is right, what's the best way to get WCF to serialise my object graph?

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  • Which are the RDBMS that minimize the server roundtrips? Which RDBMS are better (in this area) than

    - by user193655
    When the latency is high ("when pinging the server takes time") the server roundtrips make the difference. Now I don't want to focus on the roundtrips created in programming, but the roundtrips that occur "under the hood" in the DB engine, so the roundtrips that are 100% dependant on how the RDBMS is written itself. I have been told that FireBird has more roundtrips than MySQL. But this is the only information I know. I am currently supporting MS SQL but I'd like to change RDBMS (because I use Express Editions and in my scenario they are quite limiting from the performance point of view), so to make a wise choice I would like to include also this point into "my RDBMS comparison feature matrix" to understand which is the best RDBMS to choose as an alternative to MS SQL. So the bold sentence above would make me prefer MySQL to Firebird (for the roundtrips concept, not in general), but can anyone add informations? And MS SQL where is it located? Is someone able to "rank" the roundtrip performance of the main RDBMS, or at least: MS SQL, MySql, Postegresql, Firebird (I am not interested in Oracle since it is not free, and if I have to change I would change to a free RDBMS). Anyway MySql (as mentioned several times on stackoverflow) has a not clear future and a not 100% free license. So my final choice will probably dall on PostgreSQL or Firebird. Additional info: somehow you can answer my question by making a simple list like: MSSQL:3; MySQL:1; Firebird:2; Postgresql:2 (where 1 is good, 2 average, 3 bad). Of course if you can post some links where the roundtrips per RDBMSs are compared it would be great

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  • Should java try blocks be scoped as tightly as possible?

    - by isme
    I've been told that there is some overhead in using the Java try-catch mechanism. So, while it is necessary to put methods that throw checked exception within a try block to handle the possible exception, it is good practice performance-wise to limit the size of the try block to contain only those operations that could throw exceptions. I'm not so sure that this is a sensible conclusion. Consider the two implementations below of a function that processes a specified text file. Even if it is true that the first one incurs some unnecessary overhead, I find it much easier to follow. It is less clear where exactly the exceptions come from just from looking at statements, but the comments clearly show which statements are responsible. The second one is much longer and complicated than the first. In particular, the nice line-reading idiom of the first has to be mangled to fit the readLine call into a try block. What is the best practice for handling exceptions in a funcion where multiple exceptions could be thrown in its definition? This one contains all the processing code within the try block: void processFile(File f) { try { // construction of FileReader can throw FileNotFoundException BufferedReader in = new BufferedReader(new FileReader(f)); // call of readLine can throw IOException String line; while ((line = in.readLine()) != null) { process(line); } } catch (FileNotFoundException ex) { handle(ex); } catch (IOException ex) { handle(ex); } } This one contains only the methods that throw exceptions within try blocks: void processFile(File f) { FileReader reader; try { reader = new FileReader(f); } catch (FileNotFoundException ex) { handle(ex); return; } BufferedReader in = new BufferedReader(reader); String line; while (true) { try { line = in.readLine(); } catch (IOException ex) { handle(ex); break; } if (line == null) { break; } process(line); } }

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  • What scenarios are possible where the VS C# compiler would not compile a reference of a reference?

    - by SuperKing
    Hello, I'm probably asking this question wrong (and that may be why Google isn't helping), but here goes: In Visual Studio I am compiling a C# project (let's call it Project A, the startup project) which has a reference to Project B. Project B has a reference to a Project C, so when A gets built, the dlls for B gets placed in the bin directory of A, as does the dll for C (because B requires C, and A requires B). However, I have apparently made some change recently so that the dll for Project C does not go into the bin directory of Project A when rebuilding the solution. I have no idea what I've done to make this happen. I have not modified the setup of the solution itself, and I have only added additional references to the project files. Code wise, I have commented out most of the actual code in Project B that references classes in Project C, but did not remove the reference from the project itself (I don't think this matters). I was told that perhaps the C# compiler was optimizing somehow so that it was not building Project C, but really I'm out of ideas. I would think someone has run into something similar before Any thoughts? Thanks!

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  • UITableViewIndex Grows to Incorrect Bounds Unexpectedly

    - by chadburggraf
    I have a standard UITableView + UISearchDisplayController + UITableViewIndex setup. Everything works like a champ. Except, under very specific conditions, the index grows too long to display on the screen. Specifically, after ending a search and re-displaying the unfiltered, indexed table, the index sometimes grows too long. More specifically, this doesn't happen if I search then cancel. It only happens if I search, then push a view controller from the search table, then pop that view controller back to the still-searching table, then cancel the search, then re-search and then cancel that final search. After the end of the final search the index is too long. In portrait, the table view is reporting a height of 416 and the index a height of 404 under normal conditions. If I log from searchDisplayControllerDidEndSearch when the index is sized incorrectly, it is reporting a height of 620. I've tried everything from setLayout on the table and the index to manually re-sizing the frame. Nothing works (the manual re-size causes the correct height to be logged, but it doesn't change the display on screen). I was about to try re-sizing after a delay in case the cancel animation was interfering, but then I realized what an absurd situation I'm in and thought seeking help might be wise...

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  • git: correct way to merge/rebase with respect to svn dcommit

    - by Albert
    I have the following situation (mostly because I didn't really thought it through in the beginning -- or more exactly, I thought it shouldn't be a problem the way I did this but now I am stumbled): ... --- A --- B1 --- ... --- Bn ... --- git-svn Whereby A and git-svn are at the same state (exactly the same files and file content) but they don't have any common point in history. And I want: ... --- git-svn --- B1 --- ... --- Bn Or at least, when I do the svn dcommit, I want exactly to get the commits B1 to Bn and nothing else. I am not exactly sure how dcommit works. So if I would get something like this: ... ------------ A --- B1 --- ... --- Bn \ \ ... --- git-svn -- A' ----------------- B' would the dcommit behave in the way I want? Because if so, that would be easy to get (merging A into git-svn does work just fine because they are content-wise the same). Or should I do some sort of rebase? But I don't want to rebase A on git-svn, just B1 to Bn.

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  • Creating a cocoa Application without nib files/fully pragmatic

    - by Moddy
    Yes, I know this goes against the whole MVC principle! However, I'm just trying to whip up a pretty trivial application - and I've pretty much implemented it pragmatically. However, I have a problem... I create an Empty Project, copy all the frameworks over and set the build settings - and I get errors about the executable.. or lack of executable. The build settings all appear fine, but it tells me there is no executable - it will build + run fine.. however it doesn't run. There is no error either - it just appears to run very fast and cleanly! Unless I try and run gdb which politely tells me I need to give it a file first.. Running… No executable file specified. Use the "file" or "exec-file" command. So I created a Cocoa Application, removed all the stuff I didn't need (i.e the MainMenu.xib file..) and now I can compile my code perfectly.. however it dies with complaining that its "Unable to load nib file: MainMenu, exiting" I have gone through the Project Symbols and see that the code actually relies upon the nib file heavily, even if you don't touch it code-wise. (MVC again I guess..) So my question is - is there a simple way to compile just what you code, no added nib files, just the code you write and the frameworks you add? I assume it would be a blank project but my experience tells me otherwise?!

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  • Web-app currency input/manipulation/calculation with javascript .. there has got to be a better (fra

    - by dreftymac
    BACKGROUND: I am of the "user-input-lockdown" school of thought. Whenever possible, I try to mistrust and sanitize user input, both client side and server side; and I try to take multiple opportunities to restrict possible inputs to a known subset of possibilities, usually this means providing a lot of checkboxes and select lists. (This is from the usability side of things, I know security-wise that malicious users can easily bypass fixed user input GUI controls). PROBLEM: Anyway, the problem always arises with non-fixed input of currency. Whenever I have to accept a freely-specified dollar amount as user input, I always have to confront these problems/annoyances and it is always painful: 1) Make sure to give the user two input boxes for each currency_datapoint, one for the whole_dollar_part and another for the fractional_pennies_part 2) Whenever the user changes a currency_datapoint, provide keystroke-by-keystroke GUI feedback to let them know whether the currency_datapoint is well-formed, with context-appropriate validation rules (e.g., no negatives?, nonzero only?, numeric only!, no non-numeric punctuation! no symbols!) 3) For display purposes, every user-provided currency_datapoint should be translated to human-readable currency formatting (dollar sign, period, commas provided by the app, where appropriate) 4) For calculation purposes, every user-provided currency_datapoint has to be converted to integer (all pennies, to avoid floating point errors) and summed into a grand total with zero or more subtotals. 5) Every user-provided currency_datapoint should be displayed or displayable in a nice "tabular" format, which auto-updates as the user enters each currency_datapoint, including a baloon that warns when one or more currency_datapoints is not well-formed. I seem to be re-inventing this wheel every time I have to work with currency in Javascript on the client side (server side is a bit more flexible since most programming languages have higher-level currency formatting logic). QUESTION: Has anyone out there solved the problem of dealing with the above issues, client side, in a way that is server-side-technology-stack agnostic, (preferrably plain javascript or jquery)? This is getting old, there has to be a better way.

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  • convert divs displaying as row to divs displaying as column

    - by C-Link
    I have as the following divs. Suppose each div is floated left or set display to inline-block. +-----------+ +-----------+ +--------------+ | 1 | | 2 | | | +-----------+ | | | 3 | +-----------+ | | +--------------+ +-----------+ +-----------+ +--------------+ | 4 | | 5 | | | +-----------+ | | | 6 | +-----------+ | | +--------------+ +-----------+ +-----------+ +--------------+ | | | 8 | | 9 | | 7 | +-----------+ | | | | +--------------+ | | +-----------+ I want to achieve like this +-------------+ +-----------+ +-------------+ | 1 | | 4 | | | +-------------+ +-----------+ | 7 | +-------------+ +-----------+ | | | 2 | | 5 | | | | | | | +-------------+ +-------------+ +-----------+ +-------------+ +-------------+ +-----------+ | 8 | | | | | +-------------+ | 3 | | 6 + +-------------+ | | | | | 9 | | | +-----------+ | | +-------------+ +-------------+ I know I can do this by column-wise as this <div class="col1"> <div></div> <div></div> <div></div> </div> <div class="col2"> <div></div> <div></div> <div></div> </div> <div class="col3"> <div></div> <div></div> <div></div> </div> But In my website there more pages like this, so I would like to achieve without touching markup. Is there any idea to perform this with css or any javascript/jquery method?

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  • Creating a tar file with checksums included

    - by wazoox
    Here's my problem : I need to archive to tar files a lot ( up to 60 TB) of big files (usually 30 to 40 GB each). I would like to make checksums ( md5, sha1, whatever) of these files before archiving; however not reading every file twice (once for checksumming, twice for tar'ing) is more or less a necessity to achieve a very high archiving performance (LTO-4 wants 120 MB/s sustained, and the backup window is limited). So I'd need some way to read a file, feeding a checksumming tool on one side, and building a tar to tape on the other side, something along : tar cf - files | tee tarfile.tar | md5sum - Except that I don't want the checksum of the whole archive (this sample shell code does just this) but a checksum for each individual file in the archive. I've studied GNU tar, Pax, Star options. I've looked at the source from Archive::Tar. I see no obvious way to achieve this. It looks like I'll have to hand-build something in C or similar to achieve what I need. Perl/Python/etc simply won't cut it performance-wise, and the various tar programs miss the necessary "plugin architecture". Does anyone know of any existing solution to this before I start code-churning ?

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  • Boost ASIO async_write "Vector iterator not dereferencable"

    - by xeross
    Hey, I've been working on an async boost server program, and so far I've got it to connect. However I'm now getting a "Vector iterator not dereferencable" error. I suspect the vector gets destroyed or dereferenced before he packet gets sent thus causing the error. void start() { Packet packet; packet.setOpcode(SMSG_PING); send(packet); } void send(Packet packet) { cout << "DEBUG> Transferring packet with opcode " << packet.GetOpcode() << endl; async_write(m_socket, buffer(packet.write()), boost::bind(&Session::writeHandler, shared_from_this(), placeholders::error, placeholders::bytes_transferred)); } void writeHandler(const boost::system::error_code& errorCode, size_t bytesTransferred) { cout << "DEBUG> Transfered " << bytesTransferred << " bytes to " << m_socket.remote_endpoint().address().to_string() << endl; } Start gets called once a connection is made. packet.write() returns a uint8_t vector Would it matter if I'd change void send(Packet packet) to void send(Packet& packet) Not in relation to this problem but performance wise.

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