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  • how to organise my abstraction?

    - by DaveM
    I have a problem that I can't decide how to best handle, so I'm asking for advice. Please bear with me if my question isn't clear, it is possiblybecause I'm not sure exacly how to solve! I have a set of function that I have in a class. These function are a set of lowest commonality. To be able to run this I need to generate certain info. But this info can arrive with my class from one of 2 routes. I'll try to summarise my situation.... Lets say that I have a class as follows. public class onHoliday(){ private Object modeOfTravel; private Object location; public onHoliday(Object vehicle, Location GPScoords) { private boolean haveFun(){//function to have fun, needs 4 people }//end haveFun() } } Lets imagine I can get to my holiday either by car or by bike. my haveFun() function is dependant my type of vehicle. But only loosely. I have another function that determines my vehicle type, and extracts the required values. for example if I send a car I may get 4 people in one go, but if I send I bike I need at least 2 to get the required 4 I have currently 2 options: Overload my constructor, so as I can send either 2 bikes or a single car into it, then I can call one of 2 intermediate functions (to get the names of my 4 people for instance) before I haveFun() - this is what I am currently doing. split the 2 constructors into 2 separate classes, and repeat my haveFun() in a third class, that becomes an object of my 2 other classes. my problem with this is that my intermediate functions are all but a few lines of code, and I don't want to have them in a separate file! (I allways put classes in separate files!) Please note, my haveFun() isn't something that I'm going to need outside of these 2 classes, or even being onHoliday (ie. there is no chance of me doing some haveFun() over a weekend or of an evening!). I have though about putting haveFun() into an interface, but it seems a bit worthless having an interface with only a single method! Even then I would have to have the method in both of the classes -one for bike and another for car! I have thought about having my onHoliday class accepting any object type, but then I don't want someone accidentally sending in a boat to my onHoliday class (imagine I can't swim, so its not about to happen). It may be important to note that my onHoliday class is package private, and final. It in fact is only accessed via other 'private methods' in other classes, and has only private methods itself. Thanks in advance. David

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  • How to read the 3D chart data with directX?

    - by MemoryLeak
    I am reading a open source project, and I found there is a function which read 3D data(let's say a character) from obj file, and draw it . the source code: List<Vertex3f> verts=new List<Vertex3f>(); List<Vertex3f> norms=new List<Vertex3f>(); Groups=new List<ToothGroup>(); //ArrayList ALf=new ArrayList();//faces always part of a group List<Face> faces=new List<Face>(); MemoryStream stream=new MemoryStream(buffer); using(StreamReader sr = new StreamReader(stream)){ String line; Vertex3f vertex; string[] items; string[] subitems; Face face; ToothGroup group=null; while((line = sr.ReadLine()) != null) { if(line.StartsWith("#")//comment || line.StartsWith("mtllib")//material library. We build our own. || line.StartsWith("usemtl")//use material || line.StartsWith("o")) {//object. There's only one object continue; } if(line.StartsWith("v ")) {//vertex items=line.Split(new char[] { ' ' }); vertex=new Vertex3f();//float[3]; if(flipHorizontally) { vertex.X=-Convert.ToSingle(items[1],CultureInfo.InvariantCulture); } else { vertex.X=Convert.ToSingle(items[1],CultureInfo.InvariantCulture); } vertex.Y=Convert.ToSingle(items[2],CultureInfo.InvariantCulture); vertex.Z=Convert.ToSingle(items[3],CultureInfo.InvariantCulture); verts.Add(vertex); continue; } And why it need to read the data manually in directX? As far as I know, in XDA programming, we just need to call a function a load the resource. Is this because it is in DirectX, there is no function to read resource? If yes, then how to prepare the 3D resource ? in XDA we just need to use other software draw the 3D picture and then export. but what should I do in DirectX?

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  • .NET MVC Ajax Form - How do you hide it?

    - by Tommy
    Ok, everything is 'functionally' working with what I am attempting to accomplish and once again, I am sure this is something dumb, but I cannot figure out how to do this one thing. I have an edit form for an entity, lets say a car. This 'car' can have 0 - many passengers. So on my edit form, I have all the fields for the car, then a list view showing each passenger (partial). I also have a 'add new passenger' button that will render a new partial view that allows you to enter a passenger. This has a cancel link and an add button to submit an Ajax form. When you add a passenger, the passenger is automatically added to the list, but I need the enter passenger form to go away. I have tried using the onSuccess and onComplete functions to hide the div that the form is in, but both render just the partial view HTML elements (white screen, text) and not the partialView in the context of the entire page. Sources: 1) Main Edit View <script type="text/javascript"> Function hideForm(){ document.getElementById('newPassenger').style.display = 'none'; } </script> <h2>Edit</h2> <%-- The following line works around an ASP.NET compiler warning --%> <%= ""%> <%Html.RenderPartial("EditCar", Model)%> <h2>Passengers for this car</h2> <%=Ajax.ActionLink("Add New Passenger", "AddPassenger", New With {.ID = Model.carID}, New AjaxOptions With {.UpdateTargetId = "newPassenger", .InsertionMode = InsertionMode.Replace})%> <div id="newPassenger"></div> <div id="passengerList"> <%Html.RenderPartial("passengerList", Model.Passengers)%> </div> <div> <%= Html.ActionLink("Back to List", "Index") %> </div> 2) AddPassenger View. The cancel link below is an action that returns nothing, thus removing the information in the div. <% Using Ajax.BeginForm("AddPassengerToCar", New With {.id = ViewData("carID")}, New AjaxOptions With {.UpdateTargetId = "passengerList", .InsertionMode = InsertionMode.Replace})%> <%=Html.DropDownList("Passengers")%> <input type="submit" value="Add" /> <%=Ajax.ActionLink("Cancel", "CancelAddControl", _ New AjaxOptions With {.UpdateTargetId = "newPassenger", .InsertionMode = InsertionMode.Replace})%><% end using %>

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  • HTML Purifier: Removing an element conditionally based on its attributes

    - by pinkgothic
    As per the HTML Purifier smoketest, 'malformed' URIs are occasionally discarded to leave behind an attribute-less anchor tag, e.g. <a href="javascript:document.location='http://www.google.com/'">XSS</a> becomes <a>XSS</a> ...as well as occasionally being stripped down to the protocol, e.g. <a href="http://1113982867/">XSS</a> becomes <a href="http:/">XSS</a> While that's unproblematic, per se, it's a bit ugly. Instead of trying to strip these out with regular expressions, I was hoping to use HTML Purifier's own library capabilities / injectors / plug-ins / whathaveyou. Point of reference: Handling attributes Conditionally removing an attribute in HTMLPurifier is easy. Here the library offers the class HTMLPurifier_AttrTransform with the method confiscateAttr(). While I don't personally use the functionality of confiscateAttr(), I do use an HTMLPurifier_AttrTransform as per this thread to add target="_blank" to all anchors. // more configuration stuff up here $htmlDef = $htmlPurifierConfiguration->getHTMLDefinition(true); $anchor = $htmlDef->addBlankElement('a'); $anchor->attr_transform_post[] = new HTMLPurifier_AttrTransform_Target(); // purify down here HTMLPurifier_AttrTransform_Target is a very simple class, of course. class HTMLPurifier_AttrTransform_Target extends HTMLPurifier_AttrTransform { public function transform($attr, $config, $context) { // I could call $this->confiscateAttr() here to throw away an // undesired attribute $attr['target'] = '_blank'; return $attr; } } That part works like a charm, naturally. Handling elements Perhaps I'm not squinting hard enough at HTMLPurifier_TagTransform, or am looking in the wrong place(s), or generally amn't understanding it, but I can't seem to figure out a way to conditionally remove elements. Say, something to the effect of: // more configuration stuff up here $htmlDef = $htmlPurifierConfiguration->getHTMLDefinition(true); $anchor = $htmlDef->addElementHandler('a'); $anchor->elem_transform_post[] = new HTMLPurifier_ElementTransform_Cull(); // add target as per 'point of reference' here // purify down here With the Cull class extending something that has a confiscateElement() ability, or comparable, wherein I could check for a missing href attribute or a href attribute with the content http:/. HTMLPurifier_Filter I understand I could create a filter, but the examples (Youtube.php and ExtractStyleBlocks.php) suggest I'd be using regular expressions in that, which I'd really rather avoid, if it is at all possible. I'm hoping for an onboard or quasi-onboard solution that makes use of HTML Purifier's excellent parsing capabilities. Returning null in a child-class of HTMLPurifier_AttrTransform unfortunately doesn't cut it. Anyone have any smart ideas, or am I stuck with regexes? :)

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  • Singleton: How should it be used

    - by Loki Astari
    Edit: From another question I provided an answer that has links to a lot of questions/answers about singeltons: More info about singletons here: So I have read the thread Singletons: good design or a crutch? And the argument still rages. I see Singletons as a Design Pattern (good and bad). The problem with Singleton is not the Pattern but rather the users (sorry everybody). Everybody and their father thinks they can implement one correctly (and from the many interviews I have done, most people can't). Also because everybody thinks they can implement a correct Singleton they abuse the Pattern and use it in situations that are not appropriate (replacing global variables with Singletons!). So the main questions that need to be answered are: When should you use a Singleton How do you implement a Singleton correctly My hope for this article is that we can collect together in a single place (rather than having to google and search multiple sites) an authoritative source of when (and then how) to use a Singleton correctly. Also appropriate would be a list of Anti-Usages and common bad implementations explaining why they fail to work and for good implementations their weaknesses. So get the ball rolling: I will hold my hand up and say this is what I use but probably has problems. I like "Scott Myers" handling of the subject in his books "Effective C++" Good Situations to use Singletons (not many): Logging frameworks Thread recycling pools /* * C++ Singleton * Limitation: Single Threaded Design * See: http://www.aristeia.com/Papers/DDJ_Jul_Aug_2004_revised.pdf * For problems associated with locking in multi threaded applications * * Limitation: * If you use this Singleton (A) within a destructor of another Singleton (B) * This Singleton (A) must be fully constructed before the constructor of (B) * is called. */ class MySingleton { private: // Private Constructor MySingleton(); // Stop the compiler generating methods of copy the object MySingleton(MySingleton const& copy); // Not Implemented MySingleton& operator=(MySingleton const& copy); // Not Implemented public: static MySingleton& getInstance() { // The only instance // Guaranteed to be lazy initialized // Guaranteed that it will be destroyed correctly static MySingleton instance; return instance; } }; OK. Lets get some criticism and other implementations together. :-)

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  • How to configure Spring JavaMailSenderImpl for Gmail

    - by Andrew Carlson
    I am trying to find the correct properties to use to connect to the Gmail SMTP sever using the JavaMailSenderImpl class. Let me first say that I have tried the approach found here. This worked fine. But when I tried the configuration below that post with the exact same authentication information I received a javax.mail.AuthenticationFailedException. My currently configuration looks like this. <bean id="mailSender" class ="org.springframework.mail.javamail.JavaMailSenderImpl" > <property name="username" value="[email protected]" /> <property name="password" value="XXX" /> <property name="javaMailProperties"> <props> <prop key="mail.smtp.host">smtp.gmail.com</prop> <prop key="mail.smtp.port">587</prop> <prop key="mail.smtp.auth">true</prop> <prop key="mail.smtp.starttls.enable">true</prop> </props> </property> </bean> Why am I still getting this javax.mail.AuthenticationFailedException if I know that my credentials are correct. Update Here is my updated code based on the answers below. I am still receiving the same exception. <bean id="mailSender" class ="org.springframework.mail.javamail.JavaMailSenderImpl" > <property name="username" value="[email protected]" /> <property name="password" value="XXX" /> <property name="javaMailProperties"> <props> <prop key="mail.smtp.from">[email protected]</prop> <prop key="mail.smtp.user">[email protected]</prop> <prop key="mail.smtp.password">XXX</prop> <prop key="mail.smtp.host">smtp.gmail.com</prop> <prop key="mail.smtp.port">587</prop> <prop key="mail.smtp.auth">true</prop> <prop key="mail.smtp.starttls.enable">true</prop> </props> </property> </bean>

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  • Managing a difficult manager

    - by griegs
    I have a situation here at work. We are redeveloping our basic architecture across the entire company. Currently we have the following hierarchy; SQL Database <= Stored Procs not allowed. nHibernate Classes to convert nHibernate into our own objects Web Service <= for all external and [internal] calls. Class to take objects from Web Service and back into our own objects and then… Normal nTier application architecture such as Data Transformation Layer, Business layer etc. Within the database, when we are writing a hierarchy of objects to the database, say for example; Order Person Details Address Product Other We need to serialise the object and save it, in its entirety, to an image field in a table. No attempt has been made to store the objects in their own tables so that we can do useful stuff like report on it. This is an architecture that was implemented [way] before I started and as you can probably appreciate, is a complete nightmare not to mention slow as a wet weekend. We’re not even allowed to have stored procs within SQL server because in my boss’s last job they had a hundred or so and he had a problem identifying them all so therefore all stored procs are the devil. Now the same person that developed the above architecture has developed the new one. It came as no surprise that he’s essentially used the same framework only now it’s using DotNet 3.5 with interfaces and generics. We still have to go through web services, still need to serialise (everything), still not allowed to use stored procs etc. In fact, we’re only barely able to bang two rocks together here. He says to us that the framework is open for discussion but when you discuss it, unless you approve of his design, you are told flatly “No”. He simply won’t listen to any other suggestions. Even when you show him demo applications of his proposed architecture v’s yours and he can see the speed difference, he still won’t take that on board. So I guess my question is, and I know others have experienced the same things out there, how do I get through to someone like this? How do you convince someone to ditch Web Services for internal calls and applications? How do you demonstrate, and make it stick, that stored procs are a better way to go than ad-hoc sql statements? This is killing me. I don’t want to repeat the mistakes of the past and I certainly don’t want to write code that I know is going to be slow and cumbersome. Help!

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  • Calculate year for end date: PostgreSQL

    - by Dave Jarvis
    Background Users can pick dates as shown in the following screen shot: Any starting month/day and ending month/day combinations are valid, such as: Mar 22 to Jun 22 Dec 1 to Feb 28 The second combination is difficult (I call it the "tricky date scenario") because the year for the ending month/day is before the year for the starting month/day. That is to say, for the year 1900 (also shown selected in the screen shot above), the full dates would be: Dec 22, 1900 to Feb 28, 1901 Dec 22, 1901 to Feb 28, 1902 ... Dec 22, 2007 to Feb 28, 2008 Dec 22, 2008 to Feb 28, 2009 Problem Writing a SQL statement that selects values from a table with dates that fall between the start month/day and end month/day, regardless of how the start and end days are selected. In other words, this is a year wrapping problem. Inputs The query receives as parameters: Year1, Year2: The full range of years, independent of month/day combination. Month1, Day1: The starting day within the year to gather data. Month2, Day2: The ending day within the year (or the next year) to gather data. Previous Attempt Consider the following MySQL code (that worked): end_year = start_year + greatest( -1 * sign( datediff( date( concat_ws('-', year, end_month, end_day ) ), date( concat_ws('-', year, start_month, start_day ) ) ) ), 0 ) How it works, with respect to the tricky date scenario: Create two dates in the current year. The first date is Dec 22, 1900 and the second date is Feb 28, 1900. Count the difference, in days, between the two dates. If the result is negative, it means the year for the second date must be incremented by 1. In this case: Add 1 to the current year. Create a new end date: Feb 28, 1901. Check to see if the date range for the data falls between the start and calculated end date. If the result is positive, the dates have been provided in chronological order and nothing special needs to be done. This worked in MySQL because the difference in dates would be positive or negative. In PostgreSQL, the equivalent functionality always returns a positive number, regardless of their relative chronological order. Question How should the following (broken) code be rewritten for PostgreSQL to take into consideration the relative chronological order of the starting and ending month/day pairs (with respect to an annual temporal displacement)? SELECT m.amount FROM measurement m WHERE (extract(MONTH FROM m.taken) >= month1 AND extract(DAY FROM m.taken) >= day1) AND (extract(MONTH FROM m.taken) <= month2 AND extract(DAY FROM m.taken) <= day2) Any thoughts, comments, or questions? (The dates are pre-parsed into MM/DD format in PHP. My preference is for a pure PostgreSQL solution, but I am open to suggestions on what might make the problem simpler using PHP.) Versions PostgreSQL 8.4.4 and PHP 5.2.10

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  • PriorityQueue update problems

    - by Bharat
    After going through a bunch of questions here on SO, I still have no idea what exactly is going wrong with my code and would appreciate some help. I'm trying to implement a priority queue based on f-costs for an A* algorithm, and while the algorithm works fine for short pathfinding distances, it seems to go wrong when there's an obstacle or when the distance between start and goal points is greater than about 30 squares (although sometimes it screws up for less too). while(!m_qOpenList.isEmpty()) { m_xCurrent=m_qOpenList.poll(); m_xCurrent.setBackground(Color.red); m_qClosedList.add(m_xCurrent); if(m_xCurrent.getStatus()==2) { System.out.println("Target Reached"); solved=true; break; } iX=m_xCurrent.getXCo(); iY=m_xCurrent.getYCo(); for(i=iX-1;i<=iX+1;i++) for(j=iY-1;j<=iY+1;j++) { if(i<0||j<0||i>m_iMazeX||j>m_iMazeX||(i==iX&&j==iY) || m_xNode[i][j].getStatus()==4|| m_qClosedList.contains(m_xNode[i][j])) continue; m_xNode[i][j].score(m_xCurrent,m_xGoal); m_qOpenList.add(m_xNode[i][j]); } } It's quite rudimentary as I'm just trying to get it to work for now. m_qOpenList is the PriorityQueue. The problem is that when I debug the program, at some point (near an obstacle), a Node with a fcost of say 84 has higher priority than a node with an fcost of 70. I am not attempting to modify the values once they're on the priority queue. You'll notice that I add at the end of the while loop (I read somewhere that the priorityqueue reorders itself when stuff is added to it), and poll right after that at the beginning. Status of 2 means the Node is the goal, and a status of 4 means that it is unwalkable. public int compareTo(Node o) { if(m_iF<o.m_iF) return -1; if(m_iF>o.m_iF) return 1; return 0; } And that's the compareTo function. Can you see a problem? =(

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  • Firefox logs invalid URL?

    - by thanks for help
    I'm writing an extension for firefox. Using dom.location to keep track of visited search results pages, i'm getting this url http://www.google.com/search?hl=en&source=hp&q=hi&aq=f&aqi=&oq=&fp=642c18fb4411ca2e . If you click it, the google search results for "hi" should come up. You'll know that from the title bar - because the rest of the page won't load. This happens with any google search. Oddly enough, if you cut part of it off, so say, http://www.google.com/search?hl=en&source=hp&q=hi - it works! But Googling "hi" myself does give me a longish URL - http://www.google.com/#hl=en&source=hp&q=hi&aq=f&aqi=&oq=&fp=db658cc5049dc510 . I know for a fact that the first time that URL was visited, the page loaded, I did it myself. Can anyone make reason out of this? I just tried my experiment again, this time saving the original URL in the location bar. It turns out, dom.location.href is giving a different value. How is this happening? Original: http://www.google.com/#hl=en&source=hp&q=hi&aq=f&aqi=&oq=&fp=642c18fb4411ca2e dom.location.href http://www.google.com/search?hl=en&source=hp&q=hi&aq=f&aqi=&oq=&fp=642c18fb4411ca2e window.addEventListener("load", function() { myExtension.init(); }, false); var myExtension = { init: function() { var appcontent = document.getElementById("appcontent"); // browser if(appcontent) appcontent.addEventListener("DOMContentLoaded", myExtension.onPageLoad, true); var messagepane = document.getElementById("messagepane"); // mail if(messagepane) messagepane.addEventListener("load", function () { myExtension.onPageLoad(); }, true); }, onPageLoad: function(aEvent) { var doc = aEvent.originalTarget; // doc is document that triggered "onload" event // do something with the loaded page. // doc.location is a Location object (see below for a link). // You can use it to make your code executed on certain pages only. var url = doc.location.href; if (url.match(/(?:p|q)(?:=)([^%]*)/)) {alert("MATCH" + url);resultsPages.push(url);} else {alert(url); } } This snippet comes directly from Mozilla with the matching and alerts my own. I apologize for not posting the code earlier.

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  • LINQ to SQL: To Attach or Not To Attach

    - by bradhe
    So I'm have a really hard time figuring out when I should be attaching to an object and when I shouldn't be attaching to an object. First thing's first, here is a small diagram of my (very simplified) object model. Edit: Okay, apparently I'm not allowed to post images...here you go: http://i.imgur.com/2ROFI.png In my DAL I create a new DataContext every time I do a data-related operation. Say, for instance, I want to save a new user. In my business layer I create a new user. var user = new User(); user.FirstName = "Bob"; user.LastName = "Smith"; user.Username = "bob.smith"; user.Password = StringUtilities.EncodePassword("MyPassword123"); user.Organization = someOrganization; // Assume that someOrganization was loaded and it's data context has been garbage collected. Now I want to go save this user. var userRepository = new RepositoryFactory.GetRepository<UserRepository>(); userRepository.Save(user); Neato! Here is my save logic: public void Save(User user) { if (!DataContext.Users.Contains(user)) { user.Id = Guid.NewGuid(); user.CreatedDate = DateTime.Now; user.Disabled = false; //DataContext.Organizations.Attach(user.Organization); DataContext.Users.InsertOnSubmit(user); } else { DataContext.Users.Attach(user); } DataContext.SubmitChanges(); // Finished here as well. user.Detach(); } So, here we are. You'll notice that I comment out the bit where the DataContext attachs to the organization. If I attach to the organization I get the following exception: NotSupportedException: An attempt has been made to Attach or Add an entity that is not new, perhaps having been loaded from another DataContext. This is not supported. Hmm, that doesn't work. Let me try it without attaching (i.e. comment out that line about attaching to the organization). DuplicateKeyException: Cannot add an entity with a key that is already in use. WHAAAAT? I can only assume this is trying to insert a new organization which is obviously false. So, what's the deal guys? What should I do? What is the proper approach? It seems like L2S makes this quite a bit harder than it should be...

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  • Wiki-fying a text using LPeg

    - by Stigma
    Long story coming up, but I'll try to keep it brief. I have many pure-text paragraphs which I extract from a system and re-output in wiki format so that the copying of said data is not such an arduous task. This all goes really well, except that there are no automatic references being generated for the 'topics' we have pages for, which end up needing to be added by reading through all the text and adding it in manually by changing Topic to [[Topic]]. First requirement: each topic is only to be made clickable once, which is the first occurrence. Otherwise, it would become a really spammy linkfest, which would detract from readability. To avoid issues with topics that start with the same words Second requirement: overlapping topic names should be handled in such a way that the most 'precise' topic gets the link, and in later occurrences, the less precise topics do not get linked, since they're likely not correct. Example: topics = { "Project", "Mary", "Mr. Moore", "Project Omega"} input = "Mary and Mr. Moore work together on Project Omega. Mr. Moore hates both Mary and Project Omega, but Mary simply loves the Project." output = function_to_be_written(input) -- "[[Mary]] and [[Mr. Moore]] work together on [[Project Omega]]. Mr. Moore hates both Mary and Project Omega, but Mary simply loves the [[Project]]." Now, I quickly figured out a simple or complicated string.gsub() could not get me what I need to satisfy the second requirement, as it provides no way to say 'Consider this match as if it did not happen - I want you to backtrack further'. I need the engine to do something akin to: input = "abc def ghi" -- Looping over the input would, in this order, match the following strings: -- 1) abc def ghi -- 2) abc def -- 3) abc -- 4) def ghi -- 5) def -- 6) ghi Once a string matches an actual topic and has not been replaced before by its wikified version, it is replaced. If this topic has been replaced by a wikified version before, don't replace, but simply continue the matching at the end of the topic. (So for a topic "abc def", it would test "ghi" next in both cases.) Thus I arrive at LPeg. I have read up on it, played with it, but it is considerably complex, and while I think I need to use lpeg.Cmt and lpeg.Cs somehow, I am unable to mix the two properly to make what I want to do work. I am refraining from posting my practice attempts as they are of miserable quality and probably more likely to confuse anyone than assist in clarifying my problem. (Why do I want to use a PEG instead of writing a triple-nested loop myself? Because I don't want to, and it is a great excuse to learn PEGs.. except that I am in over my head a bit. Unless it is not possible with LPeg, the first is not an option.)

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  • Is One Tool or a Suite of Tools Better for Scrum?

    - by Rob Wells
    G'day, Edit: We've been using Scrum very successfully for several years on several projects of varying sizes. In fact, our team developed the successful iPlayer project for the BBC using a classical Scrum approach. After using various combinations of tools, some high-tech, some low-tech, across these projects we now wish to try adopting a suitable tool suite. Our manager is to some extent attempting to force the adoption of a single suite of tools for Scrum. I've looked at the SO question "Best Scrum tools" and most people seem to recommend either: a suite of low-tech solutions, e.g. whiteboards, post-its, index cards, etc., or a monolithic tool that tries to satisfy as much as possible of the process, e.g. Agilo, Mingle, ScrumWorks, Target Process, etc. Our team is currently evaluating several different Scrum tools. However, we are looking at selecting a single, monolithic tool, e.g. Agilo. All of the "one-stop" solutions have their strengths and weaknesses with the serious enterprise type solutions being the best sort of fit. But all have some short comings. After reading the paper "Peer Code Review: An Agile Process" over at SmartBear I started wondering if we were trying to force adoption of a tool on a "best fit" basis. I think you can take a couple of reference artefacts of the Scrum development process, say user stories, epics and themes, and the code base which must use a well-known SCM, e.g. SVN, Hg, etc. Then if we take that as the common reference points for the tools employed then we would be able to use a group of tools to handle the different aspects of the Scrum process rather than try forcing a fit of a single tool would is a bit like forcing a square peg into the round hole. In this way, providing you've agreed your common reference points, you can use several tools, each performing their role better than a could be done by a single component in a monolithic tool suite. Is this a more sensible approach? Are the two reference points I mentioned above suitable, or is their a better choice of points where the tools would meet? cheers,

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  • Inline-editing: onBlur prevents onClick from being triggered (jQuery)

    - by codethief
    Hello StackOverflow community! I'm currently working on my own jQuery plugin for inline-editing as those that already exist don't fit my needs. Anyway, I'd like to give the user the following (boolean) options concerning the way editing is supposed to work: submit_button reset_on_blur Let's say the user would like to have a submit button (submit_button = true) and wants the inline input element to be removed as soon as it loses focus (reset_on_blur = true). This leads to an onClick handler being registered for the button and an onBlur handler being registered for the input element. Every time the user clicks the button, however, the onBlur handler is also triggered and results in the edit mode being left, i.e. before the onClick event occurs. This makes submitting impossible. FYI, the HTML in edit mode looks like this: <td><input type="text" class="ie-input" value="Current value" /><div class="ie-content-backup" style="display: none;">Backup Value</div><input type="submit" class="ie-button-submit" value="Save" /></td> So, is there any way I could check in the onBlur handler if the focus was lost while activating the submit button, so that edit mode isn't left before the submit button's onClick event is triggered? I've also tried to register a $('body').click() handler to simulate blur and to be able to trace back which element has been clicked, but that didn't work either and resulted in rather strange bugs: $('html').click(function(e) { // body doesn't span over full page height, use html instead // Don't reset if the submit button, the input element itself or the element to be edited inline was clicked. if(!$(e.target).hasClass('ie-button-submit') && !$(e.target).hasClass('ie-input') && $(e.target).get(0) != element.get(0)) { cancel(element); } }); jEditable uses the following piece of code. I don't like this approach, though, because of the delay. Let alone I don't even understand why this works. ;) input.blur(function(e) { /* prevent canceling if submit was clicked */ t = setTimeout(function() { reset.apply(form, [settings, self]); }, 500); }); Thanks in advance!

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  • .NET XML Serialization without <?xml> root node

    - by Graphain
    Hi, I'm trying to generate XML like this: <?xml version="1.0"?> <!DOCTYPE APIRequest SYSTEM "https://url"> <APIRequest> <Head> <Key>123</Key> </Head> <ObjectClass> <Field>Value</Field </ObjectClass> </APIRequest> I have a class (ObjectClass) decorated with XMLSerialization attributes like this: [XmlRoot("ObjectClass")] public class ObjectClass { [XmlElement("Field")] public string Field { get; set; } } And my really hacky intuitive thought to just get this working is to do this when I serialize: ObjectClass inst = new ObjectClass(); XmlSerializer serializer = new XmlSerializer(inst.GetType(), ""); StringWriter w = new StringWriter(); w.WriteLine(@"<?xml version=""1.0""?>"); w.WriteLine("<!DOCTYPE APIRequest SYSTEM"); w.WriteLine(@"""https://url"">"); w.WriteLine("<APIRequest>"); w.WriteLine("<Head>"); w.WriteLine(@"<Field>Value</Field>"); w.WriteLine(@"</Head>"); XmlSerializerNamespaces ns = new XmlSerializerNamespaces(); ns.Add("", ""); serializer.Serialize(w, inst, ns); w.WriteLine("</APIRequest>"); However, this generates XML like this: <?xml version="1.0"?> <!DOCTYPE APIRequest SYSTEM "https://url"> <APIRequest> <Head> <Key>123</Key> </Head> <?xml version="1.0" encoding="utf-16"?> <ObjectClass> <Field>Value</Field> </ObjectClass> </APIRequest> i.e. the serialize statement is automatically adding a <?xml root element. I know I'm attacking this wrong so can someone point me in the right direction? As a note, I don't think it will make practical sense to just make an APIRequest class with an ObjectClass in it (because there are say 20 different types of ObjectClass that each needs this boilerplate around them) but correct me if I'm wrong.

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  • Succinct introduction to C++/CLI for C#/Haskell/F#/JS/C++/... programmer

    - by Henrik
    Hello everybody, I'm trying to write integrations with the operating system and with things like active directory and Ocropus. I know a bunch of programming languages, including those listed in the title. I'm trying to learn exactly how C++/CLI works, but can't find succinct, exact and accurate descriptions online from the searching that I have done. So I ask here. Could you tell me the pitfalls and features of C++/CLI? Assume I know all of C# and start from there. I'm not an expert in C++, so some of my questions' answers might be "just like C++", but could say that I am at C#. I would like to know things like: Converting C++ pointers to CLI pointers, Any differences in passing by value/doubly indirect pointers/CLI pointers from C#/C++ and what is 'recommended'. How do gcnew, __gc, __nogc work with Polymorphism Structs Inner classes Interfaces The "fixed" keyword; does that exist? Compiling DLLs loaded into the kernel with C++/CLI possible? Loaded as device drivers? Invoked by the kernel? What does this mean anyway (i.e. to load something into the kernel exactly; how do I know if it is?)? L"my string" versus "my string"? wchar_t? How many types of chars are there? Are we safe in treating chars as uint32s or what should one treat them as to guarantee language indifference in code? Finalizers (~ClassName() {}) are discouraged in C# because there are no garantuees they will run deterministically, but since in C++ I have to use "delete" or use copy-c'tors as to stack allocate memory, what are the recommendations between C#/C++ interactions? What are the pitfalls when using reflection in C++/CLI? How well does C++/CLI work with the IDisposable pattern and with SafeHandle, SafeHandleZeroOrMinusOneIsInvalid? I've read briefly about asynchronous exceptions when doing DMA-operations, what are these? Are there limitations you impose upon yourself when using C++ with CLI integration rather than just doing plain C++? Attributes in C++ similar to Attributes in C#? Can I use the full meta-programming patterns available in C++ through templates now and still have it compile like ordinary C++? Have you tried writing C++/CLI with boost? What are the optimal ways of interfacing the boost library with C++/CLI; can you give me an example of passing a lambda expression to an iterator/foldr function? What is the preferred way of exception handling? Can C++/CLI catch managed exceptions now? How well does dynamic IL generation work with C++/CLI? Does it run on Mono? Any other things I ought to know about?

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  • Succinct introduction to C++/CLI for C#/Haskell/F#/JS/C++/... programmer

    - by Henrik
    Hello everybody, I'm trying to write integrations with the operating system and with things like active directory and Ocropus. I know a bunch of programming languages, including those listed in the title. I'm trying to learn exactly how C++/CLI works, but can't find succinct, exact and accurate descriptions online from the searching that I have done. So I ask here. Could you tell me the pitfalls and features of C++/CLI? Assume I know all of C# and start from there. I'm not an expert in C++, so some of my questions' answers might be "just like C++", but could say that I am at C#. I would like to know things like: Converting C++ pointers to CLI pointers, Any differences in passing by value/doubly indirect pointers/CLI pointers from C#/C++ and what is 'recommended'. How do gcnew, __gc, __nogc work with Polymorphism Structs Inner classes Interfaces The "fixed" keyword; does that exist? Compiling DLLs loaded into the kernel with C++/CLI possible? Loaded as device drivers? Invoked by the kernel? What does this mean anyway (i.e. to load something into the kernel exactly; how do I know if it is?)? L"my string" versus "my string"? wchar_t? How many types of chars are there? Are we safe in treating chars as uint32s or what should one treat them as to guarantee language indifference in code? Finalizers (~ClassName() {}) are discouraged in C# because there are no garantuees they will run deterministically, but since in C++ I have to use "delete" or use copy-c'tors as to stack allocate memory, what are the recommendations between C#/C++ interactions? What are the pitfalls when using reflection in C++/CLI? How well does C++/CLI work with the IDisposable pattern and with SafeHandle, SafeHandleZeroOrMinusOneIsInvalid? I've read briefly about asynchronous exceptions when doing DMA-operations, what are these? Are there limitations you impose upon yourself when using C++ with CLI integration rather than just doing plain C++? Attributes in C++ similar to Attributes in C#? Can I use the full meta-programming patterns available in C++ through templates now and still have it compile like ordinary C++? Have you tried writing C++/CLI with boost? What are the optimal ways of interfacing the boost library with C++/CLI; can you give me an example of passing a lambda expression to an iterator/foldr function? What is the preferred way of exception handling? Can C++/CLI catch managed exceptions now? How well does dynamic IL generation work with C++/CLI? Does it run on Mono? Any other things I ought to know about?

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  • user generated / user specific functions

    - by pedalpete
    I'm looking for the most elegant and secure method to do the following. I have a calendar, and groups of users. Users can add events to specific days on the calendar, and specify how long each event lasts for. I've had a few requests from users to add the ability for them to define that events of a specific length include a break, of a certain amount of time, or require that a specific amount of time be left between events. For example, if event is 2 hours, include a 20min break. for each event, require 30 minutes before start of next event. The same group that has asked for an event of 2 hours to include a 20 min break, could also require that an event 3 hours include a 30 minute break. In the end, what the users are trying to get is an elapsed time excluding breaks calculated for them. Currently I provide them a total elapsed time, but they are looking for a running time. However, each of these requests is different for each group. Where one group may want a 30 minute break during a 2 hour event, and another may want only 10 minutes for each 3 hour event. I was kinda thinking I could write the functions into a php file per group, and then include that file and do the calculations via php and then return a calculated total to the user, but something about that doesn't sit right with me. Another option is to output the groups functions to javascript, and have it run client-side, as I'm already returning the duration of the event, but where the user is part of more than one group with different rules, this seems like it could get rather messy. I currently store the start and end time in the database, but no 'durations', and I don't think I should be storing the calculated totals in the db, because if a group decides to change their calculations, I'd need to change it throughout the db. Is there a better way of doing this? I would just store the variables in mysql, but I don't see how I can then say to mysql to calculate based on those variables. I'm REALLY lost here. Any suggestions? I'm hoping somebody has done something similar and can provide some insight into the best direction. If it helps, my table contains eventid, user, group, startDate, startTime, endDate, endTime, type The json for the event which I return to the user is {"eventid":"'.$eventId.'", "user":"'.$userId.'","group":"'.$groupId.'","type":"'.$type.'","startDate":".$startDate.'","startTime":"'.$startTime.'","endDate":"'.$endDate.'","endTime":"'.$endTime.'","durationLength":"'.$duration.'", "durationHrs":"'.$durationHrs.'"} where for example, duration length is 2.5 and duration hours is 2:30.

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  • Using in app purchase to unlock features vs. using free & paid app versions for iPhone

    - by yabada
    I have an app that I was going to release as a free (lite) version with some of the total functionality and a paid full version with advanced functionality. Now, with in app purchase for free apps I am thinking of going that route with the ability to unlock features as needed. I'm not talking about a trial version that expires.I want people to be able to try out the app and get an idea of the interface and functionality before deciding to purchase the full functionality of each major section of the app, basically. Here's an analogy of what my app would be like. Let's say you have a cooking app that teaches you to cook in different styles. There could be major section for French, Italian, and Chinese. Each section could have some rudiments unlocked in the free app so users can see the UI and basics of the functionality. Then, the user could decide to purchase each major section (or not) individually with in app purchase or buy the full versioned app (with the free/paid model). One concern I have with offering a free app with in app purchase would be with feedback. I would be very clear in my description in the app store that there is in app purchase for full features but I'm worried that less serious users could/would leave negative feedback. I suppose that's always a risk but curious about any experience with this. It also seems that it could be a whole lot more complicated keeping track of what portions of the app are locked and unlocked with in app purchase. I know I'd have to have all the code for the full functionality and "lock" the portions that haven't been purchased. How do people usually lock portions of their code? I'm not talking about the process of purchasing (I've read the In App Purchase Programming Guide) but after the purchase has been made. Would I just keep track of what the user has purchased and put conditionals on the sections that are initially locked? Or is there another way to do this as well? My instinct is for the in app purchase (particularly since users could purchase the major sections that they want individually).

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  • What am I missing about WCF?

    - by Bigtoe
    I've been developing in MS technologies for longer than I care to remember at this stage. When .NET arrived on the scene I thought they hit the nail on the head and with each iteration and version I thought their technologies were getting stronger and stronger and looked forward to each release. However, having had to work with WCF for the last year I must say I found the technology very difficult to work with and understand. Initially it's quite appealing but when you start getting into the guts of it, configuration is a nightmare, having to override behaviours for message sizes, number of objects contained in a messages, the complexity of the security model, disposing of proxies when faulted and finally moving back to defining interfaces in code rather than in XML. It just does not work out of the box and I think it should. We found all of the above issues while either testing ourselves or else when our products were out on site. I do understand the rationale behind it all, but surely they could have come up with simpler implementation mechanism. I suppose what I'm asking is, Am I looking at WCF the wrong way? What strengths does it have over the alternatives? Under what circumstances should I choose to use WCF? OK Folks, Sorry about the delay in responding, work does have a nasty habbit of get in the way somethimes :) Some clarifications My main paint point with WCF I suppose falls down into the following areas While it does work out of the box, your left with some major surprises under the hood. As pointed out above basic things are restricted until they are overridden Size of string than can be passed can't be over 8K Number of objects that can be passed in a single message is restricted Proxies not automatically recovering from failures The amount of configuration while it's there is a good thing, but understanding it all and what to use what and under which circumstances can be difficult to understand. Especially when deploying software on site with different security requirements etc. When talking about configuration, we've had to hide lots of ours in a back-end database because security and network people on-site were trying to change things in configuration files without understanding it. Keeping the configuration of the interfaces in code rather than moving to explicitly defined interfaces in XML, which can be published and consumed by almost anything. I know we can export the XML from the assembley, but it's full of rubbish and certain code generators choke on it. I know the world moves on, I've moved on a number of times over the last (ahem 22 years I've been developing) and am actively using WCF, so don't get me wrong, I do understand what it's for and where it's heading. I just think there should be simplier configuration/deployment options available, easier set-up and better management for configuration (SQL config provider maybe, rahter than just the web.config/app.config files). OK, back to the daily grid. Thanks for all your replies so far. Kind Regards Noel

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  • Moving from Linear Probing to Quadratic Probing (hash collisons)

    - by Nazgulled
    Hi, My current implementation of an Hash Table is using Linear Probing and now I want to move to Quadratic Probing (and later to chaining and maybe double hashing too). I've read a few articles, tutorials, wikipedia, etc... But I still don't know exactly what I should do. Linear Probing, basically, has a step of 1 and that's easy to do. When searching, inserting or removing an element from the Hash Table, I need to calculate an hash and for that I do this: index = hash_function(key) % table_size; Then, while searching, inserting or removing I loop through the table until I find a free bucket, like this: do { if(/* CHECK IF IT'S THE ELEMENT WE WANT */) { // FOUND ELEMENT return; } else { index = (index + 1) % table_size; } while(/* LOOP UNTIL IT'S NECESSARY */); As for Quadratic Probing, I think what I need to do is change how the "index" step size is calculated but that's what I don't understand how I should do it. I've seen various pieces of code, and all of them are somewhat different. Also, I've seen some implementations of Quadratic Probing where the hash function is changed to accommodated that (but not all of them). Is that change really needed or can I avoid modifying the hash function and still use Quadratic Probing? EDIT: After reading everything pointed out by Eli Bendersky below I think I got the general idea. Here's part of the code at http://eternallyconfuzzled.com/tuts/datastructures/jsw_tut_hashtable.aspx: 15 for ( step = 1; table->table[h] != EMPTY; step++ ) { 16 if ( compare ( key, table->table[h] ) == 0 ) 17 return 1; 18 19 /* Move forward by quadratically, wrap if necessary */ 20 h = ( h + ( step * step - step ) / 2 ) % table->size; 21 } There's 2 things I don't get... They say that quadratic probing is usually done using c(i)=i^2. However, in the code above, it's doing something more like c(i)=(i^2-i)/2 I was ready to implement this on my code but I would simply do: index = (index + (index^index)) % table_size; ...and not: index = (index + (index^index - index)/2) % table_size; If anything, I would do: index = (index + (index^index)/2) % table_size; ...cause I've seen other code examples diving by two. Although I don't understand why... 1) Why is it subtracting the step? 2) Why is it diving it by 2?

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  • Custom NSView in NSMenuItem not receiving mouse events

    - by Dennis
    I have an NSMenu popping out of an NSStatusItem using popUpStatusItemMenu. These NSMenuItems show a bunch of different links, and each one is connected with setAction: to the openLink: method of a target. This arrangement has been working fine for a long time. The user chooses a link from the menu and the openLink: method then deals with it. Unfortunately, I recently decided to experiment with using NSMenuItem's setView: method to provide a nicer/slicker interface. Basically, I just stopped setting the title, created the NSMenuItem, and then used setView: to display a custom view. This works perfectly, the menu items look great and my custom view is displayed. However, when the user chooses a menu item and releases the mouse, the action no longer works (i.e., openLink: isn't called). If I just simply comment out the setView: call, then the actions work again (of course, the menu items are blank, but the action is executed properly). My first question, then, is why setting a view breaks the NSMenuItem's action. No problem, I thought, I'll fix it by detecting the mouseUp event in my custom view and calling my action method from there. I added this method to my custom view: - (void)mouseUp:(NSEvent *)theEvent { NSLog(@"in mouseUp"); } No dice! This method is never called. I can set tracking rects and receive mouseEntered: events, though. I put a few tests in my mouseEntered routine, as follows: if ([[self window] ignoresMouseEvents]) { NSLog(@"ignoring mouse events"); } else { NSLog(@"not ignoring mouse events"); } if ([[self window] canBecomeKeyWindow]) { dNSLog((@"canBecomeKeyWindow")); } else { NSLog(@"not canBecomeKeyWindow"); } if ([[self window] isKeyWindow]) { dNSLog((@"isKeyWindow")); } else { NSLog(@"not isKeyWindow"); } And got the following responses: not ignoring mouse events canBecomeKeyWindow not isKeyWindow Is this the problem? "not isKeyWindow"? Presumably this isn't good because Apple's docs say "If the user clicks a view that isn’t in the key window, by default the window is brought forward and made key, but the mouse event is not dispatched." But there must be a way do detect these events. HOW? Adding: [[self window] makeKeyWindow]; has no effect, despite the fact that canBecomeKeyWindow is YES.

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  • WebBrowser Control in ATL window. How to free up memory on window unload? I'm stuck.

    - by Martin
    Hello there. I have a Win32 C++ Application. There is the _tWinMain(...) Method with GetMessage(...) in a while loop at the end. Before GetMessage(...) I create the main window with HWND m_MainHwnd = CreateWindowExW(WS_EX_TOOLWINDOW | WS_EX_LAYERED, CAxWindow::GetWndClassName(), _TEXT("http://www.-website-.com"), WS_POPUP, 0, 0, 1024, 768, NULL, NULL, m_Instance, NULL); ShowWindow(m_MainHwnd) If I do not create the main window, my application needs about 150K in memory. But with creating the main window with the WebBrowser Control inside, the memory usage increases to 8500K. But, I want to dynamically unload the main window. My _tWinMain(...) keeps running! Im unloading with DestroyWindow(m_MainHwnd) But the WebBrowser control won't unload and free up it's memory used! Application memory used is still 8500K! I can also get the WebBrowser Instance or with some additional code the WebBrowser HWND IWebBrowser2* m_pWebBrowser2; CAxWindow wnd = (CAxWindow)m_MainHwnd; HRESULT hRet = wnd.QueryControl(IID_IWebBrowser2, (void**)&m_pWebBrowser2); So I tried to free up the memory used by main window and WebBrowser control with (let's say it's experimental): if(m_pWebBrowser2) m_pWebBrowser2->Release(); DestroyWindow(m_hwndWebBrowser); //<-- just analogous OleUninitialize(); No success at all. I also created a wrapper class which creates the main window. I created a pointer and freed it up with delete: Wrapper* wrapper = new Wrapper(); //wrapper creates main window inside and shows it //...do some stuff delete(wrapper); No success. Still 8500K. So please, how can I get rid of the main window and it's WebBrowser control and free up the memory, returning to about 150K. Later I will recreate the window. It's a dynamically load and unload of the main window, depending on other commands. Thanks! Regards Martin

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  • Need to set cursor position to the end of a contentEditable div, issue with selection and range obje

    - by DavidR
    I'm forgetting about cross-browser compatibility for the moment, I just want this to work. What I'm doing is trying to modify a script (and you probably don't need to know this) located at typegreek.com The basic script is found here. Basically what it does is when you type in characters, it converts the character your are typing into greek characters and prints it onto the screen. What I'm trying to do is to get it to work on contentEditable div's (It only works for Textareas) My issue is with this one function: The user types a key, it get's converted to a greek key, and goes to a function, it gets sorted through some if's, and where it ends up is where I can add div support. Here is what I have so far, myField is the div, myValue is the greek character. //Get selection object... var userSelection if (window.getSelection) {userSelection = window.getSelection();} else if (document.selection) {userSelection = document.selection.createRange();} //Now get the cursor position information... var startPos = userSelection.anchorOffset; var endPos = userSelection.focusOffset; var cursorPos = endPos; //Needed later when reinserting the cursor... var rangeObj = userSelection.getRangeAt(0) var container = rangeObj.startContainer //Now take the content from pos 0 -> cursor, add in myValue, then insert everything after myValue to the end of the line. myField.textContent = myField.textContent.substring(0, startPos) + myValue + myField.textContent.substring(endPos, myField.textContent.length); //Now the issue is, this updates the string, and returns the cursor to the beginning of the div. //so that at the next keypress, the character is inserted into the beginning of the div. //So we need to reinsert the cursor where it was. //Re-evaluate the cursor position, taking into account the added character. var cursorPos = endPos + myValue.length; //Set the caracter position. rangeObj.setStart(container,cursorPos) Now, this works only as long as I don't type more than the size of the original text. Say I had 30 characters in the div before hand. If I type more than that 30, it adds character 31, but places the cursor back at 30. I can type character 32 at pos.31, then character 33 at pos.32, but if I try to put character 34 in, it adds the character, and sets the cursor back at 32. The issue is that the function for adding the new character screws up if cursorPos is greater than what is defined in the range. Any ideas?

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  • Calling "Base-Getter" in Overriding Getter of Property

    - by scherand
    I have a base class "Parent" like this: using System; using System.Collections.Generic; using System.Text; namespace ConsoleApplication1 { class Parent { private int parentVirtualInt = -1; public virtual int VirtualProperty { get { return parentVirtualInt; } set { if(parentVirtualInt != value) { parentVirtualInt = value; } } } } } and a child class like this: using System; using System.Collections.Generic; using System.Text; namespace ConsoleApplication1 { class Child : Parent { public override int VirtualProperty { get { if(base.VirtualProperty > 0) { throw new ApplicationException("Dummy Ex"); } return base.VirtualProperty; } set { if(base.VirtualProperty != value) { base.VirtualProperty = value; } } } } } Note that the getter in Child is calling the getter of Parent (or at least this is what I intend). I now use the "Child" class by instantiating it, assigning a value (let's say 4) to its VirtualProperty and then reading the property again. Child c = new Child(); c.VirtualProperty = 4; Console.Out.WriteLine("Child.VirtualProperty: " + c.VirtualProperty); When I run this, I obviously get an ApplicationException saying "Dummy Ex". But if I set a breakpoint on the line if(base.VirtualProperty > 0) in Child and check the value of base.VirtualProperty (by hovering the mouse over it) before the exception can be thrown (I assume(d)), I already get the Exception. From this I convey that the statement base.VirtualProperty in the "Child-Getter calls itself"; kind of. What I would like to achieve is the same behavior I get when I change the definition of parentVirutalInt (in Parent) to protected and use base.parentVirtualInt in the Getter of Child instead of base.VirtualProperty. And I don't yet see why this is not working. Can anybody shed some light on this? I feel that overridden properties behave differently than overridden methods? By the way: I am doing something very similar with subclassing a class I do not have any control over (this is the main reason why my "workaround" is not an option). Kind regards

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