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  • Boost::Spirit::Qi autorules -- avoiding repeated copying of AST data structures

    - by phooji
    I've been using Qi and Karma to do some processing on several small languages. Most of the grammars are pretty small (20-40 rules). I've been able to use autorules almost exclusively, so my parse trees consist entirely of variants, structs, and std::vectors. This setup works great for the common case: 1) parse something (Qi), 2) make minor manipulations to the parse tree (visitor), and 3) output something (Karma). However, I'm concerned about what will happen if I want to make complex structural changes to a syntax tree, like moving big subtrees around. Consider the following toy example: A grammar for s-expr-style logical expressions that uses autorules... // Inside grammar class; rule names match struct names... pexpr %= pand | por | var | bconst; pand %= lit("(and ") >> (pexpr % lit(" ")) >> ")"; por %= lit("(or ") >> (pexpr % lit(" ")) >> ")"; pnot %= lit("(not ") >> pexpr >> ")"; ... which leads to parse tree representation that looks like this... struct var { std::string name; }; struct bconst { bool val; }; struct pand; struct por; struct pnot; typedef boost::variant<bconst, var, boost::recursive_wrapper<pand>, boost::recursive_wrapper<por>, boost::recursive_wrapper<pnot> > pexpr; struct pand { std::vector<pexpr> operands; }; struct por { std::vector<pexpr> operands; }; struct pnot { pexpr victim; }; // Many Fusion Macros here Suppose I have a parse tree that looks something like this: pand / ... \ por por / \ / \ var var var var (The ellipsis means 'many more children of similar shape for pand.') Now, suppose that I want negate each of the por nodes, so that the end result is: pand / ... \ pnot pnot | | por por / \ / \ var var var var The direct approach would be, for each por subtree: - create pnot node (copies por in construction); - re-assign the appropriate vector slot in the pand node (copies pnot node and its por subtree). Alternatively, I could construct a separate vector, and then replace (swap) the pand vector wholesale, eliminating a second round of copying. All of this seems cumbersome compared to a pointer-based tree representation, which would allow for the pnot nodes to be inserted without any copying of existing nodes. My question: Is there a way to avoid copy-heavy tree manipulations with autorule-compliant data structures? Should I bite the bullet and just use non-autorules to build a pointer-based AST (e.g., http://boost-spirit.com/home/2010/03/11/s-expressions-and-variants/)?

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  • Intrinsics program (SSE) - g++ - help needed

    - by Sriram
    Hi all, This is the first time I am posting a question on stackoverflow, so please try and overlook any errors I may have made in formatting my question/code. But please do point the same out to me so I may be more careful. I was trying to write some simple intrinsics routines for the addition of two 128-bit (containing 4 float variables) numbers. I found some code on the net and was trying to get it to run on my system. The code is as follows: //this is a sample Intrinsics program to add two vectors. #include <iostream> #include <iomanip> #include <xmmintrin.h> #include <stdio.h> using namespace std; struct vector4 { float x, y, z, w; }; //functions to operate on them. vector4 set_vector(float x, float y, float z, float w = 0) { vector4 temp; temp.x = x; temp.y = y; temp.z = z; temp.w = w; return temp; } void print_vector(const vector4& v) { cout << " This is the contents of vector: " << endl; cout << " > vector.x = " << v.x << endl; cout << " vector.y = " << v.y << endl; cout << " vector.z = " << v.z << endl; cout << " vector.w = " << v.w << endl; } vector4 sse_vector4_add(const vector4&a, const vector4& b) { vector4 result; asm volatile ( "movl $a, %eax" //move operands into registers. "\n\tmovl $b, %ebx" "\n\tmovups (%eax), xmm0" //move register contents into SSE registers. "\n\tmovups (%ebx), xmm1" "\n\taddps xmm0, xmm1" //add the elements. addps operates on single-precision vectors. "\n\t movups xmm0, result" //move result into vector4 type data. ); return result; } int main() { vector4 a, b, result; a = set_vector(1.1, 2.1, 3.2, 4.5); b = set_vector(2.2, 4.2, 5.6); result = sse_vector4_add(a, b); print_vector(a); print_vector(b); print_vector(result); return 0; } The g++ parameters I use are: g++ -Wall -pedantic -g -march=i386 -msse intrinsics_SSE_example.C -o h The errors I get are as follows: intrinsics_SSE_example.C: Assembler messages: intrinsics_SSE_example.C:45: Error: too many memory references for movups intrinsics_SSE_example.C:46: Error: too many memory references for movups intrinsics_SSE_example.C:47: Error: too many memory references for addps intrinsics_SSE_example.C:48: Error: too many memory references for movups I have spent a lot of time on trying to debug these errors, googled them and so on. I am a complete noob to Intrinsics and so may have overlooked some important things. Any help is appreciated, Thanks, Sriram.

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  • What's the fastest lookup algorithm for a pair data structure (i.e, a map)?

    - by truncheon
    In the following example a std::map structure is filled with 26 values from A - Z (for key) and 0 – 26 for value. The time taken (on my system) to lookup the last entry (10000000 times) is roughly 250 ms for the vector, and 125 ms for the map. (I compiled using release mode, with O3 option turned on for g++ 4.4) But if for some odd reason I wanted better performance than the std::map, what data structures and functions would I need to consider using? I apologize if the answer seems obvious to you, but I haven't had much experience in the performance critical aspects of C++ programming. UPDATE: This example is rather trivial and hides the true complexity of what I'm trying to achieve. My real world project is a simple scripting language that uses a parser, data tree, and interpreter (instead of a VM stack system). I need to use some kind of data structure (perhaps map) to store the variables names created by script programmers. These are likely to be pretty randomly named, so I need a lookup method that can quickly find a particular key within a (probably) fairly large list of names. #include <ctime> #include <map> #include <vector> #include <iostream> struct mystruct { char key; int value; mystruct(char k = 0, int v = 0) : key(k), value(v) { } }; int find(const std::vector<mystruct>& ref, char key) { for (std::vector<mystruct>::const_iterator i = ref.begin(); i != ref.end(); ++i) if (i->key == key) return i->value; return -1; } int main() { std::map<char, int> mymap; std::vector<mystruct> myvec; for (int i = 'a'; i < 'a' + 26; ++i) { mymap[i] = i - 'a'; myvec.push_back(mystruct(i, i - 'a')); } int pre = clock(); for (int i = 0; i < 10000000; ++i) { find(myvec, 'z'); } std::cout << "linear scan: milli " << clock() - pre << "\n"; pre = clock(); for (int i = 0; i < 10000000; ++i) { mymap['z']; } std::cout << "map scan: milli " << clock() - pre << "\n"; return 0; }

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  • Why jquery have problem with onbeforeprint even?

    - by Cesar Lopez
    Hi all, I have the following function. $(function() { $(".sectionHeader:gt(0)").click(function() { $(this).next(".fieldset").slideToggle("fast"); }); $("img[alt='minimize']").click(function(e) { $(this).closest("table").next(".fieldset").slideUp("fast"); e.stopPropagation(); return false; }); $("img[alt='maximize']").click(function(e) { $(this).closest("table").next(".fieldset").slideDown("fast"); e.stopPropagation(); return false; }); }); <script type="text/javascript"> window.onbeforeprint = expandAll; function expandAll(){ $(".fieldset:gt(0)").slideDown("fast"); } </script> For this html <table class="sectionHeader" ><tr ><td>Heading 1</td></tr></table> <div style="display:none;" class="fieldset">Content 1</div> <table class="sectionHeader" ><tr ><td>Heading 2</td></tr></table> <div style="display:none;" class="fieldset">Content 2</div> I have several div class="fieldset" over the page, but when I do print preview or print, I can see all divs sliding down before opening the print preview or printing but on the actual print preview or print out they are all collapse. I would appreciate if anyone comes with a solution for this. Anyone have any idea why is this or how to fix it? Thanks. PS:Using a does not work either ( I assume because jquery using toggle) and its not the kind of question I am looking for.

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  • Common Table Expressions slow when using a table variable

    - by Phil Haselden
    I have been experimenting with the following (simplified) CTE. When using a table variable () the query runs for minutes before I cancel it. Any of the other commented out methods return in less than a second. If I replace the whole WHERE clause with an INNER JOIN it is fast as well. Any ideas why using a table variable would run so slowly? FWIW: The database contains 2.5 million records and the inner query returns 2 records. CREATE TABLE #rootTempTable (RootID int PRIMARY KEY) INSERT INTO #rootTempTable VALUES (1360); DECLARE @rootTableVar TABLE (RootID int PRIMARY KEY); INSERT INTO @rootTableVar VALUES (1360); WITH My_CTE AS ( SELECT ROW_NUMBER() OVER(ORDER BY d.DocumentID) rownum, d.DocumentID, d.Title FROM [Document] d WHERE d.LocationID IN ( SELECT LocationID FROM Location JOIN @rootTableVar rtv ON Location.RootID = rtv.RootID -- VERY SLOW! --JOIN #rootTempTable tt ON Location.RootID = tt.RootID -- Fast --JOIN (SELECT 1360 as RootID) AS rt ON Location.RootID = rt.RootID -- Fast --WHERE RootID = 1360 -- Fast ) ) SELECT * FROM My_CTE WHERE (rownum > 0) AND (rownum <= 100) ORDER BY rownum

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  • JQuery not Working in chrome?

    - by Pete Herbert Penito
    Hi everyone! I have some code here which works perfectly in firefox but not in chrome or IE, my javascript is thus ` $(document).ready(function() { $("#clientLoginPop").show(); $("#clientLoginPop").animate({"left": "-=400px"}, "fast"); }); $("#clientLoginCloseLink").click(function () { $("#clientLoginPop").animate({"left": "+=400px"}, "fast"); }); $("#contactUsPopLink").click(function () { $("#contactUsPop").show(); $("#contactUsPop").animate({"left": "-=437px"}, "fast"); }); $("#contactUsClose").click(function () { $("#contactUsPop").animate({"left": "+=474px"}, "fast"); }); }); ` and finally the css of the div looks like this, i think rather importantly it's aligned to the right of the browser: (the client login div looks similar just a different height) ` #contactUsPop { width:437px; right:-437px; margin-top:220px; position:fixed; height:217px; background-color:white; z-index:2; } ` so what happens in firefox is the div animates to the left and then when it closes it moves back to the right. when in chrome the div doesn't seem to pop up at all? the URL of the site is this: http://clearcreativegroup.com/devcorner/clear3/ the tabs are on the right hand side of the browser, any advice would help tons, thank you!

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  • How to migrate project from RCS to git? (SOLVED)

    - by Norman Ramsey
    I have a 20-year-old project that I would like to migrate from RCS to git, without losing the history. All web pages suggest that the One True Path is through CVS. But after an hour of Googling and trying different scripts, I have yet to find anything that successfully converts my RCS project tree to CVS. I'm hoping the good people at Stackoverflow will know what actually works, as opposed to what is claimed to work and doesn't. (I searched Stackoverflow using both the native SO search and a Google search, but if there's a helpful answer in the database, I missed it.) UPDATE: The rcs-fast-export tool at http://git.oblomov.eu/rcs-fast-export was repaired on 14 April 2009, and this version seems to work for me. This tool converts straight to git with no intermediate CVS. Thanks Giuseppe and Jakub!!! Things that did not work that I still remember: The rcs-to-cvs script that ships in the contrib directory of the CVS sources The rcs-fast-export tool at http://git.oblomov.eu/rcs-fast-export in versions before 13 April 2010 The rcs2cvs script found in a document called "CVS-RCS- HOW-TO Document for Linux"

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  • How do I repass a function pointer in C++

    - by fneep
    Firstly, I am very new to function pointers and their horrible syntax so play nice. I am writing a method to filter all pixels in my bitmap based on a function that I pass in. I have written the method to dereference it and call it in the pixel buffer but I also need a wrapper method in my bitmap class that takes the function pointer and passes it on. How do I do it? What is the syntax? I'm a little stumped. Here is my code with all the irrelevant bits stripped out and files combined (read all variables initialized filled etc.). struct sColour { unsigned char r, g, b, a; }; class cPixelBuffer { private: sColour* _pixels; int _width; int _height; int _buffersize; public: void FilterAll(sColour (*FilterFunc)(sColour)); }; void cPixelBuffer::FilterAll(sColour (*FilterFunc)(sColour)) { // fast fast fast hacky FAST for (int i = 0; i < _buffersize; i++) { _pixels[i] = (*FilterFunc)(_pixels[i]); } } class cBitmap { private: cPixelBuffer* _pixels; public: inline void cBitmap::Filter(sColour (*FilterFunc)(sColour)) { //HERE!! } };

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  • SOLVED: Lisp: macro calling a function works in interpreter, fails in compiler (SBCL + CMUCL)

    - by ttsiodras
    As suggested in a macro-related question I recently posted to SO, I coded a macro called "fast" via a call to a function (here is the standalone code in pastebin): (defun main () (progn (format t "~A~%" (+ 1 2 (* 3 4) (+ 5 (- 8 6)))) (format t "~A~%" (fast (+ 1 2 (* 3 4) (+ 5 (- 8 6))))))) This works in the REPL, under both SBCL and CMUCL: $ sbcl This is SBCL 1.0.52, an implementation of ANSI Common Lisp. ... * (load "bug.cl") 22 22 $ Unfortunately, however, the code no longer compiles: $ sbcl This is SBCL 1.0.52, an implementation of ANSI Common Lisp. ... * (compile-file "bug.cl") ... ; during macroexpansion of (FAST (+ 1 2 ...)). Use *BREAK-ON-SIGNALS* to ; intercept: ; ; The function COMMON-LISP-USER::CLONE is undefined. So it seems that by having my macro "fast" call functions ("clone","operation-p") at compile-time, I trigger issues in Lisp compilers (verified in both CMUCL and SBCL). Any ideas on what I am doing wrong and/or how to fix this?

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  • jQuery sliding animation not working

    - by Jake Zeitz
    I have three divs stacked on each other but offset so that a part of each div is visible. When one of the bottom divs is clicked I want the top div to animate out and back into the stack at the bottom, then the div that is clicked will appear at the top. So far I only have the code for when the middle div is clicked, but I cannot get it to work properly. What am I doing wrong? (I also realize that the code I wrote is probably terrible, this is the first jQuery code I have written.) The css is very very simple: .first { z-index: 3; } .second { z-index: 2; } .third { z-index: 1; } The basic html is this: <div class="first"></div> <div class="second"></div> <div class="third"></div> Here is my code: $("div.second").click(function () { $("div.first").animate({ left: "-=200px"}, {duration: "fast", complete: function () { $("div.first").removeClass("first").addClass("third").animate({left: "+=350px", top: "+=60px"}, "fast"); } }); $("div.second").animate({ left: "-=24px", top: "-=30px"}, {duration: "fast", complete: function () { $("div.second").removeClass("second").addClass("first"); } }); $("div.third").animate({ left: "-=24px", top: "-=30px"}, {duration: "fast", complete: function () { $("div.third").removeClass("third").addClass("second"); } }); }); I can get the div.first to move to the side and back. But now I can't get the classes to stay changed. What keeps happening is the div.second will remove it's class and add .first in the animation, but when the animation is complete, it acts like it still has a class of .second.

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  • jQuery panels - close one when opening another

    - by justme
    I have two slide panel in the same page. Need that, when one is open and the and user clicks on the other one, that makes, at the same time, close the first one when opening the second. Now they are overlapping... Can you help me, please? thanks This is what i have on the page: I have two slide panel in the same page. Need that, when one is open and the and user clicks on the other one, that makes, at the same time, close the first one when opening the second. Now they are overlapping... Can you help me, please? thanks This is what i have on the page <script type="text/javascript" src="jquery.js"></script> <script type="text/javascript"> $(document).ready(function(){ $(".btn-slide").click(function(){ $("#panel").slideToggle('fast'); $("#panel2").slideToggle("fast"); $(this).toggleClass("active"); }); }); $(document).ready(function(){ $(".btn-slide2").click(function(){ $("#panel2").slideUp('fast'); $("#panel").slideToggle("fast"); $(this).toggleClass("active"); }); </script>

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  • Why jquery have problem with onbeforeprint event?

    - by Cesar Lopez
    Hi all, I have the following function. $(function() { $(".sectionHeader:gt(0)").click(function() { $(this).next(".fieldset").slideToggle("fast"); }); $("img[alt='minimize']").click(function(e) { $(this).closest("table").next(".fieldset").slideUp("fast"); e.stopPropagation(); return false; }); $("img[alt='maximize']").click(function(e) { $(this).closest("table").next(".fieldset").slideDown("fast"); e.stopPropagation(); return false; }); }); <script type="text/javascript"> window.onbeforeprint = expandAll; function expandAll(){ $(".fieldset:gt(0)").slideDown("fast"); } </script> For this html <table class="sectionHeader" ><tr ><td>Heading 1</td></tr></table> <div style="display:none;" class="fieldset">Content 1</div> <table class="sectionHeader" ><tr ><td>Heading 2</td></tr></table> <div style="display:none;" class="fieldset">Content 2</div> I have several div class="fieldset" over the page, but when I do print preview or print, I can see all divs sliding down before opening the print preview or printing but on the actual print preview or print out they are all collapse. I would appreciate if anyone comes with a solution for this. Anyone have any idea why is this or how to fix it? Thanks. PS:Using a does not work either ( I assume because jquery using toggle) and its not the kind of question I am looking for.

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  • How to search Multiple Sites using Lucene Search engine API?

    - by Wael Salman
    Hope that someone can help me as soon as possible :-) I would like to know how can we search Multiple Sites using Lucene??! (All sites are in one index). I have succeeded to search one website , and to index multiple sites, however I am not able to search all websites. Consider this method that I have: private void PerformSearch() { DateTime start = DateTime.Now; //Create the Searcher object string strIndexDir = Server.MapPath("index") + @"\" + mstrURL; IndexSearcher objSearcher = new IndexSearcher(strIndexDir); //Parse the query, "text" is the default field to search Query objQuery = QueryParser.Parse(mstrQuery, "text", new StandardAnalyzer()); //Create the result DataTable mobjDTResults.Columns.Add("title", typeof(string)); mobjDTResults.Columns.Add("path", typeof(string)); mobjDTResults.Columns.Add("score", typeof(string)); mobjDTResults.Columns.Add("sample", typeof(string)); mobjDTResults.Columns.Add("explain", typeof(string)); //Perform search and get hit count Hits objHits = objSearcher.Search(objQuery); mintTotal = objHits.Length(); //Create Highlighter QueryHighlightExtractor highlighter = new QueryHighlightExtractor(objQuery, new StandardAnalyzer(), "<B>", "</B>"); //Initialize "Start At" variable mintStartAt = GetStartAt(); //How many items we should show? int intResultsCt = GetSmallerOf(mintTotal, mintMaxResults + mintStartAt); //Loop through results and display for (int intCt = mintStartAt; intCt < intResultsCt; intCt++) { //Get the document from resuls index Document doc = objHits.Doc(intCt); //Get the document's ID and set the cache location string strID = doc.Get("id"); string strLocation = ""; if (mstrURL.Substring(0,3) == "www") strLocation = Server.MapPath("cache") + @"\" + mstrURL + @"\" + strID + ".htm"; else strLocation = doc.Get("path") + doc.Get("filename"); //Load the HTML page from cache string strPlainText; using (StreamReader sr = new StreamReader(strLocation, System.Text.Encoding.Default)) { strPlainText = ParseHTML(sr.ReadToEnd()); } //Add result to results datagrid DataRow row = mobjDTResults.NewRow(); if (mstrURL.Substring(0,3) == "www") row["title"] = doc.Get("title"); else row["title"] = doc.Get("filename"); row["path"] = doc.Get("path"); row["score"] = String.Format("{0:f}", (objHits.Score(intCt) * 100)) + "%"; row["sample"] = highlighter.GetBestFragments(strPlainText, 200, 2, "..."); Explanation objExplain = objSearcher.Explain(objQuery, intCt); row["explain"] = objExplain.ToHtml(); mobjDTResults.Rows.Add(row); } objSearcher.Close(); //Finalize results information mTsDuration = DateTime.Now - start; mintFromItem = mintStartAt + 1; mintToItem = GetSmallerOf(mintStartAt + mintMaxResults, mintTotal); } as you can see that I use the site URL 'mstrURL' when I create the search object string strIndexDir = Server.MapPath("index") + @"\" + mstrURL; How can I do the same when I want to search multiple sites?? Actually I am using the code from http://www.keylimetie.com/blog/2005/8/4/lucenenet/

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  • Is Berkeley DB a NoSQL solution?

    - by Gregory Burd
    Berkeley DB is a library. To use it to store data you must link the library into your application. You can use most programming languages to access the API, the calls across these APIs generally mimic the Berkeley DB C-API which makes perfect sense because Berkeley DB is written in C. The inspiration for Berkeley DB was the DBM library, a part of the earliest versions of UNIX written by AT&T's Ken Thompson in 1979. DBM was a simple key/value hashtable-based storage library. In the early 1990s as BSD UNIX was transitioning from version 4.3 to 4.4 and retrofitting commercial code owned by AT&T with unencumbered code, it was the future founders of Sleepycat Software who wrote libdb (aka Berkeley DB) as the replacement for DBM. The problem it addressed was fast, reliable local key/value storage. At that time databases almost always lived on a single node, even the most sophisticated databases only had simple fail-over two node solutions. If you had a lot of data to store you would choose between the few commercial RDBMS solutions or to write your own custom solution. Berkeley DB took the headache out of the custom approach. These basic market forces inspired other DBM implementations. There was the "New DBM" (ndbm) and the "GNU DBM" (GDBM) and a few others, but the theme was the same. Even today TokyoCabinet calls itself "a modern implementation of DBM" mimicking, and improving on, something first created over thirty years ago. In the mid-1990s, DBM was the name for what you needed if you were looking for fast, reliable local storage. Fast forward to today. What's changed? Systems are connected over fast, very reliable networks. Disks are cheep, fast, and capable of storing huge amounts of data. CPUs continued to follow Moore's Law, processing power that filled a room in 1990 now fits in your pocket. PCs, servers, and other computers proliferated both in business and the personal markets. In addition to the new hardware entire markets, social systems, and new modes of interpersonal communication moved onto the web and started evolving rapidly. These changes cause a massive explosion of data and a need to analyze and understand that data. Taken together this resulted in an entirely different landscape for database storage, new solutions were needed. A number of novel solutions stepped up and eventually a category called NoSQL emerged. The new market forces inspired the CAP theorem and the heated debate of BASE vs. ACID. But in essence this was simply the market looking at what to trade off to meet these new demands. These new database systems shared many qualities in common. There were designed to address massive amounts of data, millions of requests per second, and scale out across multiple systems. The first large-scale and successful solution was Dynamo, Amazon's distributed key/value database. Dynamo essentially took the next logical step and added a twist. Dynamo was to be the database of record, it would be distributed, data would be partitioned across many nodes, and it would tolerate failure by avoiding single points of failure. Amazon did this because they recognized that the majority of the dynamic content they provided to customers visiting their web store front didn't require the services of an RDBMS. The queries were simple, key/value look-ups or simple range queries with only a few queries that required more complex joins. They set about to use relational technology only in places where it was the best solution for the task, places like accounting and order fulfillment, but not in the myriad of other situations. The success of Dynamo, and it's design, inspired the next generation of Non-SQL, distributed database solutions including Cassandra, Riak and Voldemort. The problem their designers set out to solve was, "reliability at massive scale" so the first focal point was distributed database algorithms. Underneath Dynamo there is a local transactional database; either Berkeley DB, Berkeley DB Java Edition, MySQL or an in-memory key/value data structure. Dynamo was an evolution of local key/value storage onto networks. Cassandra, Riak, and Voldemort all faced similar design decisions and one, Voldemort, choose Berkeley DB Java Edition for it's node-local storage. Riak at first was entirely in-memory, but has recently added write-once, append-only log-based on-disk storage similar type of storage as Berkeley DB except that it is based on a hash table which must reside entirely in-memory rather than a btree which can live in-memory or on disk. Berkeley DB evolved too, we added high availability (HA) and a replication manager that makes it easy to setup replica groups. Berkeley DB's replication doesn't partitioned the data, every node keeps an entire copy of the database. For consistency, there is a single node where writes are committed first - a master - then those changes are delivered to the replica nodes as log records. Applications can choose to wait until all nodes are consistent, or fire and forget allowing Berkeley DB to eventually become consistent. Berkeley DB's HA scales-out quite well for read-intensive applications and also effectively eliminates the central point of failure by allowing replica nodes to be elected (using a PAXOS algorithm) to mastership if the master should fail. This implementation covers a wide variety of use cases. MemcacheDB is a server that implements the Memcache network protocol but uses Berkeley DB for storage and HA to replicate the cache state across all the nodes in the cache group. Google Accounts, the user authentication layer for all Google properties, was until recently running Berkeley DB HA. That scaled to a globally distributed system. That said, most NoSQL solutions try to partition (shard) data across nodes in the replication group and some allow writes as well as reads at any node, Berkeley DB HA does not. So, is Berkeley DB a "NoSQL" solution? Not really, but it certainly is a component of many of the existing NoSQL solutions out there. Forgetting all the noise about how NoSQL solutions are complex distributed databases when you boil them down to a single node you still have to store the data to some form of stable local storage. DBMs solved that problem a long time ago. NoSQL has more to do with the layers on top of the DBM; the distributed, sometimes-consistent, partitioned, scale-out storage that manage key/value or document sets and generally have some form of simple HTTP/REST-style network API. Does Berkeley DB do that? Not really. Is Berkeley DB a "NoSQL" solution today? Nope, but it's the most robust solution on which to build such a system. Re-inventing the node-local data storage isn't easy. A lot of people are starting to come to appreciate the sophisticated features found in Berkeley DB, even mimic them in some cases. Could Berkeley DB grow into a NoSQL solution? Absolutely. Our key/value API could be extended over the net using any of a number of existing network protocols such as memcache or HTTP/REST. We could adapt our node-local data partitioning out over replicated nodes. We even have a nice query language and cost-based query optimizer in our BDB XML product that we could reuse were we to build out a document-based NoSQL-style product. XML and JSON are not so different that we couldn't adapt one to work with the other interchangeably. Without too much effort we could add what's missing, we could jump into this No SQL market withing a single product development cycle. Why isn't Berkeley DB already a NoSQL solution? Why aren't we working on it? Why indeed...

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  • The Great Divorce

    - by BlackRabbitCoder
    I have a confession to make: I've been in an abusive relationship for more than 17 years now.  Yes, I am not ashamed to admit it, but I'm finally doing something about it. I met her in college, she was new and sexy and amazingly fast -- and I'd never met anything like her before.  Her style and her power captivated me and I couldn't wait to learn more about her.  I took a chance on her, and though I learned a lot from her -- and will always be grateful for my time with her -- I think it's time to move on. Her name was C++, and she so outshone my previous love, C, that any thoughts of going back evaporated in the heat of this new romance.  She promised me she'd be gentle and not hurt me the way C did.  She promised me she'd clean-up after herself better than C did.  She promised me she'd be less enigmatic and easier to keep happy than C was.  But I was deceived.  Oh sure, as far as truth goes, it wasn't a complete lie.  To some extent she was more fun, more powerful, safer, and easier to maintain.  But it just wasn't good enough -- or at least it's not good enough now. I loved C++, some part of me still does, it's my first-love of programming languages and I recognize its raw power, its blazing speed, and its improvements over its predecessor.  But with today's hardware, at speeds we could only dream to conceive of twenty years ago, that need for speed -- at the cost of all else -- has died, and that has left my feelings for C++ moribund. If I ever need to write an operating system or a device driver, then I might need that speed.  But 99% of the time I don't.  I'm a business-type programmer and chances are 90% of you are too, and even the ones who need speed at all costs may be surprised by how much you sacrifice for that.   That's not to say that I don't want my software to perform, and it's not to say that in the business world we don't care about speed or that our job is somehow less difficult or technical.  There's many times we write programs to handle millions of real-time updates or handle thousands of financial transactions or tracking trading algorithms where every second counts.  But if I choose to write my code in C++ purely for speed chances are I'll never notice the speed increase -- and equally true chances are it will be far more prone to crash and far less easy to maintain.  Nearly without fail, it's the macro-optimizations you need, not the micro-optimizations.  If I choose to write a O(n2) algorithm when I could have used a O(n) algorithm -- that can kill me.  If I choose to go to the database to load a piece of unchanging data every time instead of caching it on first load -- that too can kill me.  And if I cross the network multiple times for pieces of data instead of getting it all at once -- yes that can also kill me.  But choosing an overly powerful and dangerous mid-level language to squeeze out every last drop of performance will realistically not make stock orders process any faster, and more likely than not open up the system to more risk of crashes and resource leaks. And that's when my love for C++ began to die.  When I noticed that I didn't need that speed anymore.  That that speed was really kind of a lie.  Sure, I can be super efficient and pack bits in a byte instead of using separate boolean values.  Sure, I can use an unsigned char instead of an int.  But in the grand scheme of things it doesn't matter as much as you think it does.  The key is maintainability, and that's where C++ failed me.  I like to tell the other developers I work with that there's two levels of correctness in coding: Is it immediately correct? Will it stay correct? That is, you can hack together any piece of code and make it correct to satisfy a task at hand, but if a new developer can't come in tomorrow and make a fairly significant change to it without jeopardizing that correctness, it won't stay correct. Some people laugh at me when I say I now prefer maintainability over speed.  But that is exactly the point.  If you focus solely on speed you tend to produce code that is much harder to maintain over the long hall, and that's a load of technical debt most shops can't afford to carry and end up completely scrapping code before it's time.  When good code is written well for maintainability, though, it can be correct both now and in the future. And you know the best part is?  My new love is nearly as fast as C++, and in some cases even faster -- and better than that, I know C# will treat me right.  Her creators have poured hundreds of thousands of hours of time into making her the sexy beast she is today.  They made her easy to understand and not an enigmatic mess.  They made her consistent and not moody and amorphous.  And they made her perform as fast as I care to go by optimizing her both at compile time and a run-time. Her code is so elegant and easy on the eyes that I'm not worried where she will run to or what she'll pull behind my back.  She is powerful enough to handle all my tasks, fast enough to execute them with blazing speed, maintainable enough so that I can rely on even fairly new peers to modify my work, and rich enough to allow me to satisfy any need.  C# doesn't ask me to clean up her messes!  She cleans up after herself and she tries to make my life easier for me by taking on most of those optimization tasks C++ asked me to take upon myself.  Now, there are many of you who would say that I am the cause of my own grief, that it was my fault C++ didn't behave because I didn't pay enough attention to her.  That I alone caused the pain she inflicted on me.  And to some extent, you have a point.  But she was so high maintenance, requiring me to know every twist and turn of her vast and unrestrained power that any wrong term or bout of forgetfulness was met with painful reminders that she wasn't going to watch my back when I made a mistake.  But C#, she loves me when I'm good, and she loves me when I'm bad, and together we make beautiful code that is both fast and safe. So that's why I'm leaving C++ behind.  She says she's changing for me, but I have no interest in what C++0x may bring.  Oh, I'll still keep in touch, and maybe I'll see her now and again when she brings her problems to my door and asks for some attention -- for I always have a soft spot for her, you see.  But she's out of my house now.  I have three kids and a dog and a cat, and all require me to clean up after them, why should I have to clean up after my programming language as well?

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  • Oracle OpenWorld 2013 – Wrap up by Sven Bernhardt

    - by JuergenKress
    OOW 2013 is over and we’re heading home, so it is time to lean back and reflecting about the impressions we have from the conference. First of all: OOW was great! It was a pleasure to be a part of it. As already mentioned in our last blog article: It was the biggest OOW ever. Parallel to the conference the America’s Cup took place in San Francisco and the Oracle Team America won. Amazing job by the team and again congratulations from our side Back to the conference. The main topics for us are: Oracle SOA / BPM Suite 12c Adaptive Case management (ACM) Big Data Fast Data Cloud Mobile Below we will go a little more into detail, what are the key takeaways regarding the mentioned points: Oracle SOA / BPM Suite 12c During the five days at OOW, first details of the upcoming major release of Oracle SOA Suite 12c and Oracle BPM Suite 12c have been introduced. Some new key features are: Managed File Transfer (MFT) for transferring big files from a source to a target location Enhanced REST support by introducing a new REST binding Introduction of a generic cloud adapter, which can be used to connect to different cloud providers, like Salesforce Enhanced analytics with BAM, which has been totally reengineered (BAM Console now also runs in Firefox!) Introduction of templates (OSB pipelines, component templates, BPEL activities templates) EM as a single monitoring console OSB design-time integration into JDeveloper (Really great!) Enterprise modeling capabilities in BPM Composer These are only a few points from what is coming with 12c. We are really looking forward for the new realese to come out, because this seems to be really great stuff. The suite becomes more and more integrated. From 10g to 11g it was an evolution in terms of developing SOA-based applications. With 12c, Oracle continues it’s way – very impressive. Adaptive Case Management Another fantastic topic was Adaptive Case Management (ACM). The Oracle PMs did a great job especially at the demo grounds in showing the upcoming Case Management UI (will be available in 11g with the next BPM Suite MLR Patch), the roadmap and the differences between traditional business process modeling. They have been very busy during the conference because a lot of partners and customers have been interested Big Data Big Data is one of the current hype themes. Because of huge data amounts from different internal or external sources, the handling of these data becomes more and more challenging. Companies have a need for analyzing the data to optimize their business. The challenge is here: the amount of data is growing daily! To store and analyze the data efficiently, it is necessary to have a scalable and flexible infrastructure. Here it is important that hardware and software are engineered to work together. Therefore several new features of the Oracle Database 12c, like the new in-memory option, have been presented by Larry Ellison himself. From a hardware side new server machines like Fujitsu M10 or new processors, such as Oracle’s new M6-32 have been announced. The performance improvements, when using one of these hardware components in connection with the improved software solutions were really impressive. For more details about this, please take look at our previous blog post. Regarding Big Data, Oracle also introduced their Big Data architecture, which consists of: Oracle Big Data Appliance that is preconfigured with Hadoop Oracle Exdata which stores a huge amount of data efficently, to achieve optimal query performance Oracle Exalytics as a fast and scalable Business analytics system Analysis of the stored data can be performed using SQL, by streaming the data directly from Hadoop to an Oracle Database 12c. Alternatively the analysis can be directly implemented in Hadoop using “R”. In addition Oracle BI Tools can be used to analyze the data. Fast Data Fast Data is a complementary approach to Big Data. A huge amount of mostly unstructured data comes in via different channels with a high frequency. The analysis of these data streams is also important for companies, because the incoming data has to be analyzed regarding business-relevant patterns in real-time. Therefore these patterns must be identified efficiently and performant. To do so, in-memory grid solutions in combination with Oracle Coherence and Oracle Event Processing demonstrated very impressive how efficient real-time data processing can be. One example for Fast Data solutions that was shown during the OOW was the analysis of twitter streams regarding customer satisfaction. The feeds with negative words like “bad” or “worse” have been filtered and after a defined treshold has been reached in a certain timeframe, a business event was triggered. Cloud Another key trend in the IT market is of course Cloud Computing and what it means for companies and their businesses. Oracle announced their Cloud strategy and vision – companies can focus on their real business while all of the applications are available via Cloud. This also includes Oracle Database or Oracle Weblogic, so that companies can also build, deploy and run their own applications within the cloud. Three different approaches have been introduced: Infrastructure as a Service (IaaS) Platform as a Service (PaaS) Software as a Service (SaaS) Using the IaaS approach only the infrastructure components will be managed in the Cloud. Customers will be very flexible regarding memory, storage or number of CPUs because those parameters can be adjusted elastically. The PaaS approach means that besides the infrastructure also the platforms (such as databases or application servers) necessary for running applications will be provided within the Cloud. Here customers can also decide, if installation and management of these infrastructure components should be done by Oracle. The SaaS approach describes the most complete one, hence all applications a company uses are managed in the Cloud. Oracle is planning to provide all of their applications, like ERP systems or HR applications, as Cloud services. In conclusion this seems to be a very forward-thinking strategy, which opens up new possibilities for customers to manage their infrastructure and applications in a flexible, scalable and future-oriented manner. As you can see, our OOW days have been very very interresting. We collected many helpful informations for our projects. The new innovations presented at the confernce are great and being part of this was even greater! We are looking forward to next years’ conference! Links: http://www.oracle.com/openworld/index.html http://thecattlecrew.wordpress.com/2013/09/23/first-impressions-from-oracle-open-world-2013 SOA & BPM Partner Community For regular information on Oracle SOA Suite become a member in the SOA & BPM Partner Community for registration please visit www.oracle.com/goto/emea/soa (OPN account required) If you need support with your account please contact the Oracle Partner Business Center. Blog Twitter LinkedIn Facebook Wiki Mix Forum Technorati Tags: cattleCrew,Sven Bernhard,OOW2013,SOA Community,Oracle SOA,Oracle BPM,Community,OPN,Jürgen Kress

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  • Help modify a javascript code to perform a div scroll

    - by Jamex
    Hi, The code below uses javascript to smoothly scroll content in a div. I don't need the smooth scrolling action, and only need the onclick action for the buttons. I would like to use this code so that if a scroll up/down button is pressed, the scroll would instantaneously jump up/down to a position, just like if you were to press the reset button (see demo link). If the down button is pressed, it would jump down the position of the content div (say 300px) and show the text instantaneously without showing how the scrolling text. I am not familiar with JS, so it you know a shorter way, please suggest. TIA the demo link is HERE The code is > this.easyscroll = function(){ // id of the container element var > id = "myContent"; // navigation > buttons text var nav = ["Scroll Up", > "Scroll Down", "Reset"]; // id for > each navigation button (OPTIONAL) var > navId = ["btnUp", "btnDown", > "btnReset"]; > > // movement speed var speed = 5; > // desired height of the container > element (in pixels) var height = 200; > // // END CONFIG // do not edit > below this line (unless you want to of > course :) ) // > > var obj = > document.getElementById(id); obj.up > = false; obj.down = false; obj.fast = false; > > var container = > document.createElement("div"); var > parent = obj.parentNode; > container.id="easyscroll"; > parent.insertBefore(container,obj); > parent.removeChild(obj); > container.style.position = > "relative"; container.style.height = > height + "px"; > container.style.overflow = "hidden"; > obj.style.position = "absolute"; > obj.style.top = "0"; obj.style.left > = "0"; container.appendChild(obj); var btns = new Array(); var ul = > document.createElement("ul"); > ul.id="easyscrollnav"; for (var > i=0;i<nav.length;i++){ var li = > document.createElement("li"); > li.innerHTML = nav[i]; li.id = > navId[i]; btns.push(li); > ul.appendChild(li); }; > parent.insertBefore(ul,container); > btns[0].onmouseover = function(){ > obj.up = true; this.className = > "over"; }; btns[0].onmouseout = > function(){ obj.up = false; > this.className = ""; }; > btns[1].onmouseover = function(){ > obj.down = true; this.className = > "over"; }; btns[1].onmouseout = > function(){ obj.down = false; > this.className = ""; }; > btns[0].onmousedown = > btns[1].onmousedown = function(){ > obj.fast = true; }; > btns[0].onmouseup = btns[1].onmouseup > = function(){ obj.fast = false; }; btns[2].onmouseover = > function(){ this.className = > "over"; }; btns[2].onmouseout = > function(){ this.className = ""; > }; btns[2].onclick = function(){ > obj.style.top = "0px"; }; > this.start = function(){ var newTop; var objHeight = > obj.offsetHeight; var top = > obj.offsetTop; var fast = (obj.fast) > ? 2 : 1; if(obj.down){ newTop > = ((objHeight+top) > height) ? top-(speed*fast) : top; > obj.style.top = newTop + "px"; > }; if(obj.up){ newTop = > (top < 0) ? top+(speed*fast) : top; > obj.style.top = newTop + "px"; }; > }; obj.interval = > setInterval("start()",50); }; > > > this.addEvent = function(obj,type,fn){ > if(obj.attachEvent){ > obj['e'+type+fn] = fn; > obj[type+fn] = > function(){obj['e'+type+fn](window.event > );} obj.attachEvent('on'+type, > obj[type+fn]); } else { > obj.addEventListener(type,fn,false); > }; }; > addEvent(window,"load",easyscroll);

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  • Terminal Server 2008: Remote App Issue

    - by JohnyD
    I have a FoxPro 2.6 (16-bit) application that I've installed on a Win2008 (32-bit) Terminal Server. I then created a Remote App from it. It works fine. The problem is that within this FoxPro application it calls out to a .Net application. I have the proper .Net Framework installed on the server (2.0) and I have run the code access security policy tool (caspol.exe). However, when I launch the .Net app from within the FoxPro application I get the following error: Description: Stopped working Problem signature: Problem Event Name: CLR20r3 Problem Signature 01: vector.exe Problem Signature 02: 1.0.0.3 Problem Signature 03: 48b579f2 Problem Signature 04: vector Problem Signature 05: 1.0.0.3 Problem Signature 06: 48b579f2 Problem Signature 07: f Problem Signature 08: 57 Problem Signature 09: System.Security.Security OS Version: 6.0.6001.2.1.0.18.10 Locale ID: 1033 Vector.exe is our .Net application. In fact, it's an in-between application that checks to ensure you have the latest version. When it's done it calls out to another .Net executable. Does anyone believe this should be a problem? Thanks in advance.

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  • Java constructor using generic types

    - by user37903
    I'm having a hard time wrapping my head around Java generic types. Here's a simple piece of code that in my mind should work, but I'm obviously doing something wrong. Eclipse reports this error in BreweryList.java: The method initBreweryFromObject() is undefined for the type <T> The idea is to fill a Vector with instances of objects that are a subclass of the Brewery class, so the invocation would be something like: BreweryList breweryList = new BreweryList(BrewerySubClass.class, list); BreweryList.java package com.beerme.test; import java.util.Vector; public class BreweryList<T extends Brewery> extends Vector<T> { public BreweryList(Class<T> c, Object[] j) { super(); for (int i = 0; i < j.length; i++) { T item = c.newInstance(); // initBreweryFromObject() is an instance method // of Brewery, of which <T> is a subclass (right?) c.initBreweryFromObject(); // "The method initBreweryFromObject() is undefined // for the type <T>" } } } Brewery.java package com.beerme.test; public class Brewery { public Brewery() { super(); } protected void breweryMethod() { } } BrewerySubClass.java package com.beerme.test; public class BrewerySubClass extends Brewery { public BrewerySubClass() { super(); } public void androidMethod() { } } I'm sure this is a complete-generics-noob question, but I'm stuck. Thanks for any tips!

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  • TI MSP430 Interrupt source

    - by TheDelChop
    Guys, I know that when working with the MSP430F2619 and TI's CCSv4, I can get more than one interrupt to use the same interrupt handler with code that looks something like this: #pragma vector=TIMERA1_VECTOR #pragma vector=TIMERA0_VECTOR __interrupt void Timer_A (void){ ServiceWatchdogTimer(); } My question is, when I find myself in that interrupt, is there a way to figure out which one of these interrupts got me here? Thank you, Joe

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  • The Skyline Problem.

    - by zeroDivisible
    I just came across this little problem on UVA's Online Judge and thought, that it may be a good candidate for a little code-golf. The problem: You are to design a program to assist an architect in drawing the skyline of a city given the locations of the buildings in the city. To make the problem tractable, all buildings are rectangular in shape and they share a common bottom (the city they are built in is very flat). The city is also viewed as two-dimensional. A building is specified by an ordered triple (Li, Hi, Ri) where Li and Ri are left and right coordinates, respectively, of building i and Hi is the height of the building. In the diagram below buildings are shown on the left with triples (1,11,5), (2,6,7), (3,13,9), (12,7,16), (14,3,25), (19,18,22), (23,13,29), (24,4,28) and the skyline, shown on the right, is represented by the sequence: 1, 11, 3, 13, 9, 0, 12, 7, 16, 3, 19, 18, 22, 3, 23, 13, 29, 0 The output should consist of the vector that describes the skyline as shown in the example above. In the skyline vector (v1, v2, v3, ... vn) , the vi such that i is an even number represent a horizontal line (height). The vi such that i is an odd number represent a vertical line (x-coordinate). The skyline vector should represent the "path" taken, for example, by a bug starting at the minimum x-coordinate and traveling horizontally and vertically over all the lines that define the skyline. Thus the last entry in the skyline vector will be a 0. The coordinates must be separated by a blank space. If I will not count declaration of provided (test) buildings and including all spaces and tab characters, my solution, in Python, is 223 characters long. Here is the condensed version: B=[[1,11,5],[2,6,7],[3,13,9],[12,7,16],[14,3,25],[19,18,22],[23,13,29],[24,4,28]] # Solution. R=range v=[0 for e in R(max([y[2] for y in B])+1)] for b in B: for x in R(b[0], b[2]): if b[1]>v[x]: v[x]=b[1] p=1 k=0 for x in R(len(v)): V=v[x] if p and V==0: continue elif V!=k: p=0 print "%s %s" % (str(x), str(V)), k=V I think that I didn't made any mistake but if so - feel free to criticize me. EDIT I don't have much reputation, so I will pay only 100 for a bounty - I am curious, if anyone could try to solve this in less than .. lets say, 80 characters. Solution posted by cobbal is 101 characters long and currently it is the best one. ANOTHER EDIT I thought, that 80 characters is a sick limit for this kind of problem. cobbal, with his 46 character solution totaly amazed me - though I must admit, that I spent some time reading his explanation before I partially understood what he had written.

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  • program not working as expected!

    - by wilson88
    Can anyone just help spot why my program is not returning the expected output.related to my previous question.Am passing a vector by refrence, I want to see whats in the container before I copy them to another loaction.if u remove comments on loadRage, u will see bids are generated by the trader. #include <iostream> #include <vector> #include <string> #include <algorithm> #include <cstdlib> #include <iomanip> using namespace std; const int NUMSELLER = 1; const int NUMBUYER = 1; const int NUMBIDS = 20; const int MINQUANTITY = 1; const int MAXQUANTITY = 30; const int MINPRICE =100; const int MAXPRICE = 150; int s=0; int trdId; // Bid, simple container for values struct Bid { int bidId, trdId, qty, price; char type; // for sort and find. bool operator<(const Bid &other) const { return price < other.price; } bool operator==(int bidId) const { return this->bidId == bidId; } }; // alias to the list, make type consistent typedef vector<Bid> BidList; // this class generates bids! class Trader { private: int nextBidId; public: Trader(); Bid getNextBid(); Bid getNextBid(char type); // generate a number of bids void loadRange(BidList &, int size); void loadRange(BidList &, char type, int size); void setVector(); }; Trader::Trader() : nextBidId(1) {} #define RAND_RANGE(min, max) ((rand() % (max-min+1)) + min) Bid Trader::getNextBid() { char type = RAND_RANGE('A','B'); return getNextBid(type); } Bid Trader::getNextBid(char type) { for(int i = 0; i < NUMSELLER+NUMBUYER; i++) { // int trdId = RAND_RANGE(1,9); if (s<10){trdId=0;type='A';} else {trdId=1;type='B';} s++; int qty = RAND_RANGE(MINQUANTITY, MAXQUANTITY); int price = RAND_RANGE(MINPRICE, MAXPRICE); Bid bid = {nextBidId++, trdId, qty, price, type}; return bid; } } //void Trader::loadRange(BidList &list, int size) { // for (int i=0; i<size; i++) { list.push_back(getNextBid()); } //} // //void Trader::loadRange(BidList &list, char type, int size) { // for (int i=0; i<size; i++) { list.push_back(getNextBid(type)); } //} //---------------------------AUCTIONEER------------------------------------------- class Auctioneer { vector<Auctioneer> List; Trader trader; vector<Bid> list; public: Auctioneer(){}; void accept_bids(const BidList& bid); }; typedef vector<Auctioneer*> bidlist; void Auctioneer::accept_bids(const BidList& bid){ BidList list; //copy (BidList.begin(),BidList.end(),list); } //all the happy display commands void show(const Bid &bid) { cout << "\tBid\t(" << setw(3) << bid.bidId << "\t " << setw(3) << bid.trdId << "\t " << setw(3) << bid.type <<"\t " << setw(3) << bid.qty <<"\t " << setw(3) << bid.price <<")\t\n " ; } void show(const BidList &list) { cout << "\t\tBidID | TradID | Type | Qty | Price \n\n"; for(BidList::const_iterator itr=list.begin(); itr != list.end(); ++itr) { //cout <<"\t\t"; show(*itr); cout << endl; } cout << endl; } //search now checks for failure void show(const char *msg, const BidList &list) { cout << msg << endl; show(list); } void searchTest(BidList &list, int bidId) { cout << "Searching for Bid " << bidId << endl; BidList::const_iterator itr = find(list.begin(), list.end(), bidId); if (itr==list.end()) { cout << "Bid not found."; } else { cout << "Bid has been found. Its : "; show(*itr); } cout << endl; } //comparator function for price: returns true when x belongs before y bool compareBidList(Bid one, Bid two) { if (one.type == 'A' && two.type == 'B') return (one.price < two.price); return false; } void sort(BidList &bidlist) { sort(bidlist.begin(), bidlist.end(), compareBidList); } int main(int argc, char **argv) { Trader trader; BidList bidlist; Auctioneer auctioneer; //bidlist list; auctioneer.accept_bids(bidlist); //trader.loadRange(bidlist, NUMBIDS); show("Bids before sort:", bidlist); sort(bidlist); show("Bids after sort:", bidlist); system("pause"); return 0; }

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  • How to better create stacked bar graphs with multiple variables from ggplot2?

    - by deoksu
    I often have to make stacked barplots to compare variables, and because I do all my stats in R, I prefer to do all my graphics in R with ggplot2. I would like to learn how to do two things: First, I would like to be able to add proper percentage tick marks for each variable rather than tick marks by count. Counts would be confusing, which is why I take out the axis labels completely. Second, there must be a simpler way to reorganize my data to make this happen. It seems like the sort of thing I should be able to do natively in ggplot2 with plyR, but the documentation for plyR is not very clear (and I have read both the ggplot2 book and the online plyR documentation. My best graph looks like this, the code to create it follows: the R code I use to get it is the following: library(epicalc) ### recode the variables to factors ### recode(c(int_newcoun, int_newneigh, int_neweur, int_newusa, int_neweco, int_newit, int_newen, int_newsp, int_newhr, int_newlit, int_newent, int_newrel, int_newhth, int_bapo, int_wopo, int_eupo, int_educ), c(1,2,3,4,5,6,7,8,9, NA), c('Very Interested','Somewhat Interested','Not Very Interested','Not At All interested',NA,NA,NA,NA,NA,NA)) ### Combine recoded variables to a common vector Interest1<-c(int_newcoun, int_newneigh, int_neweur, int_newusa, int_neweco, int_newit, int_newen, int_newsp, int_newhr, int_newlit, int_newent, int_newrel, int_newhth, int_bapo, int_wopo, int_eupo, int_educ) ### Create a second vector to label the first vector by original variable ### a1<-rep("News about Bangladesh", length(int_newcoun)) a2<-rep("Neighboring Countries", length(int_newneigh)) [...] a17<-rep("Education", length(int_educ)) Interest2<-c(a1, a2, a3, a4, a5, a6, a7, a8, a9, a10, a11, a12, a13, a14, a15, a16, a17) ### Create a Weighting vector of the proper length ### Interest.weight<-rep(weight, 17) ### Make and save a new data frame from the three vectors ### Interest.df<-cbind(Interest1, Interest2, Interest.weight) Interest.df<-as.data.frame(Interest.df) write.csv(Interest.df, 'C:\\Documents and Settings\\[name]\\Desktop\\Sweave\\InterestBangladesh.csv') ### Sort the factor levels to display properly ### Interest.df$Interest1<-relevel(Interest$Interest1, ref='Not Very Interested') Interest.df$Interest1<-relevel(Interest$Interest1, ref='Somewhat Interested') Interest.df$Interest1<-relevel(Interest$Interest1, ref='Very Interested') Interest.df$Interest2<-relevel(Interest$Interest2, ref='News about Bangladesh') Interest.df$Interest2<-relevel(Interest$Interest2, ref='Education') [...] Interest.df$Interest2<-relevel(Interest$Interest2, ref='European Politics') detach(Interest) attach(Interest) ### Finally create the graph in ggplot2 ### library(ggplot2) p<-ggplot(Interest, aes(Interest2, ..count..)) p<-p+geom_bar((aes(weight=Interest.weight, fill=Interest1))) p<-p+coord_flip() p<-p+scale_y_continuous("", breaks=NA) p<-p+scale_fill_manual(value = rev(brewer.pal(5, "Purples"))) p update_labels(p, list(fill='', x='', y='')) I'd very much appreciate any tips, tricks or hints. Thanks.

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  • Const operator overloading problems in C++

    - by steigers
    Hello everybody, I'm having trouble with overloading operator() with a const version: #include <iostream> #include <vector> using namespace std; class Matrix { public: Matrix(int m, int n) { vector<double> tmp(m, 0.0); data.resize(n, tmp); } ~Matrix() { } const double & operator()(int ii, int jj) const { cout << " - const-version was called - "; return data[ii][jj]; } double & operator()(int ii, int jj) { cout << " - NONconst-version was called - "; if (ii!=1) { throw "Error: you may only alter the first row of the matrix."; } return data[ii][jj]; } protected: vector< vector<double> > data; }; int main() { try { Matrix A(10,10); A(1,1) = 8.8; cout << "A(1,1)=" << A(1,1) << endl; cout << "A(2,2)=" << A(2,2) << endl; double tmp = A(3,3); } catch (const char* c) { cout << c << endl; } } This gives me the following output: NONconst-version was called - - NONconst-version was called - A(1,1)=8.8 NONconst-version was called - Error: you may only alter the first row of the matrix. How can I achieve that C++ call the const-version of operator()? I am using GCC 4.4.0. Thanks for your help! Sebastian

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