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  • Strange Behaviour in Swift: constant defined with LET but behaving like a variable defined with VAR

    - by Sam
    Stuck on the below for a day! Any insight would be greatly appreciated. The constant in the first block match0 behaves as expected. The constant defined in the second block does not behave as nicely in the face of a change to its "source": var str = "+y+z*1.0*sum(A1:A3)" if let range0 = str.rangeOfString("^\\+|^\\-|^\\*|^\\/", options: NSStringCompareOptions.RegularExpressionSearch){ let match0 = str[range0] println(match0) //yields "+" - as expexted str.removeRange(range0) println(match0) //yields "+" - as expected str.removeRange(range0) println(match0) //yields "+" - as expected } if let range1 = str.rangeOfString("^\\+|^\\-|^\\*|^\\/", options: NSStringCompareOptions.RegularExpressionSearch){ let match1 = str[range1] println(match1) //yields "+" as expected str.removeRange(range1) println(match1) //!@#$ OMG!!!!!!!!!!! a constant variable has changed! This prints "z" } The following are the options I can see: match1 has somehow obtained a reference to its source instead of being copied by value [Problem: Strings are value types in Swift] match1 has somehow obtained a closure to its source instead of just being a normal constant/variable? [Problem: sounds like science fiction & then why does match0 behave so well?] Could there be a bug in the Swift compiler? [Problem: Experience has taught me that this is very very very rarely the solution to your problem...but it is still in beta]

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  • Multi-account sync with Dropbox API

    - by Dan
    I'm trying to create a web app that lets users share files with each other through Dropbox. At the moment, Dropbox handles all the sharing, and there's one central Dropbox account running on the web server that shares the folder with the people who want it. I'm trying to change it so people don't have to accept a new folder invitation each time. I'd like to have them authorize my app to access an app folder in their Dropbox account, and all their shared folders would go inside there. Any changes they make would get noticed by the app on the server and synced to everyone else's folders. There's a couple things I'm having trouble figuring out to make this work: Do I need to make repeated calls to /delta for every account? I can't think how else I'd do this, but that sounds like it would quickly turn into thousands of requests a minute just polling for updates. When someone adds a file, do I have to upload it once for each account? That seems like a huge waste of bandwidth. I've looked into using /copy_ref, which I think would add a file to another user's account without my app ever touching it, but my app's web interface also allows users to upload files directly to my server, which would then need to be synced with everyone else's folders. That file isn't on Dropbox's servers yet, so /copy_ref obviously wouldn't work. For a little extra context, my app is written in node.js, and I've been playing with this library to interface with Dropbox, which uses their REST API.

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  • What do we log and why do we log it?

    - by Lucas
    This has been bugging me for quite some time. Reading various questions on SO, blogs and listening to colleagues, I keep hearing how important "logging" is. How various logging frameworks stack up against each other, and how there are so many to pick from it's (apparently) ridiculous. Now, I know what logging is. What I don't know is what is supposed to be logged and why. Sure, I can guess. Exceptions? Sounds like something one might want to log... but which exceptions? And is it only exceptions? And what do I do with the logged information? If it's an in-house app, then that could probably be put to good use, but if it's a commercial desktop application, how is the log of... whatever... helping anyone? I doubt regular users would be peeking inside. Is it then something you ask the users to provide on request? I'm deeply frustrated by my own ignorance in this. It's also surprising how little information there is about this. The info on the websites of the various logging frameworks is all written for an audience that already knows what it wants to log, and knows why it needs to do so. Same things goes for the various discussions on SO about logging, like for instance this highly voted up question on Logging best practices. For a question with so many votes, it's almost comical how there's next to nothing in there that would answer my what and why questions. So being finally fed up, I'm asking here: what do people log, and why do they log it?

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  • How to store data in mysql, to get the fastest performance?

    - by Oden
    Hey, I'm thinking about it, witch of the following two query types would give me the fastest performance for a user messaging module inside my site: The first one i thought about is a multi table setup, witch has a connection table, and a main table. The connection table holds the connection between accounts, and the messaging table. In this case a query would look like following, to get some data of the author, and the messages he has sent: SELECT m.*, a.username FROM messages AS m LEFT JOIN connection_table ON (message_id = m.id) LEFT JOIN accounts AS a ON (account_id = a.id) WHERE m.id = '32341' Inserting into it is a little bit more "complicated". My other idea, and in my thought the better solution of this problem is that i store the data i would use in a connection table in the same table where is store the data of the mail. Sounds like i would get lots of duplicated entries, but no, because i have a field witch has text type and holds user ids like this: *24*32*249* If I want to query them, i use the mysql LIKE method. Deleting is an other problem, but for this i have one more field where i store who has deleted the post. Sad about that i don't know how to join this. So what would you recommend? Are there other ways?

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  • using an alternative string quotation syntax in python

    - by Cawas
    Just wondering... I find using escape characters too distracting. I'd rather do something like this: print ^'Let's begin and end with sets of unlikely 2 chars and bingo!'^ Let's begin and end with sets of unlikely 2 chars and bingo! Note the ' inside the string, and how this syntax would have no issue with it, or whatever else inside for basically all cases. Too bad markdown can't properly colorize it (yet), so I decided to <pre> it. Sure, the ^ could be any other char, I'm not sure what would look/work better. That sounds good enough to me, tho. Probably some other language already have a similar solution. And, just maybe, Python already have such a feature and I overlooked it. I hope this is the case. But if it isn't, would it be too hard to, somehow, change Python's interpreter and be able to select an arbitrary (or even standardized) syntax for notating the strings? I realize there are many ways to change statements and the whole syntax in general by using pre-compilators, but this is far more specific. And going any of those routes is what I call "too hard". I'm not really needing to do this so, again, I'm just wondering.

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  • help with mysql triggers (checking values before insert)

    - by user332817
    hi I'm quite new to mysql and I'm trying to figure out how to use triggers. what I'm trying to do: I have 2 tables, max and sub_max, when I insert a new row to sub_max I want to check if the SUM of the values with the same foreign_key as the new row are less than the value in the max table. I think this sounds confusing so here are my tables: CREATE TABLE max( number INT , MaxAmount integer NOT NULL) CREATE TABLE sub_max( sub_number INT , sub_MaxAmount integer NOT NULL, number INT, FOREIGN KEY ( number ) REFERENCES max( number )) and here is my code for the trigger, I know the syntax is off but this is the best I could do from looking up tutorials. CREATE TRIGGER maxallowed after insert on submax FOR EACH ROW BEGIN DECLARE submax integer; DECLARE maxmax integer; submax = select sum(sub_MaxAmount) from sub_max where sub_number = new.sub_number; submax = submax + new. sub_MaxAmount; maxmax = select MaxAmount from max where number = new.number ; if max>maxmax rollback? END I wanted to know if I'm doing this remotely correctly. Thanks in advance.

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  • Syncing magento database froms development to production

    - by ringerce
    I use git for version control. I have a development, staging and production environment. When I finish in development I push to staging for review by the client. When approved, I push changes from staging to production. That works fine as long as there is no database changes. What happens if I install modules via Magento connect on local development and it makes database modifications. How would I push those changes up to the production server since the production server is always changing? Edit: I wrote two shell scripts. One that pulls the production database down to my development server, replaces base url with develpment url and updates my development db accordingly. It also leaves the production sql dump behind to be added to my git repo. I'm not really sure if it's beneficial to keep the raw dumps in source control but I'm going to try it out. The second scripts moves the development database up to staging and essentially performs the same operations as the first. Now when it comes time to move to production I pull the updated production repo into the production server and allow magento to do it's thing. I also started using SQLYog recently and it has a database comparison wizard which will give me the differences in my development and production databases and allow me to merge the changes in selectively. It always creates a migration script that I added to source control as well. If anything goes wrong I can run the comparison to see if anything was missed. Does this sounds like a decent workflow to you guys?

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  • How do I know which include path will be used in PHP?

    - by Joe Majewski
    When I run phpinfo() and look by the Configuration category under PHP Core, I see a directive titled include_path, with a local value and a master value. In this case, my local value is set to .: ./include: ../include: /usr/share/php: /usr/share/php/smarty: /usr/share/pear and my master value is set to .: /usr/share/php: /usr/share/pear: /usr/share/php/pear: /usr/share/php/smarty The reason I am trying to learn how this works is because there is a file in the system I am working on titled Smarty.class.php, which I'm sure sounds very familiar to anyone who uses Smarty Templating Engine. One of the PHP files has the following includes: require_once("Smarty.class.php"); require_once("user_info_class.inc"); The file user_info_class.inc is in the same directory as the file making the include, which makes perfect sense to me, and is the way that I've always referenced files. I decided that I wanted to open up the Smarty.class.php file and had assumed it would be in the same directory, but it was not. After doing a bit of digging, I discovered those php_ini variables, and was finally able to locate the file in the directory usr/share/php/smarty/. So it would seem that when making an include, it follows some sort of order between the Local and Master values for the include_path. Assuming that my deductions were correct thus far, can someone explain the order in which PHP searches for the files to be included?

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  • Drupal advanced ACLs for "untrusted" administrators

    - by redShadow
    I have a multi-site Drupal-6 installation containing websites of different customers. On each site, there is an "administrator" role that includes mainly the customer's account. We want to give as many permissions as possible to this privileged user, but this could bring to security leaks using just the Drupal Core permissions management system. The main thing to avoid is the customer account being able to run PHP code on the server (that would be like being logged on the server as the www-data user.. sounds really bad). To avoid that, it is not sufficient to deny PHP code evaluation for the role. Since the administrator role must have permissions to manage users, he could also change the password of the user #1 and login in the site as superadmin. The second goal would be to deny also some "confusing" administrative pages (such as module selection) but not others (such as site informations configuration, or theme selection, etc.) I found the User One module that seems to fix the first problem, but I have no idea on how to solve the second one. I found some modules around, but no-one seems to fit.. it seems like the most ACLs are thought to protect the content, and not the site itself, as if the site administrator would always be the server owner itself..

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  • Protecting Content with AuthLogic

    - by Rob Wilkerson
    I know this sounds like a really, really simple use case and I'm hoping that it is, but I swear I've looked all over the place and haven't found any mention of any way - not even the best way - of doing this. I'm brand-spanking new to Ruby, Rails and everything surrounding either (which may explain a lot). The dummy app that I'm using as my learning tool requires authentication in order to do almost anything meaningful, so I chose to start by solving that problem. I've installed the AuthLogic gem and have it working nicely to the extent that is covered by the intro documentation and Railscast, but now that I can register, login and logout...I need to do something with it. As an example, I need to create a page where users can upload images. I'm planning to have an ImagesController with an upload action method, but I want that only accessible to logged in users. I suppose that in every restricted action I could add code to redirect if there's no current_user, but that seems really verbose. Is there a better way of doing this that allows me to define or identify restricted areas and handle the authentication check in one place?

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  • Reducing a set of non-unique elements via transformations

    - by Andrey Fedorov
    I have: 1) a "starting set" of not-necessarily-unique elements, e.x. { x, y, z, z }, 2) a set of transformations, e.x. (x,z) = y, (z,z) = z, x = z, y = x, and 3) a "target set" that I am trying to get by applying transformations to the starting set, e.x. { z }. I'd like to find an algorithm to generate the (possibly infinite) possible applications of the transformations to the starting set that result in the target set. For example: { x, y, z, z }, y => x { x, x, z, z }, x => z { z, x, z, z }, x => z { z, z, z, z }, (z, z) => z { z, z, z }, (z, z) => z { z, z }, (z, z) => z { z } This sounds like something that's probably an existing (named) problem, but I don't recognize it. Can anyone help me track it down, or suggest further reading on something similar?

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  • Which design pattern is most appropriate?

    - by Anon
    Hello, I want to create a class that can use one of four algorithms (and the algorithm to use is only known at run-time). I was thinking that the Strategy design pattern sounds appropriate, but my problem is that each algorithm requires slightly different parameters. Would it be a bad design to use strategy, but pass in the relevant parameters into the constructor?. Here is an example (for simplicity, let's say there are only two possible algorithms) ... class Foo { private: // At run-time the correct algorithm is used, e.g. a = new Algorithm1(1); AlgorithmInterface* a; }; class AlgorithmInterface { public: virtual void DoSomething = 0; }; class Algorithm1 : public AlgorithmInterface { public: Algorithm1( int i ) : value(i) {} virtual void DoSomething(){ // Does something with int value }; int value; }; class Algorithm2 : public AlgorithmInterface { public: Algorithm2( bool b ) : value(b) {} virtual void DoSomething(){ // Do something with bool value }; bool value; };

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  • Flex ChangeWatcher bind to a negative condition

    - by bedwyr
    I have a bindable getter in a component which informs me when a [hidden] timer is running. I also have a context menu which, if this timer is running, should disable one of the menu items. Is it possible to create a ChangeWatcher which watches for the negative condition of a bindable property/getter and changes the enabled property of the menu item? Here are the basic methods I'm trying to bind together: Class A: [Bindable] public function get isPlaying():Boolean { return (_timer != null) ? _timer.running : false; } Class B: private var _playingWatcher:ChangeWatcher; public function createContextMenu():void { //...blah blah, creating context menu var newItem:ContextMenuItem = new ContextMenuItem(); _playingWatcher = BindingUtils.bindProperty(newItem, "enabled", _classA, "isPlaying"); } In the code above, I have the inverse case: when isPlaying() is true, the menu item is enabled; I want it to only be enabled when the condition is false. I could create a second getter (there are other bindings which rely on the current getter) to return the inverse condition, but that sounds ugly to me: [Bindable] public function get isNotPlaying():Boolean { return !isPlaying; } Is this possible, or is there another approach I'm completely missing?

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  • Selenium RC: Selecting elements using the CSS :contains pseudo-class

    - by Andrew
    I would like to assert that a table row contains the data that I expect in two different tables. Using the following HTML as an example: <table> <tr> <th>Table 1</th> </tr> <tr> <td>Row 1 Col 1</td> <td>Row 1 Col 2</td> </tr> </table> <table> <tr> <th>Table 2</th> </tr> <tr> <td>Row 1 Col 1</td> <td>different data</td> </tr> </table> The following assertion passes: $this->assertElementPresent('css=table:contains(Table 1)'); However, this one doesn't: $this->assertElementPresent('css=table:contains(Table 1) tr:contains(Row 1 Col 1)'); And ultimately, I need to be able to test that both columns within the table row contain the data that I expect: $this->assertElementPresent('css=table:contains(Table 1) tr:contains(Row 1 Col 1):contains(Row 1 Col 2)'); $this->assertElementPresent('css=table:contains(Table 2) tr:contains(Row 1 Col 1):contains(different data)'); What am I doing wrong? How can I achieve this? Update: Sounds like the problem is a bug in Selenium when trying to select descendants. The only way I was able to get this to work was to add an extra identifier on the table so I could tell which one I was working with: /* HTML */ <table id="table-1"> /* PHP */ $this->assertElementPresent("css=#table-1 tr:contains(Row 1 Col 1):contains(Row 1 Col 2)");

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  • Reporting Services: Tablix RepeatColumnHeaders doesn't work on some reports

    - by I Have the Hat
    So I've got various reports that consist of a DataSet rendered in a Tablix... pretty garden variety stuff. There is a property for the Tablix control named RepeatColumnHeaders, which I have set to True for each report in question. The explanation for this property states “Indicates whether column headers are repeated on each page on which part of the data region appear.” Sounds pretty straightforward, but on some reports it works and on others it does not. I can't seem to find what's different about the reports that might affect this. On one report where the headers do repeat, there is some fairly arcane grouping mojo, but in an example where it doesn't work the Tablix only has one level--no grouping. I would expect the multi-nested one to be the problem, not the flat one. Maybe it's a different problem altogether. I threw together a simple Tablix rendering SELECT * FROM Foo, accepted all the default values, which results in RepeatColumnHeaders being set to False, and lo and behold the column headers do repeat for that report... Grrr. Any insights greatly appreciated.

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  • Using memcache together with conventional cache

    - by Industrial
    Hi! Here's the deal. We would have taken the complete static html road to solve performance issues, but since the site will be partially dynamic, this won't work out for us. What we have thought of instead is using memcache + eAccelerator to speed up PHP and take care of caching for the most used data. Here's our two approaches that we have thought of right now: Using memcache on all<< major queries and leaving it alone to do what it does best. Usinc memcache for most commonly retrieved data, and combining with a standard harddrive-stored cache for further usage. The major advantage of only using memcache is of course the performance, but as users increases, the memory usage gets heavy. Combining the two sounds like a more natural approach to us, even though the theoretical compromize in performance. Memcached appears to have some replication features available as well, which may come handy when it's time to increase the nodes. What approach should we use? - Is it stupid to compromize and combine the two methods? Should we insted be focusing on utilizing memcache and instead focusing on upgrading the memory as the load increases with the number of users? Thanks a lot!

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  • about c# OBJECTS and the Possibilties it has.

    - by user527825
    As a novice programmer and i always wonder about c# capabilities.i know it is still early to judge that but all i want to know is can c# do complex stuffs or something outside windows OS. 1- I think c# is a proprietary language (i don't know if i said that right) meaning you can't do it outside visual studio or windows. 2-also you cant create your own controller(called object right?) like you are forced to use these available in toolbox and their properties and methods. 3-can c# be used with openGL API or DirectX API . 4-Finally it always bothers me when i think i start doing things in visual studio, i know it sounds arrogant to say but sometimes i feel that i don't like to be forced to use something even if its helpful, like i feel (do i have the right to feel?) that i want to do all things by myself? don't laugh i just feel that this will give me a better understanding. 5- is visual c# is like using MaxScript inside 3ds max in that c# is exclusive to do windows and forms and components that are windows related and maxscript is only for 3d editing and manipulation for various things in the software. If it is too difficult for a beginner i hope you don't answer the fourth question as i don't have enough motivation and i want to keep the little i have. thank you for your time. Note: 1-sorry for my English, i am self taught and never used the language with native speakers so expect so errors. 2-i have a lot of questions regarding many things, what is the daily ratio you think for asking (number of questions) that would not bother the admins of the site and the members here. thank you for your time.

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  • Macro to improve callback registration readability

    - by Warren Seine
    I'm trying to write a macro to make a specific usage of callbacks in C++ easier. All my callbacks are member functions and will take this as first argument and a second one whose type inherits from a common base class. The usual way to go is: register_callback(boost::bind(&my_class::member_function, this, _1)); I'd love to write: register_callback(HANDLER(member_function)); Note that it will always be used within the same class. Even if typeof is considered as a bad practice, it sounds like a pretty solution to the lack of __class__ macro to get the current class name. The following code works: typedef typeof(*this) CLASS; boost::bind(& CLASS :: member_function, this, _1)(my_argument); but I can't use this code in a macro which will be given as argument to register_callback. I've tried: #define HANDLER(FUN) \ boost::bind(& typeof(*this) :: member_function, this, _1); which doesn't work for reasons I don't understand. Quoting GCC documentation: A typeof-construct can be used anywhere a typedef name could be used. My compiler is GCC 4.4, and even if I'd prefer something standard, GCC-specific solutions are accepted.

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  • C++: is it safe to work with std::vectors as if they were arrays?

    - by peoro
    I need to have a fixed-size array of elements and to call on them functions that require to know about how they're placed in memory, in particular: functions like glVertexPointer, that needs to know where the vertices are, how distant they are one from the other and so on. In my case vertices would be members of the elements to store. to get the index of an element within this array, I'd prefer to avoid having an index field within my elements, but would rather play with pointers arithmetic (ie: index of Element *x will be x - & array[0]) -- btw, this sounds dirty to me: is it good practice or should I do something else? Is it safe to use std::vector for this? Something makes me think that an std::array would be more appropriate but: Constructor and destructor for my structure will be rarely called: I don't mind about such overhead. I'm going to set the std::vector capacity to size I need (the size that would use for an std::array, thus won't take any overhead due to sporadic reallocation. I don't mind a little space overhead for std::vector's internal structure. I could use the ability to resize the vector (or better: to have a size chosen during setup), and I think there's no way to do this with std::array, since its size is a template parameter (that's too bad: I could do that even with an old C-like array, just dynamically allocating it on the heap). If std::vector is fine for my purpose I'd like to know into details if it will have some runtime overhead with respect to std::array (or to a plain C array): I know that it'll call the default constructor for any element once I increase its size (but I guess this won't cost anything if my data has got an empty default constructor?), same for destructor. Anything else?

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  • how do i implement / build / create an 'in memory database' for my unit test

    - by Michel
    Hi all, i've started unit testing a while ago and as turned out i did more regression testing than unit testing because i also included my database layer thus going to the database verytime. So, implemented Unity to inject a fake database layer, but i of course want to store some data, and the main opinion was: "create an in-memory database" But what is that / how do i implement that? Main question is: i think i have to fake the database layer, but doesn't that make me create a 'simple database' myself or: how can i keep it simple and not rebuilding Sql Server just for my unit tests :) At the end of this question i'll give an explanation of the situation i got in on the project i just started on, and i was wondering if this was the way to go. Michel Current situation i've seen at this client is that testdata is contained in XML files, and there is a 'fake' database layer that connects all the xml files together. For the real database we're using the entity framework, and this works very simple. And now, in the 'fake' layer, i have top create all kind of classes to load, save, persist etc. the data. It sounds weird that there is so much work in the fake layer, and so little in the real layer. I hope this all makes sense :)

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  • Error while linking libvorbisfile.dylib into Mac application

    - by computergeek6
    I'm working on a program that loads sounds from Ogg Vorbis files, but whatever I do, the XCode project just doesn't seem to want to link libvorbisfile.a into my program. I keep getting linking errors: "_ov_read", referenced from: GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o "_ov_clear", referenced from: GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o "_ov_info", referenced from: GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o "_ov_open", referenced from: GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o GSound::GSound(GWorld*, std::basic_string<char, std::char_traits<char>, std::allocator<char> >)in GSound.o ld: symbol(s) not found

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  • Carbon, LSUIElement, and showing a window

    - by James Turner
    I have a Carbon LSUIElement application, which runs in the background (possibly with an icon in the menubar, depending on a pref) and occasionally needs to show a dialog to the user - sometimes in response to a user event, but sometimes in response to a background task failing or similar. (I'm using Qt 4.5, so the application is Carbon based; With Qt 4.6 things will be Cocoa based, but it sounds as if the problem may exist there too). The problem is that when I open a window, and show it, it doesn't get brought to the front. I assume this is an artefect of being an LSUIElement app. Qt uses SelectWindow in Carbon, and [makeKeyAndOrderFront] in Cocoa, to bring a window (and the app) to the front. To work around the problem, I tried going direct to the window server: (the first few steps are to get the WindowID, this will be simpler with Qt-Cocoa, since I can use NSWindow:nativeWindow) WindowRef ref = HIViewGetWindow((HIViewRef) aWidget->winId()); CGSWindow wid = GetNativeWindowFromWindowRef(ref); CGSConnection cid =_CGSDefaultConnection(); CGSOrderWindow(cid, wid, 1 /* above everything */, 0 /* NULL */); This works, sort of - the window comes to the front, but it's not highlighted or keyboard focused. Are there additional steps to fix those issues, or is there a simpler solution to the whole problem?

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  • Why does a change of Session State provider lead to an ASPx page yielding garbage?

    - by Rory Becker
    I have an aspnet webapp which has worked very well up until now. I was recently asked to explore ways of making it scale better. I found that seperation of database and Webapp would help. Further I was told that if I changed my session providing mechanism to SQLServer, I would be able to duplicate the Web Stack to several machines which could each call back to the state server allowing the load to be distirbuted better. This sounds logical. So I created an ASPState database using ASPNet_RegSQL.exe as detailed in many locations across the web and changed the web.config on my app from: <sessionState mode="InProc" cookieless="false" timeout="20" /> To: <sessionState mode="SQLServer" sqlConnectionString="Server=SomeSQLServer;user=SomeUser;password=SomePassword" cookieless="false" timeout="20" /> Then I addressed my app, which presented me with its logon screen and I duly logged in. Once in I was presented, not with the page I was expecting, but with: I can change the sessionstate back and forth. This problem goes away and then comes back based on which set of configuration I use. Why is this happening?

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  • Weird MySQL behavior, seems like a SQL bug

    - by Daniel Magliola
    I'm getting a very strange behavior in MySQL, which looks like some kind of weird bug. I know it's common to blame the tried and tested tool for one's mistakes, but I've been going around this for a while. I have 2 tables, I, with 2797 records, and C, with 1429. C references I. I want to delete all records in I that are not used by C, so i'm doing: select * from i where id not in (select id_i from c); That returns 0 records, which, given the record counts in each table, is physically impossible. I'm also pretty sure that the query is right, since it's the same type of query i've been using for the last 2 hours to clean up other tables with orphaned records. To make things even weirder... select * from i where id in (select id_i from c); DOES work, and brings me the 1297 records that I do NOT want to delete. So, IN works, but NOT IN doesn't. Even worse: select * from i where id not in ( select i.id from i inner join c ON i.id = c.id_i ); That DOES work, although it should be equivalent to the first query (i'm just trying mad stuff at this point). Alas, I can't use this query to delete, because I'm using the same table i'm deleting from in the subquery. I'm assuming something in my database is corrupt at this point. In case it matters, these are all MyISAM tables without any foreign keys, whatsoever, and I've run the same queries in my dev machine and in the production server with the same result, so whatever corruption there might be survived a mysqldump / source cycle, which sounds awfully strange. Any ideas on what could be going wrong, or, even more importantly, how I can fix/work around this? Thanks! Daniel

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  • How to create a platform ontop of CSLA? <-- if in case it make sense

    - by Peejay
    Hi all! here is the senario, i'm developing an application using csla 3.8 / c#.net, the application will have different modules. its like an ERP, it will have accounting, daily time record, recruitment etc as modules. Now the requirement is to check for common entities per module and build a "platform" (<- the boss calls it that way) from it. for example, DTR will have an entity "employee", Recruitment will have "Applicant" so one common entity that you can derive from both that can be put in the platform is "Person". "Person" will contain typical info like name, address, contact info etc. I know it sounds like OOP 101. the thing is, i dont know how i am to go about it. how i wish it was just a simple inheritance but the requirement is like to create an API of some sort to be used by the modules using CSLA. in csla you create smart objects right, inheriting from the base classes of csla like businessListbase, readonlylistbase etc. right? what if for example i created a businessbase Applicant class, it will have properties like salary demand, availability date etc. now for the personal info i will need the "Person" from the "platform" and implement it to the applicant class. so in summary i have several questions: how to create such platform? if such platform is possible, how will it be implemented on each module's entities? (im already inheriting from base clases of csla) if incase 1 and 2 are possible, does it have advantages on development and maintenace of the app? the reason why i'm asking #3 is because the way i see it, even if i am able to create a platform for that, i will be needing to define properties of the platform entity on my module entities so to have validation and all. im sorry if i'm typing nonesense i'm really confused. hope someone could enlighten me. thank you all!

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