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  • Creating colour schemes based on an existing scheme

    - by Neil Barnwell
    I have a colour scheme based around yellow, for warning messages on a website. It amounts to a slightly orange bordered box, with a pale yellow fill. The exact colours are: #FED626 (border) #FFF7C0 (fill) I want to know if it's possible to convert this scheme mathematically or algorithmically somehow, to come up with a blue version where the border is the "same amount" of blue as this one is yellow. Is this possible, or do I just "pin the tail on the donkey" on a colour pallet to get roughly the right one? I ask, because I'd quite like to be able to calculate this on the fly, to perhaps implement something in .less. To give you an idea, I tried swopping the red and blue values on those two, and came up with this: #26D6FE (border) #C0F7FF (fill) That wasn't too hard, but think about if I wanted a pink colour scheme... :)

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  • Concurency problem with Isolation - read-committed

    - by Ratn Deo--Dev
    I have to write a simple demo for amount withdrawl from a joint Bank amount .Andy and Jen holds a joint bank account with number 123 . Suppose they have 100$ in their account .Jen and Andy are operating their account at the same time and both are trying to withdraw 90$ at the time being .My transaction Isolation is set to read-committed and both are able to withdraw money leaving the balance to -(minus)80$ although I have constraint that balance should never be less than 0. I am using hibernate .Is versioning only way to solve this problem or I should go for another Isolation level ?

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  • Designing a state machine in C++

    - by skyeagle
    I have a little problem that involves modelling a state machine. I have managed to do a little bit of knowledge engineering and 'reverse engineer' a set of primitive deterministic rules that determine state as well as state transitions. I would like to know what the best practises are regarding: How to rigorously test my states and state transitions to make sure that the system cannot end up in an undeetermined state. How to enforce state transition requirements (for example, it should be impossible to go directly from stateFoo to StateFooBar, i.e. to embue each state with 'knowlege' about the states it can transition to. Ideally, I would like to use clean, pattern based design, with templates wherever possible. I do need somewhere to start though and I would be grateful for any pointers (no pun intended), that are sent my way.

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  • abstract method signature, inheritance, and "Do" naming convention

    - by T. Webster
    I'm learning about design patterns and in examples of code I've seen a convention where the abstract class declares a method, for example: public abstract class ServiceBase { ... public virtual object GetSomething(); and then protected abstract object DoGetSomething(); My question is on why these two methods exist, since they appear to serve the same purpose. Is this so that the base class GetSomething() method logic cannot be overridden by inherited classes? But then again, the method is marked virtual, so it can be overridden anyway. What is the usefulness here in requiring derived class implementers to implement the abstract method when the virtual method can be called anyway?

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  • overflow-x AND Middle Mouse Button Moving

    - by Rad The Mad
    My Page is 980px in Width, but I have a few design elements (which belong with the background). I positioned them with position: absolute;. This creates a horizontal scrollbar for those who have a =< 1024 resolution. I disabled that scrollbar with overflow-x:hidden on (and for IE7 and etc). However, when I hold my middle mouse button,(i think this applies to laptop touchpads as well) it let's me move around to the right, is it possible to fix this with anything? (javascript, css)? Tested this issues in Chrome, IE, Firefox.

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  • What patterns exist for web application development?

    - by DaveDev
    I understand that MVC & MVP are design patterns that are commonly used for web development, as well as ASP.NET WebForms (more of an anti-pattern, really!). What other patterns are used in web application development? I'm not necessarily saying I want to learn/use new patterns just to be different - I do believe there's a lot of value in taking the conventional route - but I think it's good to know what else is out there to be able to properly understand what I'm currently working with. Thanks.

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  • How to apply Abstract Factory Pattern ???

    - by Amit
    I am new to Design Pattern and I have a scenario here... and not sure as how to implement the pattern ... We have multiple vendors Philips, Onida... Each vendor (philips, onida...) may have different type of product i.e. Plasma or Normal TV I want specific product of each vendor using Abstract Factory Pattern... Thanks in advance for any help... My implementation so far... public enum TvType { Samsung = 0,LG = 1,Philips = 2, Sony = 3 } public enum Product { Plasma = 0,NormalTV = 1 } concrete class of each vendor.... that returns each product and also the interface that contains ProductInfo i.e. if Vendor is ... then it must have this product....

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  • How to implement "drag n drop" user interface on website?

    - by Nikkeloodeni
    Hello, I was wondering what would be the best way to implement some kind of "drag n drop" user interface? What i mean is that there would be one main page and every link click (eg. other sections like about, gallery, contact form) would open a new drag n drop element on top of that main page. Something like windows desktop where you can move your application windows around the screen. Would it be best to call different functions with AJAX when a link is clicked? Like "gallery" link would call gallery-function and retrieve dynamically generated contents of that "window" with AJAX call and then just load that stuff on some div? Or would some other type of approach suit better for this? I hope I was able to explain this clearly enough. I'm looking for a proper "design pattern" to implement this. All suggestions are wellcome! :)

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  • Find recipes that can be cooked from provided ingridients

    - by skaurus
    Sorry for bad English :( Suppose i can preliminary organize recipes and ingredients data in any way. How can i effectively conduct search of recipes by user-provided ingredients, preferably sorted by max match - so, first going recipes that use maximum of provided ingridients and do not contain any other ingrs, after them recipes that uses less of provided set and still not any other ingrs, after them recipes with minimum additional requirements and so on? All i can think about is represent recipe ingridients like bitmasks, and compare required bitmask with all recipes, but it is obviously a bad way to go. And related things like Levenstein distance i don't see how to use here. I believe it should be quite common task...

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  • How to program a connection pool?

    - by the_drow
    Is there a known algorithm for implementing a connection pool? If not what are the known algorithms and what are their trade-offs? What design patterns are common when designing and programming a connection pool? Are there any code examples implement a connection pool using boost.asio? Is it a good idea to use a connection pool for presisting connections (not http)? How is threading related to connection pooling? When do you need a new thread?

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  • Many-to-many relationship in oop

    - by Manu
    what is best way to model many-to-many relationship? lets say we have a two classes , Team and Player any given Player can be in multiple Team s any Team can have as many Player s as they like I like to call methods like playerX.getTeamList() to get the list of all the Team s he/she is in teamY.getPlayerList() to get the list of all the Player s in the team (or have some other way to do this effectively) I can think of two ways of doing this , but they just don't feels like good oop pattens. can you think of any good ways , perhaps a design patten ?

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  • Should I share UI for objects that use common fields?

    - by wb
    I have a parent class that holds all of the fields that are common between all device types. From that, I have a few derived classes that each hold their unique fields. Say I have device type "Switch" and "Transformer". Both derived classes only have 2-3 of their own unique fields. When doing the UI design (windows forms) in this case. Should I create two separate forms for each device type or create a user control with all fields that are shared among all devices? Thank you.

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  • how to update child records when updating the Master table using Linq [closed]

    - by user20358
    I currently use a general repositry class that can update only a single table like so public abstract class MyRepository<T> : IRepository<T> where T : class { protected IObjectSet<T> _objectSet; protected ObjectContext _context; public MyRepository(ObjectContext Context) { _objectSet = Context.CreateObjectSet<T>(); _context = Context; } public IQueryable<T> GetAll() { return _objectSet.AsQueryable(); } public IQueryable<T> Find(Expression<Func<T, bool>> filter) { return _objectSet.Where(filter); } public void Add(T entity) { _objectSet.AddObject(entity); _context.ObjectStateManager.ChangeObjectState(entity, System.Data.EntityState.Added); _context.SaveChanges(); } public void Update(T entity) { _context.ObjectStateManager.ChangeObjectState(entity, System.Data.EntityState.Modified); _context.SaveChanges(); } public void Delete(T entity) { _objectSet.Attach(entity); _context.ObjectStateManager.ChangeObjectState(entity, System.Data.EntityState.Deleted); _objectSet.DeleteObject(entity); _context.SaveChanges(); } } For every table class generated by my EDMX designer I create another class like this public class CustomerRepo : MyRepository<Customer> { public CustomerRepo (ObjectContext context) : base(context) { } } for any updates that I need to make to a particular table I do this: Customer CustomerObj = new Customer(); CustomerObj.Prop1 = ... CustomerObj.Prop2 = ... CustomerObj.Prop3 = ... CustomerRepo.Update(CustomerObj); This works perfectly well when I am updating just to the specific table called Customer. Now if I need to also update each row of another table which is a child of Customer called Orders what changes do I need to make to the class MyRepository. Orders table will have multiple records for a Customer record and multiple fields too, say for example Field1, Field2, Field3. So my questions are: 1.) If I only need to update Field1 of the Orders table for some rows based on a condition and Field2 for some other rows based on a different condition then what changes I need to do? 2.) If there is no such condition and all child rows need to be updated with the same value for all rows then what changes do I need to do? Thanks for taking the time. Look forward to your inputs...

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  • Getting a Temporary Table Returned from from Dynamic SQL in SQL Server 05, and parsing

    - by gloomy.penguin
    So I was requested to make a few things.... (it is Monday morning and for some reason this whole thing is turning out to be really hard for me to explain so I am just going to try and post a lot of my code; sorry) First, I needed a table: CREATE TABLE TICKET_INFORMATION ( TICKET_INFO_ID INT IDENTITY(1,1) NOT NULL, TICKET_TYPE INT, TARGET_ID INT, TARGET_NAME VARCHAR(100), INFORMATION VARCHAR(MAX), TIME_STAMP DATETIME DEFAULT GETUTCDATE() ) -- insert this row for testing... INSERT INTO TICKET_INFORMATION (TICKET_TYPE, TARGET_ID, TARGET_NAME, INFORMATION) VALUES (1,1,'RT_ID','IF_ID,int=1&IF_ID,int=2&OTHER,varchar(10)=val,ue3&OTHER,varchar(10)=val,ue4') The Information column holds data that needs to be parsed into a table. This is where I am having problems. In the resulting table, Target_Name needs to become a column that holds Target_ID as a value for each row in the resulting table. The string that needs to be parsed is in this format: @var_name1,@var_datatype1=@var_value1&@var_name2,@var_datatype2=@var_value2&@var_name3,@var_datatype3=@var_value3 And what I ultimately need as a result (in a table or table variable): RT_ID IF_ID OTHER 1 1 val,ue3 1 2 val,ue3 1 1 val,ue4 1 2 val,ue4 And I need to be able to join on the result. Initially, I was just going to make this a function that returns a table variable but for some reason I can't figure out how to get it into an actual table variable. Whatever parses the string needs to be able to be used directly in queries so I don't think a stored procedure is really the right thing to be using. This is the code that parses the Information string... it returns in a temporary table. -- create/empty temp table for var_name, var_type and var_value fields if OBJECT_ID('tempdb..#temp') is not null drop table #temp create table #temp (row int identity(1,1), var_name varchar(max), var_type varchar(30), var_value varchar(max)) -- just setting stuff up declare @target_name varchar(max), @target_id varchar(max), @info varchar(max) set @target_name = (select target_name from ticket_information where ticket_info_id = 1) set @target_id = (select target_id from ticket_information where ticket_info_id = 1) set @info = (select information from ticket_information where ticket_info_id = 1) --print @info -- some of these variables are re-used later declare @col_type varchar(20), @query varchar(max), @select as varchar(max) set @query = 'select ' + @target_id + ' as ' + @target_name + ' into #target; ' set @select = 'select * into ##global_temp from #target' declare @var_name varchar(100), @var_type varchar(100), @var_value varchar(100) declare @comma_pos int, @equal_pos int, @amp_pos int set @comma_pos = 1 set @equal_pos = 1 set @amp_pos = 0 -- while loop to parse the string into a table while @amp_pos < len(@info) begin -- get new comma position set @comma_pos = charindex(',',@info,@amp_pos+1) -- get new equal position set @equal_pos = charindex('=',@info,@amp_pos+1) -- set stuff that is going into the table set @var_name = substring(@info,@amp_pos+1,@comma_pos-@amp_pos-1) set @var_type = substring(@info,@comma_pos+1,@equal_pos-@comma_pos-1) -- get new ampersand position set @amp_pos = charindex('&',@info,@amp_pos+1) if @amp_pos=0 or @amp_pos<@equal_pos set @amp_pos = len(@info)+1 -- set last variable for insert into table set @var_value = substring(@info,@equal_pos+1,@amp_pos-@equal_pos-1) -- put stuff into the temp table insert into #temp (var_name, var_type, var_value) values (@var_name, @var_type, @var_value) -- is this a new field? if ((select count(*) from #temp where var_name = (@var_name)) = 1) begin set @query = @query + ' create table #' + @var_name + '_temp (' + @var_name + ' ' + @var_type + '); ' set @select = @select + ', #' + @var_name + '_temp ' end set @query = @query + ' insert into #' + @var_name + '_temp values (''' + @var_value + '''); ' end if OBJECT_ID('tempdb..##global_temp') is not null drop table ##global_temp exec (@query + @select) --select @query --select @select select * from ##global_temp Okay. So, the result I want and need is now in ##global_temp. How do I put all of that into something that can be returned from a function (or something)? Or can I get something more useful returned from the exec statement? In the end, the results of the parsed string need to be in a table that can be joined on and used... Ideally this would have been a view but I guess it can't with all the processing that needs to be done on that information string. Ideas? Thanks!

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  • LaTeX table too wide. How to make it fit?

    - by Erik B
    I just started to learn latex and now I'm trying to create a table. This is my code: \begin{table} \caption{Top Scorers} \begin{tabular}{ l l } \hline \bf Goals & \bf Players\\ \hline 4 & First Last, First Last, First Last, First Last\\ 3 & First Last\\ 2 & First Last\\ 1 & First Last, First Last, First Last, First Last, First Last, First Last, First Last, First Last, First Last, First Last, First Last, First Last, First Last\\ \hline \end{tabular} \end{table} The problem is that the table is wider than the page. I was hoping that it would automatically fit to the page like normal text does, but it didn't. How do I tell latex to make the table fit to the page?

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  • How to make a table, which is wider than screen size, scrollable?

    - by understack
    I've a table with 2 columns and each column is 800px wide. I want to show this table in 800x50 window. So there should be horizontal and vertical scrollbar to view complete table. While I've found few related solutions (this and this) on SO, they only work if table width is smaller than screen size. In my case screen size is 1200px and total table width is 1600px. How could I do this? i want to achieve something like this.

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  • How to make last line of each table's part unfinished in latex longtable?

    - by diver_ru
    I have a table that automatically stretched over several pages by longtable package. \begin{longtable}{| l | l |} \hline A & B \\ \hline \endfirsthead \multicolumn{3}{l}{Table \thetable{} -- finishing} \\ \hline \endhead a1 & b1 \\ \hline a1 & b2 \\ hline ........ \end{longtable} Suppose that table broken (automatically) between first and second lines. Now i have this: ------- |A | B| ------- |a1|b1| ------- <page break> Table 1 -- finishing. ------- |a2|b2| ------- I want the following effect: ------- |A | B| ------- |a1|b1| <page break> Table 1 -- finishing. ------- |a2|b2| ------- I.e. last line of broken part should be unfinished.

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  • Inheritance in tables - structure problem

    - by Naor
    I have 3 types of users in my system. each type has different information I created the following tables: BaseUser(base_user_id, username, password, additional common data) base_user_id is PK and Identity UserType1(user_id, data related to type1 only) user_id is PK and FK to base_user_id UserType2(user_id, data related to type2 only) user_id is PK and FK to base_user_id UserType3(user_id, data related to type3 only) user_id is PK and FK to base_user_id Now I have relation from each type of user to warehouses table. Users from type1 and type2 should have only warehouse_id and users from type3 should have warehouse_id and customer_id. I thought about this structure: WarehouseOfUser(base_user_id,warehouse_id) base_user_id is FK to base_user_id in BaseUser WarehouseOfTyp3User(base_user_id,warehouse_id, customer_id) base_user_id is FK to base_user_id in BaseUser The problem is that such structure allows 2 things I want to prevent: 1. add to WarehouseOfTyp3User data of user from type2 or type1. 2. add to WarehouseOfUser data of user from type3. what is the best structure for such case?

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  • Breaking 1NF to model subset constraints. Does this sound sane?

    - by Chris Travers
    My first question here. Appologize if it is in the wrong forum but this seems pretty conceptual. I am looking at doing something that goes against conventional wisdom and want to get some feedback as to whether this is totally insane or will result in problems, so critique away! I am on PostgreSQL 9.1 but may be moving to 9.2 for this part of this project. To re-iterate: Does it seem sane to break 1NF in this way? I am not looking for debugging code so much as where people see problems that this might lead. The Problem In double entry accounting, financial transactions are journal entries with an arbitrary number of lines. Each line has either a left value (debit) or a right value (credit) which can be modelled as a single value with negatives as debits and positives as credits or vice versa. The sum of all debits and credits must equal zero (so if we go with a single amount field, sum(amount) must equal zero for each financial journal entry). SQL-based databases, pretty much required for this sort of work, have no way to express this sort of constraint natively and so any approach to enforcing it in the database seems rather complex. The Write Model The journal entries are append only. There is a possibility we will add a delete model but it will be subject to a different set of restrictions and so is not applicable here. If and when we allow deletes, we will probably do them using a simple ON DELETE CASCADE designation on the foreign key, and require that deletes go through a dedicated stored procedure which can enforce the other constraints. So inserts and selects have to be accommodated but updates and deletes do not for this task. My Proposed Solution My proposed solution is to break first normal form and model constraints on arrays of tuples, with a trigger that breaks the rows out into another table. CREATE TABLE journal_line ( entry_id bigserial primary key, account_id int not null references account(id), journal_entry_id bigint not null, -- adding references later amount numeric not null ); I would then add "table methods" to extract debits and credits for reporting purposes: CREATE OR REPLACE FUNCTION debits(journal_line) RETURNS numeric LANGUAGE sql IMMUTABLE AS $$ SELECT CASE WHEN $1.amount < 0 THEN $1.amount * -1 ELSE NULL END; $$; CREATE OR REPLACE FUNCTION credits(journal_line) RETURNS numeric LANGUAGE sql IMMUTABLE AS $$ SELECT CASE WHEN $1.amount > 0 THEN $1.amount ELSE NULL END; $$; Then the journal entry table (simplified for this example): CREATE TABLE journal_entry ( entry_id bigserial primary key, -- no natural keys :-( journal_id int not null references journal(id), date_posted date not null, reference text not null, description text not null, journal_lines journal_line[] not null ); Then a table method and and check constraints: CREATE OR REPLACE FUNCTION running_total(journal_entry) returns numeric language sql immutable as $$ SELECT sum(amount) FROM unnest($1.journal_lines); $$; ALTER TABLE journal_entry ADD CONSTRAINT CHECK (((journal_entry.running_total) = 0)); ALTER TABLE journal_line ADD FOREIGN KEY journal_entry_id REFERENCES journal_entry(entry_id); And finally we'd have a breakout trigger: CREATE OR REPLACE FUNCTION je_breakout() RETURNS TRIGGER LANGUAGE PLPGSQL AS $$ BEGIN IF TG_OP = 'INSERT' THEN INSERT INTO journal_line (journal_entry_id, account_id, amount) SELECT NEW.id, account_id, amount FROM unnest(NEW.journal_lines); RETURN NEW; ELSE RAISE EXCEPTION 'Operation Not Allowed'; END IF; END; $$; And finally CREATE TRIGGER AFTER INSERT OR UPDATE OR DELETE ON journal_entry FOR EACH ROW EXECUTE_PROCEDURE je_breaout(); Of course the example above is simplified. There will be a status table that will track approval status allowing for separation of duties, etc. However the goal here is to prevent unbalanced transactions. Any feedback? Does this sound entirely insane? Standard Solutions? In getting to this point I have to say I have looked at four different current ERP solutions to this problems: Represent every line item as a debit and a credit against different accounts. Use of foreign keys against the line item table to enforce an eventual running total of 0 Use of constraint triggers in PostgreSQL Forcing all validation here solely through the app logic. My concerns are that #1 is pretty limiting and very hard to audit internally. It's not programmer transparent and so it strikes me as being difficult to work with in the future. The second strikes me as being very complex and required a series of contraints and foreign keys against self to make work, and therefore it strikes me as complex, hard to sort out at least in my mind, and thus hard to work with. The fourth could be done as we force all access through stored procedures anyway and this is the most common solution (have the app total things up and throw an error otherwise). However, I think proof that a constraint is followed is superior to test cases, and so the question becomes whether this in fact generates insert anomilies rather than solving them. If this is a solved problem it isn't the case that everyone agrees on the solution....

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  • C# Lack of Static Inheritance - What Should I Do?

    - by yellowblood
    Alright, so as you probably know, static inheritance is impossible in C#. I understand that, however I'm stuck with the development of my program. I will try to make it as simple as possible. Lets say our code needs to manage objects that are presenting aircrafts in some airport. The requirements are as follows: There are members and methods that are shared for all aircrafts There are many types of aircrafts, each type may have its own extra methods and members. There can be many instances for each aircraft type. Every aircraft type must have a friendly name for this type, and more details about this type. For example a class named F16 will have a static member FriendlyName with the value of "Lockheed Martin F-16 Fighting Falcon". Other programmers should be able to add more aircrafts, although they must be enforced to create the same static details about the types of the aircrafts. In some GUI, there should be a way to let the user see the list of available types (with the details such as FriendlyName) and add or remove instances of the aircrafts, saved, lets say, to some XML file. So, basically, if I could enforce inherited classes to implement static members and methods, I would enforce the aircraft types to have static members such as FriendlyName. Sadly I cannot do that. So, what would be the best design for this scenario?

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  • How do you keep your business rules DRY?

    - by Mario
    I periodically ponder how to best design an application whose every business rule exists in just a single location. (While I know there is no proverbial “best way” and that designs are situational, people must have a leaning toward one practice or another.) I work for a shop where they prefer to house as much of the business rules as possible in the database. This requires developers in many cases to perform identical front-end validations to avoid sending data to the database that will result in an exception—not very DRY. It grates me anytime I find myself duplicating any kind of logic—even lowly validation logic. I am a single-point-of-truth purist to an anal degree. On the other end of the spectrum, I know of shops that create dumb databases (the Rails community leans in this direction) and handle all of the business logic in a separate tier (in Rails the models would house “most” of this). Note the word “most” which implies that some business logic does end up spilling into other places (in Rails it might spill over into the controllers). In way, a clean separation of concerns where all business logic exists in a single core location is a Utopian fantasy that’s hard to uphold (n-tiered architecture or not). Furthermore, is see the “Database as a fortress” and would agree that it should be built on constraints that cause it to reject bad data. As such, I hold principles that cause a degree of angst as I attempt to balance them. How do you balance the database-as-a-fortress view with the desire to have a single-point-of-truth?

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  • AntFarm anti-pattern -- strategies to avoid, antidotes to help heal from

    - by alchemical
    I'm working on a 10 page web site with a database back-end. There are 500+ objects in use, trying to implement the MVP pattern in ASP.Net. I'm tracing the code-execution from a single-page, my finger has been on F-11 in Visual Studio for about 40 minutes, there seems to be no end, possibly 1000+ method calls for one web page! If it was just 50 objects that would be one thing, however, code execution snakes through all these objects just like millions of ants frantically woring in their giant dirt mound house, riddled with object tunnels. Hence, a new anti-pattern is born : AntFarm. AntFarm is also known as "OO-Madnes", "OO-Fever", OO-ADD, or simply design-pattern junkie. This is not the first time I've seen this, nor my associates at other companies. It seems that this style is being actively propogated, or in any case is a misunderstanding of the numerous OO/DP gospels going around... I'd like to introduce an anti-pattern to the anti-pattern: GST or "Get Stuff Done" AKA "Get Sh** done" AKA GRD (GetRDone). This pattern focused on just what it says, getting stuff done, in a simple way. I may try to outline it more in a later post, or please share your ideas on this antidote pattern. Anyway, I'm in the midst of a great example of AntFarm anti-pattern as I write (as a bonus, there is no documentation or comments). Please share you thoughts on how this anti-pattern has become so prevelant, how we can avoid it, and how can one undo or deal with this pattern in a live system one must work with!

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  • Pros and cons of making database IDs consistent and "readable"

    - by gmale
    Question Is it a good rule of thumb for database IDs to be "meaningless?" Conversely, are there significant benefits from having IDs structured in a way where they can be recognized at a glance? What are the pros and cons? Background I just had a debate with my coworkers about the consistency of the IDs in our database. We have a data-driven application that leverages spring so that we rarely ever have to change code. That means, if there's a problem, a data change is usually the solution. My argument was that by making IDs consistent and readable, we save ourselves significant time and headaches, long term. Once the IDs are set, they don't have to change often and if done right, future changes won't be difficult. My coworkers position was that IDs should never matter. Encoding information into the ID violates DB design policies and keeping them orderly requires extra work that, "we don't have time for." I can't find anything online to support either position. So I'm turning to all the gurus here at SA! Example Imagine this simplified list of database records representing food in a grocery store, the first set represents data that has meaning encoded in the IDs, while the second does not: ID's with meaning: Type 1 Fruit 2 Veggie Product 101 Apple 102 Banana 103 Orange 201 Lettuce 202 Onion 203 Carrot Location 41 Aisle four top shelf 42 Aisle four bottom shelf 51 Aisle five top shelf 52 Aisle five bottom shelf ProductLocation 10141 Apple on aisle four top shelf 10241 Banana on aisle four top shelf //just by reading the ids, it's easy to recongnize that these are both Fruit on Aisle 4 ID's without meaning: Type 1 Fruit 2 Veggie Product 1 Apple 2 Banana 3 Orange 4 Lettuce 5 Onion 6 Carrot Location 1 Aisle four top shelf 2 Aisle four bottom shelf 3 Aisle five top shelf 4 Aisle five bottom shelf ProductLocation 1 Apple on aisle four top shelf 2 Banana on aisle four top shelf //given the IDs, it's harder to see that these are both fruit on aisle 4 Summary What are the pros and cons of keeping IDs readable and consistent? Which approach do you generally prefer and why? Is there an accepted industry best-practice?

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  • Pattern for UI configuration

    - by TERACytE
    I have a Win32 C++ program that validates user input and updates the UI with status information and options. Currently it is written like this: void ShowError() { SetIcon(kError); SetMessageString("There was an error"); HideButton(kButton1); HideButton(kButton2); ShowButton(kButton3); } void ShowSuccess() { SetIcon(kError); std::String statusText (GetStatusText()); SetMessageString(statusText); HideButton(kButton1); HideButton(kButton2); ShowButton(kButton3); } // plus several more methods to update the UI using similar mechanisms I do not likes this because it duplicates code and causes me to update several methods if something changes in the UI. I am wondering if there is a design pattern or best practice to remove the duplication and make the functionality easier to understand and update. I could consolidate the code inside a config function and pass in flags to enable/disable UI items, but I am not convinced this is the best approach. Any suggestions and ideas?

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  • Using an ORM with a database that has no defined relationships?

    - by Ahmad
    Consider a database(MSSQL 2005) that consists of 100+ tables which have primary keys defined to a certain degree. There are 'relationships' between tables, however these are not enforced with foreign key constraints. Consider the following simplified example of typical types of tables I am dealing with. The are clear relations between the User and City and Province tables. However, they key issues is the inconsistent data types in the tables and naming conventions. User: UserRowId [int] PK Name [varchar(50)] CityId [smallint] ProvinceRowId [bigint] City: CityRowId [bigint] PK CityDescription [varchar(100)] Province: ProvinceId [int] PK ProvinceDesc [varchar(50)] I am considering a rewrite of the application (in ASP.net MVC) that uses this data source as is similar in design to MVC storefront. However I am going through a proof of concept phase and this is one of the stumbling blocks I have come across. What are my options in terms of ORM choice that can be easily used and why? Should I even be considering an ORM? (The reason I ask this is that most explanations and tutorials all work with relatively cleanly designed existing databases, or newly created ones when compared to mine. I am thus having a very hard time trying to find a way forward with this problem) There is a huge amount of existing SQL queries, would a datamappper(eg IBatis.net) be more suitable since we could easily modify them to work and reuse the investment already made? I have found this question on SO which indicates to me that an ORM can be used - however I get the impression that this a question of mapping? Note: at the moment, the object model is not clearly defined as it was non-existent. The existing system pretty much did almost everything in SQL or consisted of overly complicated, and numerous queries to complete fucntionality. I am pretty much a noob and have zero experience around ORMs and MVC - so this an awesome learning curve I am on.

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