Search Results

Search found 1932 results on 78 pages for 'paul j warner'.

Page 74/78 | < Previous Page | 70 71 72 73 74 75 76 77 78  | Next Page >

  • What does it mean that "Lisp can be written in itself?"

    - by Mason Wheeler
    Paul Graham wrote that "The unusual thing about Lisp-- in fact, the defining quality of Lisp-- is that it can be written in itself." But that doesn't seem the least bit unusual or definitive to me. ISTM that a programming language is defined by two things: Its compiler or interpreter, which defines the syntax and the semantics for the language by fiat, and its standard library, which defines to a large degree the idioms and techniques that skilled users will use when writing code in the language. With a few specific exceptions, (the non-C# members of the .NET family, for example,) most languages' standard libraries are written in that language for two very good reasons: because it will share the same set of syntactical definitions, function calling conventions, and the general "look and feel" of the language, and because the people who are likely to write a standard library for a programming language are its users, and particularly its designer(s). So there's nothing unique there; that's pretty standard. And again, there's nothing unique or unusual about a language's compiler being written in itself. C compilers are written in C. Pascal compilers are written in Pascal. Mono's C# compiler is written in C#. Heck, even some scripting languages have implementations "written in itself". So what does it mean that Lisp is unusual in being written in itself?

    Read the article

  • How to isolate a single element from a scraped web page in R

    - by PaulHurleyuk
    Hello, I'm trying to do soemone a favour, and it's a tad outside my comfort zone, so I'm stuck. I want to use R to scrape this page (http://www.fifa.com/worldcup/archive/germany2006/results/matches/match=97410001/report.html ) and others, to get the goal scorers and times. So far, this is what I've got require(RCurl) require(XML) theURL <-"http://www.fifa.com/worldcup/archive/germany2006/results/matches/match=97410001/report.html" webpage <- getURL(theURL, header=FALSE, verbose=TRUE) webpagecont <- readLines(tc <- textConnection(webpage)); close(tc) pagetree <- htmlTreeParse(webpagecont, error=function(...){}, useInternalNodes = TRUE) and the pagetree object now contains a pointer to my parsed html (I think). The part I want is <div class="cont")<ul> <div class="bold medium">Goals scored</div> <li>Philipp LAHM (GER) 6', </li> <li>Paulo WANCHOPE (CRC) 12', </li> <li>Miroslav KLOSE (GER) 17', </li> <li>Miroslav KLOSE (GER) 61', </li> <li>Paulo WANCHOPE (CRC) 73', </li> <li>Torsten FRINGS (GER) 87'</li> </ul></div> but I'm now lost as to how to isolate them, and frankly xpathSApply, xpathApply confuse the beejeebies out of me !. So, does anyone know how to fomulate a command to suck out the element conmtaiend within the tags ? Thanks Paul.

    Read the article

  • Database not updating after UPDATE SQL statement in ASP.net

    - by Ronnie
    I currently have a problem attepting to update a record within my database. I have a webpage that displays in text boxes a users details, these details are taken from the session upon login. The aim is to update the details when the user overwrites the current text in the text boxes. I have a function that runs when the user clicks the 'Save Details' button and it appears to work, as i have tested for number of rows affected and it outputs 1. However, when checking the database, the record has not been updated and I am unsure as to why. I've have checked the SQL statement that is being processed by displaying it as a label and it looks as so: UPDATE [users] SET [email]=@email, [firstname]=@firstname, [lastname]=@lastname, [promo]=@promo WHERE ([users].[user_id] = 16) The function and other relevant code is: Sub Button1_Click(sender As Object, e As EventArgs) changeDetails(emailBox.text, firstBox.text, lastBox.text, promoBox.text) End Sub Function changeDetails(ByVal email As String, ByVal firstname As String, ByVal lastname As String, ByVal promo As String) As Integer Dim connectionString As String = "Provider=Microsoft.Jet.OLEDB.4.0; Ole DB Services=-4; Data Source=C:\Documents an"& _ "d Settings\Paul Jarratt\My Documents\ticketoffice\datab\ticketoffice.mdb" Dim dbConnection As System.Data.IDbConnection = New System.Data.OleDb.OleDbConnection(connectionString) Dim queryString As String = "UPDATE [users] SET [email]=@email, [firstname]=@firstname, [lastname]=@lastname, "& _ "[promo]=@promo WHERE ([users].[user_id] = " + session.contents.item("ID") + ")" Dim dbCommand As System.Data.IDbCommand = New System.Data.OleDb.OleDbCommand dbCommand.CommandText = queryString dbCommand.Connection = dbConnection Dim dbParam_email As System.Data.IDataParameter = New System.Data.OleDb.OleDbParameter dbParam_email.ParameterName = "@email" dbParam_email.Value = email dbParam_email.DbType = System.Data.DbType.[String] dbCommand.Parameters.Add(dbParam_email) Dim dbParam_firstname As System.Data.IDataParameter = New System.Data.OleDb.OleDbParameter dbParam_firstname.ParameterName = "@firstname" dbParam_firstname.Value = firstname dbParam_firstname.DbType = System.Data.DbType.[String] dbCommand.Parameters.Add(dbParam_firstname) Dim dbParam_lastname As System.Data.IDataParameter = New System.Data.OleDb.OleDbParameter dbParam_lastname.ParameterName = "@lastname" dbParam_lastname.Value = lastname dbParam_lastname.DbType = System.Data.DbType.[String] dbCommand.Parameters.Add(dbParam_lastname) Dim dbParam_promo As System.Data.IDataParameter = New System.Data.OleDb.OleDbParameter dbParam_promo.ParameterName = "@promo" dbParam_promo.Value = promo dbParam_promo.DbType = System.Data.DbType.[String] dbCommand.Parameters.Add(dbParam_promo) Dim rowsAffected As Integer = 0 dbConnection.Open Try rowsAffected = dbCommand.ExecuteNonQuery Finally dbConnection.Close End Try labelTest.text = rowsAffected.ToString() if rowsAffected = 1 then labelSuccess.text = "* Your details have been updated and saved" else labelError.text = "* Your details could not be updated" end if End Function Any help would be greatly appreciated.

    Read the article

  • Microsoft Detours - DetourUpdateThread?

    - by pault543
    Hi, I have a few quick questions about the Microsoft Detours Library. I have used it before (successfully), but I just had a thought about this function: LONG DetourUpdateThread(HANDLE hThread); I read elsewhere that this function will actually suspend the thread until the transaction completes. This seems odd since most sample code calls: DetourUpdateThread(GetCurrentThread()); Anyway, apparently this function "enlists" threads so that, when the transaction commits (and the detours are made), their instruction pointers are modified if they lie "within the rewritten code in either the target function or the trampoline function." My questions are: When the transaction commits, is the current thread's instruction pointer going to be within the DetourTransactionCommit function? If so, why should we bother enlisting it to be updated? Also, if the enlisted threads are suspended, how can the current thread continue executing (given that most sample code calls DetourUpdateThread(GetCurrentThread());)? Finally, could you suspend all threads for the current process, avoiding race conditions (considering that threads could be getting created and destroyed at any time)? Perhaps this is done when the transaction begins? This would allow us to enumerate threads more safely (as it seems less likely that new threads could be created), although what about CreateRemoteThread()? Thanks, Paul For reference, here is an extract from the simple sample: // DllMain function attaches and detaches the TimedSleep detour to the // Sleep target function. The Sleep target function is referred to // through the TrueSleep target pointer. BOOL WINAPI DllMain(HINSTANCE hinst, DWORD dwReason, LPVOID reserved) { if (dwReason == DLL_PROCESS_ATTACH) { DetourTransactionBegin(); DetourUpdateThread(GetCurrentThread()); DetourAttach(&(PVOID&)TrueSleep, TimedSleep); DetourTransactionCommit(); } else if (dwReason == DLL_PROCESS_DETACH) { DetourTransactionBegin(); DetourUpdateThread(GetCurrentThread()); DetourDetach(&(PVOID&)TrueSleep, TimedSleep); DetourTransactionCommit(); } return TRUE; }

    Read the article

  • return an ArrayList method

    - by Bopeng Liu
    This is a drive method for two other classes. which i posted here http://codereview.stackexchange.com/questions/33148/book-program-with-arraylist I need some help for the private static ArrayList getAuthors(String authors) method. I am kind a beginner. so please help me finish this drive method. or give me some directions. Instruction some of the elements of the allAuthors array contain asterisks “*” between two authors names. The getAuthors method uses this asterisk as a delimiter between names to store them separately in the returned ArrayList of Strings. import java.util.ArrayList; public class LibraryDrive { public static void main(String[] args) { String[] titles = { "The Hobbit", "Acer Dumpling", "A Christmas Carol", "Marley and Me", "Building Java Programs", "Java, How to Program" }; String[] allAuthors = { "Tolkien, J.R.", "Doofus, Robert", "Dickens, Charles", "Remember, SomeoneIdont", "Reges, Stuart*Stepp, Marty", "Deitel, Paul*Deitel, Harvery" }; ArrayList<String> authors = new ArrayList<String>(); ArrayList<Book> books = new ArrayList<Book>(); for (int i = 0; i < titles.length; i++) { authors = getAuthors(allAuthors[i]); Book b = new Book(titles[i], authors); books.add(b); authors.remove(0); } Library lib = new Library(books); System.out.println(lib); lib.sort(); System.out.println(lib); } private static ArrayList<String> getAuthors(String authors) { ArrayList books = new ArrayList<String>(); // need help here. return books; } }

    Read the article

  • Getting the name of a child class in the parent class (static context)

    - by Benoit Myard
    Hi everybody, I'm building an ORM library with reuse and simplicity in mind; everything goes fine except that I got stuck by a stupid inheritance limitation. Please consider the code below: class BaseModel { /* * Return an instance of a Model from the database. */ static public function get (/* varargs */) { // 1. Notice we want an instance of User $class = get_class(parent); // value: bool(false) $class = get_class(self); // value: bool(false) $class = get_class(); // value: string(9) "BaseModel" $class = __CLASS__; // value: string(9) "BaseModel" // 2. Query the database with id $row = get_row_from_db_as_array(func_get_args()); // 3. Return the filled instance $obj = new $class(); $obj->data = $row; return $obj; } } class User extends BaseModel { protected $table = 'users'; protected $fields = array('id', 'name'); protected $primary_keys = array('id'); } class Section extends BaseModel { // [...] } $my_user = User::get(3); $my_user->name = 'Jean'; $other_user = User::get(24); $other_user->name = 'Paul'; $my_user->save(); $other_user->save(); $my_section = Section::get('apropos'); $my_section->delete(); Obviously, this is not the behavior I was expecting (although the actual behavior also makes sense).. So my question is if you guys know of a mean to get, in the parent class, the name of child class.

    Read the article

  • I need to speed up a function. Should I use cython, ctypes, or something else?

    - by Peter Stewart
    I'm having a lot of fun learning Python by writing a genetic programming type of application. I've had some great advice from Torsten Marek, Paul Hankin and Alex Martelli on this site. The program has 4 main functions: generate (randomly) an expression tree. evaluate the fitness of the tree crossbreed mutate As all of generate, crossbreed and mutate call 'evaluate the fitness'. it is the busiest function and is the primary bottleneck speedwise. As is the nature of genetic algorithms, it has to search an immense solution space so the faster the better. I want to speed up each of these functions. I'll start with the fitness evaluator. My question is what is the best way to do this. I've been looking into cython, ctypes and 'linking and embedding'. They are all new to me and quite beyond me at the moment but I look forward to learning one and eventually all of them. The 'fitness function' needs to compare the value of the expression tree to the value of the target expression. So it will consist of a postfix evaluator which will read the tree in a postfix order. I have all the code in python. I need advice on which I should learn and use now: cython, ctypes or linking and embedding. Thank you.

    Read the article

  • Is it possible to include a Sexpr before the expression has been evaluated in Sweave / R ?

    - by PaulHurleyuk
    Hello, I'm writing a Sweave document, and I want to include a small section that details the R and package versions, platofrms and how long ti took to evalute the doucment, however, I want to put this in the middle of the document ! I was using a \Sexpr{elapsed} to do this (which didn't work), but thought if I put the code printing elapsed in a chunk that evaluates at the end, I could then include the chunk half way through, which also fails. My document looks something like this % \documentclass[a4paper]{article} \usepackage[OT1]{fontenc} \usepackage{longtable} \usepackage{geometry} \usepackage{Sweave} \geometry{left=1.25in, right=1.25in, top=1in, bottom=1in} \begin{document} <<label=start, echo=FALSE, include=FALSE>>= startt<-proc.time()[3] @ Text and Sweave Code in here % This document was created on \today, with \Sexpr{print(version$version.string)} running on a \Sexpr{print(version$platform)} platform. It took approx sec to process. <<>>= <<elapsed>> @ More text and Sweave code in here <<label=bye, include=FALSE, echo=FALSE>>= odbcCloseAll() endt<-proc.time()[3] elapsedtime<-as.numeric(endt-startt) @ <<label=elapsed, include=FALSE, echo=FALSE>>= print(elapsedtime) @ \end{document} But this doesn't seem to work (amazingly !) Does anyone know how I could do this ? Thanks Paul.

    Read the article

  • Sweave can't see a vector if run from a function ?

    - by PaulHurleyuk
    I have a function that sets a vector to a string, copies a Sweave document with a new name and then runs that Sweave. Inside the Sweave document I want to use the vector I set in the function, but it doesn't seem to see it. (Edit: I changed this function to use tempdir(() as suggested by Dirk) I created a sweave file test_sweave.rnw; % \documentclass[a4paper]{article} \usepackage[OT1]{fontenc} \usepackage{Sweave} \begin{document} \title{Test Sweave Document} \author{gb02413} \maketitle <<>>= ls() Sys.time() print(paste("The chosen study was ",chstud,sep="")) @ \end{document} and I have this function; onOK <- function(){ chstud<-"test" message(paste("Chosen Study is ",chstud,sep="")) newfile<-paste(chstud,"_report",sep="") mypath<-paste(tempdir(),"\\",sep="") setwd(mypath) message(paste("Copying test_sweave.Rnw to ",paste(mypath,newfile,".Rnw",sep=""),sep="")) file.copy("c:\\local\\test_sweave.Rnw", paste(mypath,newfile,".Rnw",sep=""), overwrite=TRUE) Sweave(paste(mypath,newfile,".Rnw",sep="")) require(tools) texi2dvi(file = paste(mypath,newfile,".tex",sep=""), pdf = TRUE) } If I run the code from the function directly, the resulting file has this output for ls(); > ls() [1] "chstud" "mypath" "newfile" "onOK" However If I call onOK() I get this output; > ls() [1] "onOK" and the print(...chstud...)) function generates an error. I suspect this is an environment problem, but I assumed because the call to Sweave occurs within the onOK function, it would be in the same enviroment, and would see all the objects created within the function. How can I get the Sweave process to see the chstud vector ? Thanks Paul.

    Read the article

  • How can I write a unit test to determine whether an object can be garbage collected?

    - by driis
    In relation to my previous question, I need to check whether a component that will be instantiated by Castle Windsor, can be garbage collected after my code has finished using it. I have tried the suggestion in the answers from the previous question, but it does not seem to work as expected, at least for my code. So I would like to write a unit test that tests whether a specific object instance can be garbage collected after some of my code has run. Is that possible to do in a reliable way ? EDIT I currently have the following test based on Paul Stovell's answer, which succeeds: [TestMethod] public void ReleaseTest() { WindsorContainer container = new WindsorContainer(); container.Kernel.ReleasePolicy = new NoTrackingReleasePolicy(); container.AddComponentWithLifestyle<ReleaseTester>(LifestyleType.Transient); Assert.AreEqual(0, ReleaseTester.refCount); var weakRef = new WeakReference(container.Resolve<ReleaseTester>()); Assert.AreEqual(1, ReleaseTester.refCount); GC.Collect(); GC.WaitForPendingFinalizers(); Assert.AreEqual(0, ReleaseTester.refCount, "Component not released"); } private class ReleaseTester { public static int refCount = 0; public ReleaseTester() { refCount++; } ~ReleaseTester() { refCount--; } } Am I right assuming that, based on the test above, I can conclude that Windsor will not leak memory when using the NoTrackingReleasePolicy ?

    Read the article

  • Web development scheme for staging and production servers using Git Push

    - by ServAce85
    I am using git to manage a dynamic website (PHP + MySQL) and I want to send my files from my localhost to my staging and development servers in the most efficient and hassle-free way. I am currently convinced that the best way for me to approach this problem is to use this git branching model to organize my local git repo. From there, I will use the release branches to push to my staging server for testing. Once I am happy that the release code works on the staging server, I can then merge with my master branch and push that to my production server. Pushing to Staging Server: As noted in many introductory git posts, I could run into problems pushing into a non-bare repo, so, as suggested in this response, I plan to push the release branch to a bare repo on the server and have a post-receive hook that clones the bare repo to a non-bare repo that also acts as the web-hosted directory. Pushing to Production Server: Here's my newest source of confusion... In the response that I cited above, it made me curious as to why @Paul states that it's a completely different story when pushing to a live, development server. I guess I don't see the problem. Would it be safe and hassle-free to follow the same steps as above, but for the master branch? Where are the potential pit-falls? Config Files: With respect to configuration files that are unique to each environment (.htaccess, config.php, etc), it seems simplest to .gitignore each of those files in their respective repos on their respective servers. Can you see anything immediately wrong with this? Better solutions? Accessing Data: Finally, as I initially stated, the site uses MySQL databases to store data. How would you suggest I access that data (for testing purposes) from the staging server and localhost? I realize that I may have asked way too many questions for a single post, but since they're all related to the best way to set up this development scheme, I thought it was necessary.

    Read the article

  • How to get the second sub element of every element in a list in R

    - by PaulHurleyuk
    I know I've come across this problem before, but I'm having a bit of a mental block at the moment. and as I can't find it on SO, I'll post it here so I can find it next time. I have a dataframe that contains a field representing an ID label. This label has two parts, an alpha prefix and a numeric suffix. I want to split it apart and create two new fields with these values in. structure(list(lab = c("N00", "N01", "N02", "B00", "B01", "B02", "Z21", "BA01", "NA03")), .Names = "lab", row.names = c(NA, -9L ), class = "data.frame") df$pre<-strsplit(df$lab, "[0-9]+") df$suf<-strsplit(df$lab, "[A-Z]+") Which gives lab pre suf 1 N00 N , 00 2 N01 N , 01 3 N02 N , 02 4 B00 B , 00 5 B01 B , 01 6 B02 B , 02 7 Z21 Z , 21 8 BA01 BA , 01 9 NA03 NA , 03 So, the first strsplit works fine, but the second gives a list, each having two elements, an empty string and the result I want, and stuffs them both into the dataframe column. How can I select the second sub-element from each element of the list ? (or, is there a better way to do this) Thanks Paul.

    Read the article

  • Convert a raw string to an array of big-endian words with Ruby

    - by Zag zag..
    Hello, I would like to convert a raw string to an array of big-endian words. As example, here is a JavaScript function that do it well (by Paul Johnston): /* * Convert a raw string to an array of big-endian words * Characters >255 have their high-byte silently ignored. */ function rstr2binb(input) { var output = Array(input.length >> 2); for(var i = 0; i < output.length; i++) output[i] = 0; for(var i = 0; i < input.length * 8; i += 8) output[i>>5] |= (input.charCodeAt(i / 8) & 0xFF) << (24 - i % 32); return output; } I believe the Ruby equivalent can be String#unpack(format). However, I don't know what should be the correct format parameter. Thank you for any help. Regards

    Read the article

  • Ruby and public_method_defined? : strange behaviour

    - by aXon
    Hi there Whilst reading through the book "The well grounded Rubyist", I came across some strange behaviour. The idea behind the code is using one's own method_missing method. The only thing I am not able to grasp is, why this code gets executed, as I do not have any Person.all_with_* class methods defined, which in turn means that the self.public_method_defined?(attr) returns true (attr is friends and then hobbies). #!/usr/bin/env ruby1.9 class Person PEOPLE = [] attr_reader :name, :hobbies, :friends def initialize(mame) @name = name @hobbies = [] @friends = [] PEOPLE << self end def has_hobby(hobby) @hobbies << hobby end def has_friend(friend) @friends << friend end def self.method_missing(m,*args) method = m.to_s if method.start_with?("all_with_") attr = method[9..-1] if self.public_method_defined?(attr) PEOPLE.find_all do |person| person.send(attr).include?(args[0]) end else raise ArgumentError, "Can't find #{attr}" end else super end end end j = Person.new("John") p = Person.new("Paul") g = Person.new("George") r = Person.new("Ringo") j.has_friend(p) j.has_friend(g) g.has_friend(p) r.has_hobby("rings") Person.all_with_friends(p).each do |person| puts "#{person.name} is friends with #{p.name}" end Person.all_with_hobbies("rings").each do |person| puts "#{person.name} is into rings" end The output is is friends with is friends with is into rings which is really understandable, as there is nothing to be executed.

    Read the article

  • What do you mean by the expressiveness in programming lanuguage?

    - by prosseek
    I see a lot of the word 'expressiveness' when people want to stress one language is better than the other. But I don't see exactly what they mean by it. Is it the verboseness/succinctness? I mean, if one language can write down something shorter than the other, does that mean expressiveness? Please refer to my other question - http://stackoverflow.com/questions/2411772/article-about-code-density-as-a-measure-of-programming-language-power Is it the power of the language? Paul Graham says that one language is more powerful than the other language in a sense that one language can do that the other language can't do (for example, LISP can do something with macro that the other language can't do). Is it just something that makes life easier? Regular expression can be one of the examples. Is it a different way of solving the same problem: something like SQL to solve the search problem? What do you think about the expressiveness of a programming lanuage? Can you show the expressiveness using some code? What's the relationship with the expressiveness and DSL? Do people come up with DSL to get the expressiveness?

    Read the article

  • Nokogiri changing custom elements

    - by dagda1
    Hi, I have sample html that I have marked up with some special tags that will be used by a different program, an example of the html is below. You should note the <START:organization>..<END> elements. <html> <head/> <body> <ul> <li> <START:organization> Advanced Integrated Pest Management <END> </li> <li> <START:organization> American Bakers Association <END> </li> </ul> </body> </html> I wanted to use nokogiri to preprocess the html to easily remove irrelevant tags like <script>. I created the following extension to the nokogiri document class: module Nokogiri module HTML class Document def prepare_html xpath("//script").remove to_html.remove_new_lines end end end end The problem is that nokogiri is changing the <START:organization> element to <organization>. Is there anyway that I can preserve the htnl to maintain my custom markup tags? Thanks Paul

    Read the article

  • Google Maps API v3 - infoWindows all have same content

    - by paulriedel
    Hello, I've been having problems with the infoWindows and Google Maps API v3. Initially, I've ran into the problem that everyone else has of closing infoWindows when opening a new one. I thought to have solved the problem by defining "infowindow" beforehand. Now they close when I click on a new marker, but the content is the same. How should I re-structure my code to make sure the content is the right one each time - and only one infoWindow is open at a given time? Thank you! Paul var allLatLngs = new Array(); var last = 0; var infowindow; function displayResults(start, count){ if(start === undefined){ start = last; } if(count === undefined){ count = 20; } jQuery.each(jsresults, function(index, value) { if(index >= start && index < start+count){ var obj = jQuery.parseJSON(value); $("#textresults").append(index + ": <strong>" + obj.name + "</strong> " + Math.round(obj.distanz*100)/100 + " km entfernt" + "<br/>"); var myLatlng = new google.maps.LatLng(obj.geo_lat, obj.geo_lon); allLatLngs.push(myLatlng); var contentString = '<strong>'+obj.name+'</strong>'; infowindow = new google.maps.InfoWindow({ content: contentString }); var marker = new google.maps.Marker({ position: myLatlng, //title:"Hello World!" }); marker.setMap(map); google.maps.event.addListener(marker, 'click', function() { if (infowindow) { infowindow.close(map,marker); } infowindow.open(map,marker); }); } }); last = start+count;

    Read the article

  • Can ScalaCheck/Specs warnings safely be ignored when using SBT with ScalaTest?

    - by pdbartlett
    I have a simple FunSuite-based ScalaTest: package pdbartlett.hello_sbt import org.scalatest.FunSuite class SanityTest extends FunSuite { test("a simple test") { assert(true) } test("a very slightly more complicated test - purposely fails") { assert(42 === (6 * 9)) } } Which I'm running with the following SBT project config: import sbt._ class HelloSbtProject(info: ProjectInfo) extends DefaultProject(info) { // Dummy action, just to show config working OK. lazy val solveQ = task { println("42"); None } // Managed dependencies val scalatest = "org.scalatest" % "scalatest" % "1.0" % "test" } However, when I runsbt test I get the following warnings: ... [info] == test-compile == [info] Source analysis: 0 new/modified, 0 indirectly invalidated, 0 removed. [info] Compiling test sources... [info] Nothing to compile. [warn] Could not load superclass 'org.scalacheck.Properties' : java.lang.ClassNotFoundException: org.scalacheck.Properties [warn] Could not load superclass 'org.specs.Specification' : java.lang.ClassNotFoundException: org.specs.Specification [warn] Could not load superclass 'org.specs.Specification' : java.lang.ClassNotFoundException: org.specs.Specification [info] Post-analysis: 3 classes. [info] == test-compile == For the moment I'm assuming these are just "noise" (caused by the unified test interface?) and that I can safely ignore them. But it is slightly annoying to some inner OCD part of me (though not so annoying that I'm prepared to add dependencies for the other frameworks). Is this a correct assumption, or are there subtle errors in my test/config code? If it is safe to ignore, is there any other way to suppress these errors, or do people routinely include all three frameworks so they can pick and choose the best approach for different tests? TIA, Paul. (ADDED: scala v2.7.7 and sbt v0.7.4)

    Read the article

  • Issue with class design to model user preferences for different classes

    - by Mulone
    Hi all, I'm not sure how to design a couple of classes in my app. Basically that's a situation: each user can have many preferences each preference can be referred to an object of different classes (e.g. album, film, book etc) the preference is expressed as a set of values (e.g. score, etc). The problem is that many users can have preferences on the same objects, e.g.: John: score=5 for filmid=apocalypsenow Paul: score=3 for filmid=apocalypsenow And naturally I don't want to duplicate the object film in each user. So I could create a class called "preference" holding a score and then a target object, something like: User{ hasMany preferences } Preference{ belongsTo User double score Film target Album target //etc } and then define just one target. Then I would create an interface for the target Classes (album, film etc): Interface canBePreferred{ hasMany preferences } And implement all of those classes. This could work, but it looks pretty ugly and it would requires a lot of joins to work. Do you have some patterns I could use to model this nicely? Cheers, Mulone

    Read the article

  • Border of single th spreads to neighboring th when colspan set on td row below

    - by Samuel Hapak
    Having following html code: <table> <tr><th>First</th><th class='second'>Second</th><th class='third'>Third</th><th>Fourth</th></tr> <tr><td>Mike</td><td colspan=2 >John</td><td>Paul</td></tr> </table>? And following css: table { border-collapse: collapse; } td, th { border: 1px black solid; } td { border-top: none; } th { border-bottom: none; } th.second { border-bottom: 3px green solid; } th.third { } ? I would expect as result one table with 3px solid green line below the second th cell. Instead of that in Chrome, I have solid green border below both the second and the third th cell. In the firefox, results are just as expected. Is this browser bug, or my code is illegal? You can see example at http://jsfiddle.net/tt6aP/3/ PS: Try to set th.third { border-bottom: 2px solid red; } And then try to raise it to 3px. This is even more strange. Screenshots Expected: Chrome: Firefox:

    Read the article

  • dojo.parser.parse only working first time it's called.

    - by crazymerlin
    I have a page that when a user clicks on a link for some reporting tools, it first asks them to enter some report parameters. I get the parameters dialog as a form using AJAX, based on the id of the link. Each dialog has some dojo controls on it, so I need to parse them when the dialog appears, because it is not originally part of the page. The first dialog when called works fine, but subsequent calls to dialogs fails to parse the dojo controls. Example: showParametersDialog : function(doc) { var content = doc.firstChild.firstChild.data; var container = document.createElement('div'); container.id = 'dialog'; container.innerHTML = content; container.style.background = 'transparent'; container.style.position = 'absolute'; container.style.top = (document.body.clientHeight / 2) - 124 + "px"; container.style.left = (document.body.clientWidth / 2) - 133 + "px"; container.style.display = 'block'; document.body.appendChild(container); // set up date fields var date_from = dojo.byId('date_from'); var date_to = dojo.byId('date_to'); try { date_from.value = dojo.date.locale.format(new Date(), {selector: 'date'}); date_to.value = dojo.date.locale.format(new Date(), {selector: 'date'}); } catch(e) { var now = new Date(); date_from.value = String(now.getMonth() + "/" + now.getDate() + "/" + now.getFullYear()); date_to.value = String(now.getMonth() + "/" + now.getDate() + "/" + now.getFullYear()); } dojo.parser.parse(); } All dialogs have the common date fields. So when I call this dialog the first time, and dojo.parser.parse() is called, it parses the controls on the dialog, but only the first time...after than, no dojo. Any thoughts? Thanks, Paul.

    Read the article

  • OpenGL Mipmapping: how does OpenGL decide on map level?

    - by Droozle
    Hi, I am having trouble implementing mipmapping in OpenGL. I am using OpenFrameworks and have modified the ofTexture class to support the creation and rendering of mipmaps. The following code is the original texture creation code from the class (slightly modified for clarity): glEnable(texData.textureTarget); glBindTexture(texData.textureTarget, (GLuint)texData.textureID); glTexSubImage2D(texData.textureTarget, 0, 0, 0, w, h, texData.glType, texData.pixelType, data); glTexParameteri(texData.textureTarget, GL_TEXTURE_MAG_FILTER, GL_LINEAR); glTexParameteri(texData.textureTarget, GL_TEXTURE_MIN_FILTER, GL_LINEAR); glDisable(texData.textureTarget); This is my version with mipmap support: glEnable(texData.textureTarget); glBindTexture(texData.textureTarget, (GLuint)texData.textureID); gluBuild2DMipmaps(texData.textureTarget, texData.glTypeInternal, w, h, texData.glType, texData.pixelType, data); glTexParameteri(texData.textureTarget, GL_TEXTURE_MAG_FILTER, GL_LINEAR_MIPMAP_LINEAR); glTexParameteri(texData.textureTarget, GL_TEXTURE_MIN_FILTER, GL_LINEAR_MIPMAP_LINEAR); glDisable(texData.textureTarget); The code does not generate errors (gluBuild2DMipmaps returns '0') and the textures are rendered without problems. However, I do not see any difference. The scene I render consists of "flat, square tiles" at z=0. It's basically a 2D scene. I zoom in and out by using "glScale()" before drawing the tiles. When I zoom out, the pixels of the tile textures start to "dance", indicating (as far as I can tell) unfiltered texture look-up. See: http://www.youtube.com/watch?v=b_As2Np3m8A at 25s. My question is: since I do not move the camera position, but only use scaling of the whole scene, does this mean OpenGL can not decide on the appropriate mipmap level and uses the full texture size (level 0)? Paul

    Read the article

  • How can I create dynamically updated views in a tab bar view, based on settings selection?

    - by Diggers
    Hi all, Noob question.... I've created a Tab Bar application. It has four tabs and works fine. Each view is created with a XIB and is effectively static. Each view takes user input and responds on screen. What I need to be able to do is change the input options the user have - in effect remove some UITextFields dependant upon which option the user selects in settings. I've created root.plist and created settings no problem i've also created additional XIBS for the altered UI, but what I don't know how to do, is call these into the tab view controller on demand. Effectively tab one has 3 possible views, tab two 3 possible views etc. But I only want the one that's relevant for the users settings selction to be displayed? Make sense? For reference, if we call the different views - UIInputViewA1, ...A2,....A3 UIInputViewB1,....B2....B3 etc. Hope someone can help, been trawling the net for nights trying to get my head round this. Beggining iPhone Development Bible doesn't help either. If you need any more info, please shout. Cheers Paul.

    Read the article

  • June 26th Links: ASP.NET, ASP.NET MVC, .NET and NuGet

    - by ScottGu
    Here is the latest in my link-listing series.  Also check out my Best of 2010 Summary for links to 100+ other posts I’ve done in the last year. [I am also now using Twitter for quick updates and to share links. Follow me at: twitter.com/scottgu] ASP.NET Introducing new ASP.NET Universal Providers: Great post from Scott Hanselman on the new System.Web.Providers we are working on.  This release delivers new ASP.NET Membership, Role Management, Session, Profile providers that work with SQL Server, SQL CE and SQL Azure. CSS Sprites and the ASP.NET Sprite and Image Optimization Library: Great post from Scott Mitchell that talks about a free library for ASP.NET that you can use to optimize your CSS and images to reduce HTTP requests and speed up your site. Better HTML5 Support for the VS 2010 Editor: Another great post from Scott Hanselman on an update several people on my team did that enables richer HTML5 editing support within Visual Studio 2010. Install the Ajax Control Toolkit from NuGet: Nice post by Stephen Walther on how you can now use NuGet to install the Ajax Control Toolkit within your applications.  This makes it much easier to reference and use. May 2011 Release of the Ajax Control Toolkit: Another great post from Stephen Walther that talks about the May release of the Ajax Control Toolkit. It includes a bunch of nice enhancements and fixes. SassAndCoffee 0.9 Released: Paul Betts blogs about the latest release of his SassAndCoffee extension (available via NuGet). It enables you to easily use Sass and Coffeescript within your ASP.NET applications (both MVC and Webforms). ASP.NET MVC ASP.NET MVC Mini-Profiler: The folks at StackOverflow.com (a great site built with ASP.NET MVC) have released a nice (free) profiler they’ve built that enables you to easily profile your ASP.NET MVC 3 sites and tune them for performance.  Globalization, Internationalization and Localization in ASP.NET MVC 3: Great post from Scott Hanselman on how to enable internationalization, globalization and localization support within your ASP.NET MVC 3 and jQuery solutions. Precompile your MVC Razor Views: Great post from David Ebbo that discusses a new Razor Generator tool that enables you to pre-compile your razor view templates as assemblies – which enables a bunch of cool scenarios. Unit Testing Razor Views: Nice post from David Ebbo that shows how to use his new Razor Generator to enable unit testing of razor view templates with ASP.NET MVC. Bin Deploying ASP.NET MVC 3: Nice post by Phil Haack that covers a cool feature added to VS 2010 SP1 that makes it really easy to \bin deploy ASP.NET MVC and Razor within your application. This enables you to easily deploy the app to servers that don’t have ASP.NET MVC 3 installed. .NET Table Splitting with EF 4.1 Code First: Great post from Morteza Manavi that discusses how to split up a single database table across multiple EF entity classes.  This shows off some of the power behind EF 4.1 and is very useful when working with legacy database schemas. Choosing the Right Collection Class: Nice post from James Michael Hare that talks about the different collection class options available within .NET.  A nice overview for people who haven’t looked at all of the support now built into the framework. Little Wonders: Empty(), DefaultIfEmpty() and Count() helper methods: Another in James Michael Hare’s excellent series on .NET/C# “Little Wonders”.  This post covers some of the great helper methods now built-into .NET that make coding even easier. NuGet NuGet 1.4 Released: Learn all about the latest release of NuGet – which includes a bunch of cool new capabilities.  It takes only seconds to update to it – go for it! NuGet in Depth: Nice presentation from Scott Hanselman all about NuGet and some of the investments we are making to enable a better open source ecosystem within .NET. NuGet for the Enterprise – NuGet in a Continuous Integration Automated Build System: Great post from Scott Hanselman on how to integrate NuGet within enterprise build environments and enable it with CI solutions. Hope this helps, Scott

    Read the article

  • SQL SERVER – SHRINKFILE and TRUNCATE Log File in SQL Server 2008

    - by pinaldave
    Note: Please read the complete post before taking any actions. This blog post would discuss SHRINKFILE and TRUNCATE Log File. The script mentioned in the email received from reader contains the following questionable code: “Hi Pinal, If you could remember, I and my manager met you at TechEd in Bangalore. We just upgraded to SQL Server 2008. One of our jobs failed as it was using the following code. The error was: Msg 155, Level 15, State 1, Line 1 ‘TRUNCATE_ONLY’ is not a recognized BACKUP option. The code was: DBCC SHRINKFILE(TestDBLog, 1) BACKUP LOG TestDB WITH TRUNCATE_ONLY DBCC SHRINKFILE(TestDBLog, 1) GO I have modified that code to subsequent code and it works fine. But, are there other suggestions you have at the moment? USE [master] GO ALTER DATABASE [TestDb] SET RECOVERY SIMPLE WITH NO_WAIT DBCC SHRINKFILE(TestDbLog, 1) ALTER DATABASE [TestDb] SET RECOVERY FULL WITH NO_WAIT GO Configuration of our server and system is as follows: [Removed not relevant data]“ An email like this that suddenly pops out in early morning is alarming email. Because I am a dead, busy mind, so I had only one min to reply. I wrote down quickly the following note. (As I said, it was a single-minute email so it is not completely accurate). Here is that quick email shared with all of you. “Hi Mr. DBA [removed the name] Thanks for your email. I suggest you stop this practice. There are many issues included here, but I would list two major issues: 1) From the setting database to simple recovery, shrinking the file and once again setting in full recovery, you are in fact losing your valuable log data and will be not able to restore point in time. Not only that, you will also not able to use subsequent log files. 2) Shrinking file or database adds fragmentation. There are a lot of things you can do. First, start taking proper log backup using following command instead of truncating them and losing them frequently. BACKUP LOG [TestDb] TO  DISK = N'C:\Backup\TestDb.bak' GO Remove the code of SHRINKING the file. If you are taking proper log backups, your log file usually (again usually, special cases are excluded) do not grow very big. There are so many things to add here, but you can call me on my [phone number]. Before you call me, I suggest for accuracy you read Paul Randel‘s two posts here and here and Brent Ozar‘s Post here. Kind Regards, Pinal Dave” I guess this post is very much clear to you. Please leave your comments here. As mentioned, this is a very huge subject; I have just touched a tip of the ice-berg and have tried to point to authentic knowledge. Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: Pinal Dave, SQL, SQL Authority, SQL Backup and Restore, SQL Data Storage, SQL Query, SQL Scripts, SQL Server, SQL Tips and Tricks, T SQL, Technology

    Read the article

< Previous Page | 70 71 72 73 74 75 76 77 78  | Next Page >