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  • How to get jQuery to find the first list-item, rather than all list-items?

    - by ricebowl
    I'm trying to implement a basic jQuery infinite carousel. As much for the learning process as for anything else (as a rule I'm not a fan of re-inventing wheels, but...I have to learn somehow, might as well start with the basics). I've managed to get the list to animate left happily enough, but I'm stuck when it comes to selecting the first element of the list. I've tried to use: $('ul#services > li:first'); $('ul#services > li:first-child'); $('ul#services > li').eq([0]); (xhtml below), In each case a console.log(first) (the var name used) returns all of the list-items. Am I doing something blatantly, and obviously, wrong? The eventual plan is to clone the first li, append it to the parent ul, remove the li from the list and allow the list to scroll infinitely. It's just a list of services rather than links so I'm not -at the moment- planning to have scroll or left/right functionality. Current xhtml: <div class="wrapper"> <ul id="services"> <!-- closing the `</li>` tags on the following line is to remove whitespace in the horizontal list, doesn't seem to make a difference to the jQuery from my own testing. --> <li>one</li ><li>two</li ><li>three</li ><li>four</li ><li>five</li ><li>six</li ><li>seven</li ><li>eight</li ><li>nine</li ><li>ten</li> </ul> </div>

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  • Get a unique data in a SQL query

    - by Jensen
    Hi, I've a database who contain some datas in that form: icon(name, size, tag) (myicon.png, 16, 'twitter') (myicon.png, 32, 'twitter') (myicon.png, 128, 'twitter') (myicon.png, 256, 'twitter') (anothericon.png, 32, 'facebook') (anothericon.png, 128, 'facebook') (anothericon.png, 256, 'facebook') So as you see it, the name field is not uniq I can have multiple icons with the same name and they are separated with the size field. Now in PHP I have a query that get ONE icon set, for example : $dbQueryIcons = mysql_query("SELECT * FROM pl_icon WHERE tag LIKE '%".$SEARCH_QUERY."%' GROUP BY name ORDER BY id DESC LIMIT ".$firstEntry.", ".$CONFIG['icon_per_page']."") or die(mysql_error()); With this example if $tag contain 'twitter' it will show ONLY the first SQL data entry with the tag 'twitter', so it will be : (myicon.png, 16, 'twitter') This is what I want, but I would prefer the '128' size by default. Is this possible to tell SQL to send me only the 128 size when existing and if not another size ? In an another question someone give me a solution with the GROUP BY but in this case that don't run because we have a GROUP BY name. And if I delete the GROUP BY, it show me all size of the same icons. Thanks !

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  • Many tables for many users?

    - by Seagull
    I am new to web programming, so excuse the ignorance... ;-) I have a web application that in many ways can be considered to be a multi-tenant environment. By this I mean that each user of the application gets their own 'custom' environment, with absolutely no interaction between those users. So far I have built the web application as a 'single user' environment. In other words, I haven't actually done anything to support multi-users, but only worked on the functionality I want from the app. Here is my problem... What's the best way to build a multi-user environment: All users point to the same 'core' backend. In other words, I build the logic to separate users via appropriate SQL queries (eg. select * from table where user='123' and attribute='456'). Each user points to a unique tablespace, which is built separately as they join the system. In this case I would simply generate ALL the relevant SQL tables per user, with some sort of suffix for the user. (eg. now a query would look like 'select * from table_ where attribute ='456'). In short, it's a difference between "select * from table where USER=" and "select * from table_USER".

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  • Can I create an activity for a particular task without that task coming to the foreground?

    - by Neil Traft
    Here's my use case: The app starts at a login screen. You enter your credentials and hit the "Login" button. Then a progress dialog appears and you wait for some stuff to download. Once the stuff has downloaded, you are taken to a new activity. Exactly which activity you are taken to depends on the server response. Here's my problem: If you go HOME during this login/download process, at some point in the near future your download will complete and will invoke startActivity(). So then the new activity will be pushed to the foreground, rudely interrupting the user. I can't start the activity before I start the download, because, as I mentioned earlier, the activity I start depends on the result of the download. I would obviously not like to interrupt the user like this. One way to solve this is to refrain from calling startActivity() until the user returns to the app. I can do this by keeping track of the LoginActivity's onStop() and onRestart(). But I'm wondering, is there any way to create the activity while it is in the background? That way the user returns to the app and he is ready to go... otherwise he would have to wait for the new activity to be created (which could take some time because the new activity also has to download and display some data). Update: Guess what? I LIED! I could have sworn that starting this activity was causing it to come to the foreground, but I went back to test it again and the problem has magically disappeared. I tested in both 1.6 and 2.0.1 and both OSes were smart enough not to bring a backgrounded task to the front.

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  • Cached data accessed by reference?

    - by arthurdent510
    I am running into an odd problem, and this is the only thing I can think of. I'm storing a list in cache, and I am randomly losing items from my list as users use the site. I have a class that is called that either goes to cache and returns the list from there, or if the cache is over a certain time frame old, it goes to the database and refreshes the cache. So when I pull the data from cache, this is what it looks like.... results = (List<Software>)cache["software"]; And then I return results and do some processing, filter for security, and eventually it winds up on the screen. For each Software record, there can be multiple resources attached to it, and based on how the security goes they may see some, all, or none of the records. So in the security check it will remove some of those resources from the software record. So my question is.... when I return my results list, is it a reference directly to the cache object? So when I remove a resource from the software object, it is really removing from cache as well? If that is the case, is there any way to not return it as a reference? Thanks!

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  • Looking for MSSQL Table Design Sanity Check for Profile Tables with Dynamic Columns.

    - by Code Sherpa
    I just want a general sanity check regarding database design. We are building a web system that has both Teachers and Students. Both have accounts in the system. Both have profiles in the system. My question is about the table design of those Profile tables. The Teacher profile is pretty static regarding the metadata associated with it. Each teacher has a set number of fields that exposes information about that individual (schools, degrees, etc). The students, however, are a different case. We are using a windows service to pull varying data about the students from an endless stream of excel spreadsheets. The data gets moved into our database and then the fields appear in association with the student's profile. Accordingly, each and every student may have very different fields in their profile. I originally started with the concept of three tables: Accounts ---------- AccountID TeacherProfiles ---------- TeacherProfileID AccountID SecondarySchool University YearsTeaching Etc... StudentProfiles ---------- StudentProfileID AccountID Header Value The StudentProfiles table would hold the name of the column headers from the excel spreadsheets and the associated values. I have since evolved the design a little to treat Profiles more generically per the attached ERD image. The Teacher and Student "Headers" are stored in a table called "ProfileAttributeTypes" and responses (either from the excel document or via input fields on the web form) are put in a ProfileAttributes table. This way both Student and Teacher profiles can be associated with a dynamic flow of profile fields. The "Permissions" table tells us whether we are dealing with a Student or a Teacher. Since this system is likely to grow quickly, I want to make sure the foundation is solid. Can you please provide feedback about this design and let me know if it seems sound or if you could see problems it might create and, if so, what might be a better approach? Thanks in advance.

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  • SharePoint Lists.asmx's UpdateListItems() returns too much data

    - by Philipp Schmid
    Is there a way to prevent the UpdateListItems() web service call in SharePoint's Lists.asmx endpoint from returning all of the fields of the newly created or updated list item? In our case an event handler attached to our custom list is adding some rather large field values which are turned to the client unnecessarily. Is there a way to tell it to only return the ID of the newly created (or updated) list item? For example, currently the web service returns something like this: <Results xmlns="http://schemas.microsoft.com/sharepoint/soap/"> <Result ID="1,Update"> <ErrorCode>0x00000000</ErrorCode> <z:row ows_ID="4" ows_Title="Title" ows_Modified="2003-06-19 20:31:21" ows_Created="2003-06-18 10:15:58" ows_Author="3;#User1_Display_Name" ows_Editor="7;#User2_Display_Name" ows_owshiddenversion="3" ows_Attachments="-1" ows__ModerationStatus="0" ows_LinkTitleNoMenu="Title" ows_LinkTitle="Title" ows_SelectTitle="4" ows_Order="400.000000000000" ows_GUID="{4962F024-BBA5-4A0B-9EC1-641B731ABFED}" ows_DateColumn="2003-09-04 00:00:00" ows_NumberColumn="791.00000000000000" xmlns:z="#RowsetSchema" /> </Result> ... </Results> where as I am looking for a trimmed response only containing for example the ows_ID attribute: <Results xmlns="http://schemas.microsoft.com/sharepoint/soap/"> <Result ID="1,Update"> <ErrorCode>0x00000000</ErrorCode> <z:row ows_ID="4" /> </Result> ... </Results> I have unsuccessfully looked for a resource that documents all of the valid attributes for both the <Batch> and <Method> tags in he updates XmlNode parameter of UpdateListItems() in the hope that I will find a way to specify the fields to return. A solution for WSS 3.0 would be preferable over an SP 2010-only solution.

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  • Render different view depending on the type of the data

    - by Miau
    Hi there So lets suppose we have an action in a controller that looks a bit like this: public ViewResult SomeAction(int id) { var data = _someService.GetData(id); ... //create new view model based on the data here return View(viewModel); } What I m trying to figure out is the best way to render a diferent view based on the type fo the data. the "_someService.GetData method returns an data that knows its out type (ie not only you can do typeof(data) but also you can do data.DataType and you ll get an enum value so I could achieve what I m trying to do doing something kinda like this public ViewResult SomeAction(int id) { var data = _someService.GetData(id); //I m mapping fields to the viewModel here var viewModel = GetViewModel(data); swtich(data.DataType) case DataType.TypeOne: return View("TypeOne", viewModel); break; ... } But this does not seem to be the nicest way, (I dont event know if it would work) Is this the way to go? Should I use some sort of RenderPartial Aproach? after all , waht will change in the view is mostly the order of the data (ie the rest of the view would be quite similar) Cheers

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  • Intelligent Merge of two Arrays (3-way-kindof)

    - by simon.oberhammer
    I have to Arrays, each represents a list of Stories. Two users can concurrently modify the order, add or remove Stories, and I want those changes merged. An example should make this clearer Orignial 1,2,3,4,5 UserA (mine) 3,1,2,4,5 (moved story 3 to start) UserB (theirs) 1,2,3,5,4 (moved story 5 forward) The result of the above should be Merge (result) 3,1,2,5,4 In case of conflicts, UserA should always win. I came pretty far with this simple approach. First i deleted whatever mine says i should deleted (that part of the code is not shown, it's trivial), then I iterate of mine, inserting and moving from theirs what is needed (mstories = mine, tstories = theirs): var offset = 0; for (var idx=0;idx<mstories.length;idx++) { var storyId = mstories[idx]; // new story in theirs if (mstories.indexOf(tstories[idx]) == -1) { mstories.splice(idx+1, 0, tstories[idx]); idx--; continue; } // new story in mine? if (tstories.indexOf(storyId) == -1) { tstories.splice(idx+offset, 0, storyId); offset += 1; // story moved } else if (tstories.indexOf(storyId) != idx + offset) { tstories.splice(tstories.indexOf(storyId), 1); tstories.splice(idx+offset, 0, storyId); } } It's close, but it gets confused when too many Stories are moved to the front / back with Stories in between, which the other User touched. I have an extended version which does checks on the original and is smarter - holding 2 offsets, etc - , but I feel like this is a problem that must have a) a name b) a perfect solution and i don't want to re-invent it.

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  • Set the amount of rows JList show (Java)

    - by Alex Cheng
    Hi all. Problem: I have a method that creates a list from the parsed ArrayList. I manage to show the list in the GUI, without scrollbar. However, I am having problem setting it to show only the size of ArrayList. Meaning, say if the size is 6, there should only be 6 rows in the shown List. Below is the code that I am using. I tried setting the visibleRowCount as below but it does not work. I tried printing out the result and it shows that the change is made. private void createSuggestionList(ArrayList<String> str) { int visibleRowCount = str.size(); System.out.println("visibleRowCount " + visibleRowCount); listForSuggestion = new JList(str.toArray()); listForSuggestion.setSelectionMode(ListSelectionModel.SINGLE_SELECTION); listForSuggestion.setSelectedIndex(0); listForSuggestion.setVisibleRowCount(visibleRowCount); System.out.println(listForSuggestion.getVisibleRowCount()); listScrollPane = new JScrollPane(listForSuggestion); MouseListener mouseListener = new MouseAdapter() { @Override public void mouseClicked(MouseEvent mouseEvent) { JList theList = (JList) mouseEvent.getSource(); if (mouseEvent.getClickCount() == 2) { int index = theList.locationToIndex(mouseEvent.getPoint()); if (index >= 0) { Object o = theList.getModel().getElementAt(index); System.out.println("Double-clicked on: " + o.toString()); } } } }; listForSuggestion.addMouseListener(mouseListener); textPane.add(listScrollPane); repaint(); } To summarize: I want the JList to show as many rows as the size of the parsed ArrayList, without a scrollbar. Any ideas? Please help. Thanks. Please let me know if a picture of the problem is needed in case I did not phrase my question correctly.

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  • Best way of showing more results with javascript/css

    - by Ricardo Neves
    I'm developing a website and i'm having troubles showing the search results to the user the way I want. Basically, after the user search, the page makes a couple of ajax requests and as soon as a response arrive it appends the info to a specific element on my page. Each results is shown as a line... The problem is that in most case there are going to be more than 1000 results and this would make the page have a large scroll. My idea was to show only the first 15 results and when the user clicks "show more" the element would expand and show the next 15 results and so on... This would be easier to do if the website wasn't responsive, but because it is I can't find the proper way of implementing what I want without lowering the website perfomance. I have "2 ideas": The first is by using something like #element .div:nth-child(-n+15) on my css and figure a way of changing the "15" to how much results I want to show... I don't know if this can be done. Is it possible to call css rules with parameters? Maybe with less css? The second option is probably a bad option if i don't want to lower the website performance. Using javascript I would check if there is a specific css class(like .show-15 .show30 .show45) and add that class to my element and if it don't exist, create it somehow.. Any help would be appreciated.

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  • Passing C++ object to C++ code through Python?

    - by cornail
    Hi all, I have written some physics simulation code in C++ and parsing the input text files is a bottleneck of it. As one of the input parameters, the user has to specify a math function which will be evaluated many times at run-time. The C++ code has some pre-defined function classes for this (they are actually quite complex on the math side) and some limited parsing capability but I am not satisfied with this construction at all. What I need is that both the algorithm and the function evaluation remain speedy, so it is advantageous to keep them both as compiled code (and preferrably, the math functions as C++ function objects). However I thought of glueing the whole simulation together with Python: the user could specify the input parameters in a Python script, while also implementing storage, visualization of the results (matplotlib) and GUI, too, in Python. I know that most of the time, exposing C++ classes can be done, e.g. with SWIG but I still have a question concerning the parsing of the user defined math function in Python: Is it possible to somehow to construct a C++ function object in Python and pass it to the C++ algorithm? E.g. when I call f = WrappedCPPGaussianFunctionClass(sigma=0.5) WrappedCPPAlgorithm(f) in Python, it would return a pointer to a C++ object which would then be passed to a C++ routine requiring such a pointer, or something similar... (don't ask me about memory management in this case, though :S) The point is that no callback should be made to Python code in the algorithm. Later I would like to extend this example to also do some simple expression parsing on the Python side, such as sum or product of functions, and return some compound, parse-tree like C++ object but let's stay at the basics for now. Sorry for the long post and thx for the suggestions in advance.

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  • Using list() to extract a data.table inside of a function

    - by Nathan VanHoudnos
    I must admit that the data.table J syntax confuses me. I am attempting to use list() to extract a subset of a data.table as a data.table object as described in Section 1.4 of the data.table FAQ, but I can't get this behavior to work inside of a function. An example: require(data.table) ## Setup some test data set.seed(1) test.data <- data.table( X = rnorm(10), Y = rnorm(10), Z = rnorm(10) ) setkey(test.data, X) ## Notice that I can subset the data table easily with literal names test.data[, list(X,Y)] ## X Y ## 1: -0.8356286 -0.62124058 ## 2: -0.8204684 -0.04493361 ## 3: -0.6264538 1.51178117 ## 4: -0.3053884 0.59390132 ## 5: 0.1836433 0.38984324 ## 6: 0.3295078 1.12493092 ## 7: 0.4874291 -0.01619026 ## 8: 0.5757814 0.82122120 ## 9: 0.7383247 0.94383621 ## 10: 1.5952808 -2.21469989 I can even write a function that will return a column of the data.table as a vector when passed the name of a column as a character vector: get.a.vector <- function( my.dt, my.column ) { ## Step 1: Convert my.column to an expression column.exp <- parse(text=my.column) ## Step 2: Return the vector return( my.dt[, eval(column.exp)] ) } get.a.vector( test.data, 'X') ## [1] -0.8356286 -0.8204684 -0.6264538 -0.3053884 0.1836433 0.3295078 ## [7] 0.4874291 0.5757814 0.7383247 1.5952808 But I cannot pull a similar trick for list(). The inline comments are the output from the interactive browser() session. get.a.dt <- function( my.dt, my.column ) { ## Step 1: Convert my.column to an expression column.exp <- parse(text=my.column) ## Step 2: Enter the browser to play around browser() ## Step 3: Verity that a literal X works: my.dt[, list(X)] ## << not shown >> ## Step 4: Attempt to evaluate the parsed experssion my.dt[, list( eval(column.exp)] ## Error in `rownames<-`(`*tmp*`, value = paste(format(rn, right = TRUE), (from data.table.example.R@1032mCJ#7) : ## length of 'dimnames' [1] not equal to array extent return( my.dt[, list(eval(column.exp))] ) } get.a.dt( test.data, "X" ) What am I missing? Update: Due to some confusion as to why I would want to do this I wanted to clarify. My use case is when I need to access a data.table column when when I generate the name. Something like this: set.seed(2) test.data[, X.1 := rnorm(10)] which.column <- 'X' new.column <- paste(which.column, '.1', sep="") get.a.dt( test.data, new.column ) Hopefully that helps.

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  • Best way to do one-to-many "JOIN" in CouchDB

    - by mit
    There are CouchDB documents that are list elements: { "type" : "el", "id" : "1", "content" : "first" } { "type" : "el", "id" : "2", "content" : "second" } { "type" : "el", "id" : "3", "content" : "third" } There is one document that defines the list: { "type" : "list", "elements" : ["2","1"] , "id" : "abc123" } As you can see the third element was deleted, it is no longer part of the list. So it must not be part of the result. Now I want a view that returns the content elements including the right order. The result could be: { "content" : ["second", "first"] } In this case the order of the elements is already as it should be. Another possible result: { "content" : [{"content" : "first", "order" : 2},{"content" : "second", "order" : 1}] } I started writing the map function: map = function (doc) { if (doc.type === 'el') { emit(doc.id, {"content" : doc.content}); //emit the id and the content exit; } if (doc.type === 'list') { for ( var i=0, l=doc.elements.length; i<l; ++i ){ emit(doc.elements[i], { "order" : i }); //emit the id and the order } } } This is as far as I can get. Can you correct my mistakes and write a reduce function? Remember that the third document must not be part of the result. Of course you can write a different map function also. But the structure of the documents (one definig element document and an entry document for each entry) cannot be changed.

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  • Constant isolate of hovered elements

    - by nailer
    I'm trying to make an element isolation tool, where: All elements are shaded Selected elements, while hovered, are not shaded Originally, looking at the image lightbox implementations, I thought of appending an overlay to the document, then raising the z-index of elements upon hover. However this technique does not work in this case, as the overlay blocks additional mouse hovers: $(function() { window.alert('started'); $('<div id="overlay" />').hide().appendTo('body').fadeIn('slow'); $("p").hover( function () { $(this).css( {"z-index":5} ); }, function () { $(this).css( {"z-index":0} ); } ); Alternatively, JQueryTools has an 'expose' and 'mask' tool, which I have tried with the code below: $(function() { $("a").click(function() { alert("Hello world!"); }); // Mask whole page $(document).mask("#222"); // Mask and expose on however / unhover $("p").hover( function () { $(this).expose(); }, function () { $(this).mask(); } ); }); Hovering does not work unless I disable the initial page masking. Any thoughts of how best to achieve this, with plain JQuery, JQuery tools expose, or some other technique? Thankyou!

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  • Very Urgent :How to start a new session if a user click on the new tab in IE or mozilla on websphere

    - by ha22109
    Hi, I have one "user search" portlet on the home page of one application running on websphere portal server.Which display the matching user records as per the search criteria filled in the search form.I have requirement to have a "back to search input" link on the results page which onclick should show the filled form on the input jsp. The issue which i am facing is if i open the application in two diff tab of same IE browser and start giving some search criteria and submit and same time search for some other input from other IE tab (in the same browser)and then go back to previous tab and click on "back to search input" link then instead of showing me the first input it will show me the imput which i entered in the next IE tab. I am setting and getting the bean(form bean) through portlet session.but in the two diff tab of same IE it will be the sae user session (and may be the same portlet session..) Please tell me solution for this. The one thing to be notice here is i can access this "user search" application even without doing login also.so it must be taking the default portlet session in this case. what wil happen once i login and then search,will it going to overwrite the portlet session and http session or howz is that?

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  • throwing exception from APCProc crashes program

    - by lazy_banana
    I started to do some research on how terminate a multithreaded application properly and I found those 2 post(first, second) about how to use QueueUserAPC to signal other threads to terminate. I thought I should give it a try, and the application keeps crashing when I throw the exception from the APCProc. Code: #include <stdio.h> #include <windows.h> class ExitException { public: char *desc; DWORD exit_code; ExitException(char *desc,int exit_code): desc(desc), exit_code(exit_code) {} }; //I use this class to check if objects are deconstructed upon termination class Test { public: char *s; Test(char *s): s(s) { printf("%s ctor\n",s); } ~Test() { printf("%s dctor\n",s); } }; DWORD CALLBACK ThreadProc(void *useless) { try { Test t("thread_test"); SleepEx(INFINITE,true); return 0; } catch (ExitException &e) { printf("Thread exits\n%s %lu",e.desc,e.exit_code); return e.exit_code; } } void CALLBACK exit_apc_proc(ULONG_PTR param) { puts("In APCProc"); ExitException e("Application exit signal!",1); throw e; return; } int main() { HANDLE thread=CreateThread(NULL,0,ThreadProc,NULL,0,NULL); Sleep(1000); QueueUserAPC(exit_apc_proc,thread,0); WaitForSingleObject(thread,INFINITE); puts("main: bye"); return 0; } My question is why does this happen? I use mingw for compilation and my OS is 64bit. Can this be the reason?I read that you shouldn't call QueueApcProc from a 32bit app for a thread which runs in a 64bit process or vice versa, but this shouldn't be the case.

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  • How can multiple variables be passed to a function cleanly in C?

    - by aquanar
    I am working on an embedded system that has different output capabilities (digital out, serial, analog, etc). I am trying to figure out a clean way to pass many of the variables that will control those functions. I don't need to pass ALL of them too often, but I was hoping to have a function that would read the input data (in this case from a TCP network), and then parse the data (IE, the 3rd byte contains the states of 8 of the digital outputs (according to which bit in that byte is high or low)), and put that into a variable where I can then use elsewhere in the program. I wanted that function to be separate from the main() function, but to do so would require passing pointers to some 20 or so variables that it would be writing to. I know I could make the variables global, but I am trying to make it easier to debug by making it obvious when a function is allowed to edit that variable, by passing it to the function. My best idea was a struct, and just pass a pointer to it, but wasn't sure if there was a more efficient way, especially since there is only really 1 function that would need to access all of them at once, while most others only require parts of the information that will be stored in this bunch of state variables. So anyway, is there a clean way to send many variables between functions at once that need to be edited?

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  • Building a J2EE dev/test setup on a single PC

    - by John
    It's been a while since I did Java work, and even then I was never responsible for starting a large project from the very start... there were test/staging/production systems already running, etc, etc. Now I am looking to start a J2EE project from scratch on my trusty workstation, which has never been used for Java development and runs Windows 7 64bit. First of all, I'll be getting Eclipse. As far as writing the code goes I'm pretty happy. And running it through Eclipse is OK, but what I'd really want is to have a VM running MySQL and TomCat on which I can properly deploy my project and run/debug it 'remotely' from my dev PC. And I guess this should be done using Ant instead of letting Eclipse build the WAR for me, so that I don't end up with a dependence on Eclipse. I'm certain Eclipse can do this, so you hit a button and it runs Ant scripts, deploys and debugs for instance, but very hazy on it. Are there any good guides on this? I don't want to be taught Java, or even Ant, but rather the 'glue' parts like getting my test VM up and running under Windows, getting a build/test/deploy/run pipeline running through Eclipse, etc. One point, I only plan to use Windows... hosting a Windows VM on my Windwos desktop. And while I can use command-line tools like ant/svn, I'm much more a GUI person who loves IDE integration... I'd rather this didn't end up an argument about Linux or Vi, etc! I am looking for free, but am a MAPS subscriber, and run Win7 Ultimate in case that makes a difference as far as free VM solutions.

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  • Generating python wrapper for 3ed party c++ dll using swig with

    - by MuraliK
    I am new bee to swig. I have a third party c++ dll with the following functions export. I want to call these dll functions in python. So thought of using swig to generate the wrapper using swig. I am not sure what sort of wrapper i need to generate (do i need to generate .lib or .dll to use it in python?). In case i need to generate .dll how do i do that using visual studio 2010. There are some call back function like SetNotifyHandler(void (__stdcall * nf)(int wp, void *lp)) in the bellow list. How do define such function in interface file. can someone help me plese? enter code here #ifndef DLL_H #define DLL_H #ifdef DLL_BUILD #define DLLFUNC __declspec(dllexport) #else #define DLLFUNC __declspec(dllimport) #endif #pragma pack(push) #pragma pack(1) #pragma pack(pop) extern "C" { DLLFUNC int __stdcall StartServer(void); DLLFUNC int __stdcall GetConnectionInfo(int connIndex, Info *buf); DLLFUNC void __stdcall SetNotifyWindow(HWND nw); DLLFUNC void __stdcall SetNotifyHandler(void (__stdcall * nf)(int wp, void *lp)); DLLFUNC int __stdcall SendCommand(int connIndex, Command *cmd); };

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  • Manual Linq to SQL entity framework mapping

    - by kprobst
    I've been playing with the O/R designer in VS and I was wondering if someone could shed come light on this. I'm used to OR mappers that are largely manual (homegrown and e.g., NHibernate). I don't mind encoding the entity classes myself, since they don't change all that often to begin with, and I have this irrational fear of designers and auto generated code as it is. I have noticed that the generated entity classes contain a lot of boilerplate extensibility methods, e.g. On[Property]Changed() and so on where [Property] is a mapped member of the class. These are placed in the setters of the property accessors. I assume it's OK if I don't include these when I do my hand coding, correct? They would be nice if I needed some sort of interception pattern but that's certainly not the case. I guess I just need to know if any of those methods are required by the entity framework to keep track of changes to the mapping types in order for things to work when updating the database. Thanks!

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  • What's the deal with the hidden Throw when catching a ThreadAbortException?

    - by priehl
    I'm going through a book of general c# development, and I've come to the thread abort section. The book says something along the lines that when you call Thread.Abort() on another thread, that thread will throw a ThreadAbortException, and even if you tried to supress it it would automatically rethrow it, unless you did some bs that's generally frowned upon. Here's the simple example offered. using System; using System.Threading; public class EntryPoint { private static void ThreadFunc() { ulong counter = 0; while (true) { try { Console.WriteLine("{0}", counter++); } catch (ThreadAbortException) { // Attempt to swallow the exception and continue. Console.WriteLine("Abort!"); } } } static void Main() { try { Thread newThread = new Thread(new ThreadStart(EntryPoint.ThreadFunc)); newThread.Start(); Thread.Sleep(2000); // Abort the thread. newThread.Abort(); // Wait for thread to finish. newThread.Join(); } catch (Exception e) { Console.WriteLine(e.ToString()); } } } The book says: When your thread finishes processing the abort exception, the runtime implicitly rethrows it at the end of your exception handler. It’s the same as if you had rethrown the exception yourself. Therefore, any outer exception handlers or finally blocks will still execute normally. In the example, the call to Join won’t be waiting forever as initially expected. So i wrapped a try catch around the Thread.Abort() call and set a break point, expecting it to hit this, considering the text says "any outer exception handlers or finally blocks will still execute normally". BUT IT DOES NOT. I'm racking my brain to figure out why. Anyone have any thoughts on why this isn't the case? Is the book wrong? Thanks in advance.

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  • A MongoDB find() that matches when all $and conditions match the same sub-document?

    - by MichaelOryl
    If I have a set of MongoDB documents like the following, what can I do to get a find() result that only returns the families who have 2 pets who all like liver? Here is what I expected to work: db.delegation.find({pets:2, $and: [{'foods.liver': true}, {'foods.allLike': true}] }) Here is the document collection: { "_id" : ObjectId("5384888e380efca06276cf5e"), "family": "smiths", "pets": 2, "foods" : [ { "name" : "chicken", "allLike" : true, }, { "name" : "liver", "allLike" : false, } ] }, { "_id" : ObjectId("4384888e380efca06276cf50"), "family": "jones", "pets": 2, "foods" : [ { "name" : "chicken", "allLike" : true, }, { "name" : "liver", "allLike" : true, } ] } What I end up getting is both families because they both have at least one food marked as true for allLike. It seems that the two conditions in the $and are true if any foods sub-document matches, but what I want is the two conditions to match for the conditions as a pair. As is, I get the Jones family back (as I want) but also Smith (which I don't). Smith gets returned because the chicken sub-doc has allLike set to true and the liver sub-doc has a name of 'liver'. The conditions are matching across separate foods sub-docs. I want them to match as a pair on a foods document. This code is not the real use case, obviously. I have one, but I've simplified it to protect the innocent...

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  • Pick up relevant information from a string using regular expression C#3.0

    - by Newbie
    Hi, I have a situation. I have been given some file name which can be like <filename>YYYYMMDD<fileextension> some valid file names that will satisfy the above pattern are as under xxx20100326.xls, xxx2v20100326.csv, x_20100326.xls, xy2z_abc_20100326_xyz.csv, abc.xyz.20100326.doc, ab2.v.20100326.doc, abc.v.20100326_xyz.xls In what ever be the above defined case, I need to pick up the dates only. So for all the cases, the output will be 20100326. I am trying to achieve the same but no luck. Here is what I have done so far string testdata = "x2v20100326.csv"; string strYYYY = @"\d{4}"; string strMM = @"(1[0-2]|0[1-9])"; string strDD = @"(3[0-1]|[1-2][0-9]|0[1-9])"; string regExPattern = @"\A" + strYYYY + strMM + strDD + @"\Z"; Regex regex = new Regex(regExPattern); Match match = regex.Match(testdata); if (match.Success) { string result = match.Groups[0].Value; } I am using c#3.0 and dotnet framework 3.5 Please help. It is very urgent Thanks in advance.

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  • Python lists/arrays: disable negative indexing wrap-around

    - by wim
    While I find the negative number wraparound (i.e. A[-2] indexing the second-to-last element) extremely useful in many cases, there are often use cases I come across where it is more of an annoyance than helpful, and I find myself wishing for an alternate syntax to use when I would rather disable that particular behaviour. Here is a canned 2D example below, but I have had the same peeve a few times with other data structures and in other numbers of dimensions. import numpy as np A = np.random.randint(0, 2, (5, 10)) def foo(i, j, r=2): '''sum of neighbours within r steps of A[i,j]''' return A[i-r:i+r+1, j-r:j+r+1].sum() In the slice above I would rather that any negative number to the slice would be treated the same as None is, rather than wrapping to the other end of the array. Because of the wrapping, the otherwise nice implementation above gives incorrect results at boundary conditions and requires some sort of patch like: def ugly_foo(i, j, r=2): def thing(n): return None if n < 0 else n return A[thing(i-r):i+r+1, thing(j-r):j+r+1].sum() I have also tried zero-padding the array or list, but it is still inelegant (requires adjusting the lookup locations indices accordingly) and inefficient (requires copying the array). Am I missing some standard trick or elegant solution for slicing like this? I noticed that python and numpy already handle the case where you specify too large a number nicely - that is, if the index is greater than the shape of the array it behaves the same as if it were None.

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