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  • Main page content populated on the fly?

    - by jcovert
    Is there any reason to NOT have a webpage retrieve it's main content on the fly? For example, I have a page that has a header and a footer, and in the middle of this page is an empty div. When you click on one of the buttons in the header, an http GET is done behind the scenes and the .innerHTML() of the empty div is replaced with the result. I can't think of any reason why this might be a bad idea, but I can't seem to find any pages out there that do it? Please advise!

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  • JavaScript not changing display type or color in IE

    - by user445359
    I am trying to switch a series of blocks between "none" and "block" based on the OnMouseOver property and to change the title of the selected list to yellow at the same time. The JavaScript code I have for this is: function switchCat(cat) { var uls = document.getElementsByClassName('lower-ul'); var titles = document.getElementsByClassName('lower-cat-title'); for (var i=0;i<uls.length;i++) { uls[i].style.display = 'none'; titles[i].style.color = 'white'; } if (cat != -1) { var wanted = document.getElementById('lower-cat-'+cat); var wantedTitle = document.getElementById('lower-cat-title-'+cat); wanted.style.display = 'block'; wantedTitle.style.color = 'yellow'; } } It works with Chrome, Opera, and Firefox, however, it does not work with IE. When I test it in IE I get the error "Object doesn't support this property or method." Does anyone know what I am doing wrong?

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  • Generate Delete Statement From Foreign Key Relationships in SQL 2008 ?

    - by Element
    Is it possible via script/tool to generate a delete statement based on the tables fk relations. i.e. I have the table: DelMe(ID) and there are 30 tables with fk references to its ID that I need to delete first, is there some tool/script that I can run that will generate the 30 delete statements based on the FK relations for me ? (btw I know about cascade delete on the relations, I can't use it in this existing db) I'm using Microsoft SQL Server 2008

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  • base pointer to derived class

    - by Jay
    Suppose there are Base class and Derived class. Base *A = new Base; Here A is a pointer point to Base class, and new constructs one that A points to. I also saw Base *B = new Derived; How to explain this? B is a pointer to Base Class, and a Derived class constructed and pointed by B? If there is a function derived from Base class, say, Virtual void f(), and it's been overridden in Derived class, then B->f() will invoke which version of the function? version in Base class, or version that overridden in Derived Class. What if there is a new function void g()in Derived, is B->g() going to invoke this function properly? One more is, is int *a = new double; or int *a = new int; legal?

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  • inner workings of PHP (really long PHP script)

    - by econclicks
    I have a really long php script for just 1 page i.e. something like: mywebsite.com/page.php?id=99999 I have about 10000-20000 cases of the id, each with a different settings. Will this slow down my website significantly? i.e. my question is really along the lines of, what happens when php is executed. does the server execute it and display the results, or does the client's computer download it, execute it and display the results. if its the latter, does it mean a really slow load time? each of the 10000-20000 cases has about 20-25 lines of code after it. thanks, xoxo

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  • [jQuery] Descriptions on Hover

    - by Nimbuz
    <form action=""> <input type="text" value="" class="card-num" /> <input type="text" value="" class="card-cvv2"/> </form> <div class="description"> <p class="card-num">Enter your 16 digit card number</p> <p class="card-cvv2">Enter the 3 digit number at the back of your card</p> </div> All descriptions are hidden initially. But when hovered on an element that has a matching tag, display description? I'd really appreciate any help. Many thanks!

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  • Best Methods for Dynamically Creating New Objects

    - by frankV
    I'm looking for a method to dynamically create new class objects during runtime of a program. So far what I've read leads me to believe it's not easy and normally reserved for more advanced program requirements. What I've tried so far is this: // create a vector of type class vector<class_name> vect; // and use push_back (method 1) vect.push_back(*new Object); //or use for loop and [] operator (method 2) vect[i] = *new Object; neither of these throw errors from the compiler, but I'm using ifstream to read data from a file and dynamically create the objects... the file read is taking in some weird data and occasionally reading a memory address, and it's obvious to me it's due to my use/misuse of the code snippet above. The file read code is as follows: // in main ifstream fileIn fileIn.open( fileName.c_str() ); // passes to a separate function along w/ vector loadObjects (fileIn, vect); void loadObjects (ifstream& is, vector<class_name>& Object) { int data1, data2, data3; int count = 0; string line; if( is.good() ){ for (int i = 0; i < 4; i++) { is >> data1 >> data2 >> data3; if (data1 == 0) { vect.push_back(*new Object(data2, data3) ) } } } }

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  • unexpected behaviour of Ctrl-a x and Ctrl-a X in screen?! regions, locking

    - by gojira
    According to the screen manual (version 4.0.2.) C-a x C-a C-x (lockscreen) Lock this terminal. C-a X (remove) Kill the current region. But what actually happens when I use it (Screen version 4.00.03 (FAU) 23-Oct-06): C-a X locks the terminal and asks me for the password. When I enter the correct passwword, I am back in screen but the region is killed (wtf) C-a x does nothing apparently Please note the differences between x (lowercase) and X (uppercase). Why is there a mixup between the functionalities of C-a X and C-a x? How can I fix this? I am on CentOS release 5 (Final).

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  • Running ARM(EL) executables on ARM(HF) system - Missing Symlink to dynamic Loader?

    - by Uhli
    I am using an Ubuntu 12.10 (ARMHF) distribution on a panda board. I want to run applications compiled for ARMEL. It was not possible due to a changed dynamic loader location (https://wiki.linaro.org/OfficeofCTO/HardFloat/LinkerPathCallApr2012) I succeeded by creating the following symbolic link /lib/ld-linux.so.3 - /lib/ld-linuxarmhf.so.3 Is there a way to install a portability package instead? Is there a reason why this is not done by the distribution? Thanks in advance

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  • Groovy 2.0 : plus statique pour un meilleur dynamisme, Invoke Dynamic, vérification des types et compilation statiques sur la première bêta

    Groovy 2.0 : plus statique pour un meilleur dynamisme Invoke Dynamic, vérification des types et compilation statiques sur la première bêta [IMG]http://idelways.developpez.com/news/images/groovy.jpg[/IMG] L'équipe du projet Groovy surprend la communauté du langage en sortant la version 2.0 en bêta, alors que c'est la 1.9 qui était attendue. Comme c'est tendance actuellement, Groovy abandonne la numérotation des versions majeures en deuxième position (1.x), où la version 2.0 devient « mythique et semble ne jamais vouloir arriver », explique Guillaume Laforge, manager du projet. Le projet aura désormais une évolution majeure chaque année, mais cette versi...

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  • Using sscanf for the dynamic delimiters (inputted by users) in parsing an input string in C? [migrated]

    - by Zuhakasa
    I'm encountering a problem in parsing a string using sscanf() function. My function gets 2 string parameters. One for input string and another one for a dynamic list of delimiters. How can I use sscanf to parse the input string with the defined delimiters inputted by users. For example: Myfunction(char * input_string, char * delimiter_list){ scanf("%s", input_string); scanf("%s", delimiter_list); sscanf(input_string, ???...); ................ }

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  • SQL SERVER – Faster SQL Server Databases and Applications – Power and Control with SafePeak Caching Options

    - by Pinal Dave
    Update: This blog post is written based on the SafePeak, which is available for free download. Today, I’d like to examine more closely one of my preferred technologies for accelerating SQL Server databases, SafePeak. Safepeak’s software provides a variety of advanced data caching options, techniques and tools to accelerate the performance and scalability of SQL Server databases and applications. I’d like to look more closely at some of these options, as some of these capabilities could help you address lagging database and performance on your systems. To better understand the available options, it is best to start by understanding the difference between the usual “Basic Caching” vs. SafePeak’s “Dynamic Caching”. Basic Caching Basic Caching (or the stale and static cache) is an ability to put the results from a query into cache for a certain period of time. It is based on TTL, or Time-to-live, and is designed to stay in cache no matter what happens to the data. For example, although the actual data can be modified due to DML commands (update/insert/delete), the cache will still hold the same obsolete query data. Meaning that with the Basic Caching is really static / stale cache.  As you can tell, this approach has its limitations. Dynamic Caching Dynamic Caching (or the non-stale cache) is an ability to put the results from a query into cache while maintaining the cache transaction awareness looking for possible data modifications. The modifications can come as a result of: DML commands (update/insert/delete), indirect modifications due to triggers on other tables, executions of stored procedures with internal DML commands complex cases of stored procedures with multiple levels of internal stored procedures logic. When data modification commands arrive, the caching system identifies the related cache items and evicts them from cache immediately. In the dynamic caching option the TTL setting still exists, although its importance is reduced, since the main factor for cache invalidation (or cache eviction) become the actual data updates commands. Now that we have a basic understanding of the differences between “basic” and “dynamic” caching, let’s dive in deeper. SafePeak: A comprehensive and versatile caching platform SafePeak comes with a wide range of caching options. Some of SafePeak’s caching options are automated, while others require manual configuration. Together they provide a complete solution for IT and Data managers to reach excellent performance acceleration and application scalability for  a wide range of business cases and applications. Automated caching of SQL Queries: Fully/semi-automated caching of all “read” SQL queries, containing any types of data, including Blobs, XMLs, Texts as well as all other standard data types. SafePeak automatically analyzes the incoming queries, categorizes them into SQL Patterns, identifying directly and indirectly accessed tables, views, functions and stored procedures; Automated caching of Stored Procedures: Fully or semi-automated caching of all read” stored procedures, including procedures with complex sub-procedure logic as well as procedures with complex dynamic SQL code. All procedures are analyzed in advance by SafePeak’s  Metadata-Learning process, their SQL schemas are parsed – resulting with a full understanding of the underlying code, objects dependencies (tables, views, functions, sub-procedures) enabling automated or semi-automated (manually review and activate by a mouse-click) cache activation, with full understanding of the transaction logic for cache real-time invalidation; Transaction aware cache: Automated cache awareness for SQL transactions (SQL and in-procs); Dynamic SQL Caching: Procedures with dynamic SQL are pre-parsed, enabling easy cache configuration, eliminating SQL Server load for parsing time and delivering high response time value even in most complicated use-cases; Fully Automated Caching: SQL Patterns (including SQL queries and stored procedures) that are categorized by SafePeak as “read and deterministic” are automatically activated for caching; Semi-Automated Caching: SQL Patterns categorized as “Read and Non deterministic” are patterns of SQL queries and stored procedures that contain reference to non-deterministic functions, like getdate(). Such SQL Patterns are reviewed by the SafePeak administrator and in usually most of them are activated manually for caching (point and click activation); Fully Dynamic Caching: Automated detection of all dependent tables in each SQL Pattern, with automated real-time eviction of the relevant cache items in the event of “write” commands (a DML or a stored procedure) to one of relevant tables. A default setting; Semi Dynamic Caching: A manual cache configuration option enabling reducing the sensitivity of specific SQL Patterns to “write” commands to certain tables/views. An optimization technique relevant for cases when the query data is either known to be static (like archive order details), or when the application sensitivity to fresh data is not critical and can be stale for short period of time (gaining better performance and reduced load); Scheduled Cache Eviction: A manual cache configuration option enabling scheduling SQL Pattern cache eviction based on certain time(s) during a day. A very useful optimization technique when (for example) certain SQL Patterns can be cached but are time sensitive. Example: “select customers that today is their birthday”, an SQL with getdate() function, which can and should be cached, but the data stays relevant only until 00:00 (midnight); Parsing Exceptions Management: Stored procedures that were not fully parsed by SafePeak (due to too complex dynamic SQL or unfamiliar syntax), are signed as “Dynamic Objects” with highest transaction safety settings (such as: Full global cache eviction, DDL Check = lock cache and check for schema changes, and more). The SafePeak solution points the user to the Dynamic Objects that are important for cache effectiveness, provides easy configuration interface, allowing you to improve cache hits and reduce cache global evictions. Usually this is the first configuration in a deployment; Overriding Settings of Stored Procedures: Override the settings of stored procedures (or other object types) for cache optimization. For example, in case a stored procedure SP1 has an “insert” into table T1, it will not be allowed to be cached. However, it is possible that T1 is just a “logging or instrumentation” table left by developers. By overriding the settings a user can allow caching of the problematic stored procedure; Advanced Cache Warm-Up: Creating an XML-based list of queries and stored procedure (with lists of parameters) for periodically automated pre-fetching and caching. An advanced tool allowing you to handle more rare but very performance sensitive queries pre-fetch them into cache allowing high performance for users’ data access; Configuration Driven by Deep SQL Analytics: All SQL queries are continuously logged and analyzed, providing users with deep SQL Analytics and Performance Monitoring. Reduce troubleshooting from days to minutes with database objects and SQL Patterns heat-map. The performance driven configuration helps you to focus on the most important settings that bring you the highest performance gains. Use of SafePeak SQL Analytics allows continuous performance monitoring and analysis, easy identification of bottlenecks of both real-time and historical data; Cloud Ready: Available for instant deployment on Amazon Web Services (AWS). As you can see, there are many options to configure SafePeak’s SQL Server database and application acceleration caching technology to best fit a lot of situations. If you’re not familiar with their technology, they offer free-trial software you can download that comes with a free “help session” to help get you started. You can access the free trial here. Also, SafePeak is available to use on Amazon Cloud. Reference: Pinal Dave (http://blog.sqlauthority.com)Filed under: PostADay, SQL, SQL Authority, SQL Performance, SQL Query, SQL Server, SQL Tips and Tricks, T SQL

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  • PASS: Bylaw Change 2013

    - by Bill Graziano
    PASS launched a Global Growth Initiative in the Summer of 2011 with the appointment of three international Board advisors.  Since then we’ve thought and talked extensively about how we make PASS more relevant to our members outside the US and Canada.  We’ve collected much of that discussion in our Global Growth site.  You can find vision documents, plans, governance proposals, feedback sites, and transcripts of Twitter chats and town hall meetings.  We also address these plans at the Board Q&A during the 2012 Summit. One of the biggest changes coming out of this process is around how we elect Board members.  And that requires a change to the bylaws.  We published the proposed bylaw changes as a red-lined document so you can clearly see the changes.  Our goal in these bylaw changes was to address the changes required by the global growth initiatives, conduct a legal review of the document and address other minor issues in the document.  There are numerous small wording changes throughout the document.  For example, we replaced every reference of “The Corporation” with the word “PASS” so it now reads “PASS is organized…”. Board Composition The biggest change in these bylaw changes is how the Board is composed and elected.  This discussion starts in section VI.2.  This section now says that some elected directors will come from geographic regions.  I think this is the best way to make sure we give all of our members a voice in the leadership of the organization.  The key parts of this section are: The remaining Directors (i.e. the non-Officer Directors and non-Vendor Appointed Directors) shall be elected by the voting membership (“Elected Directors”). Elected Directors shall include representatives of defined PASS regions (“Regions”) as set forth below (“Regional Directors”) and at minimum one (1) additional Director-at-Large whose selection is not limited by region. Regional Directors shall include, but are not limited to, two (2) seats for the Region covering Canada and the United States of America. Additional Regions for the purpose of electing additional Regional Directors and additional Director-at-Large seats for the purpose of expanding the Board shall be defined by a majority vote of the current Board of Directors and must be established prior to the public call for nominations in the general election. Previously defined Regions and seats approved by the Board of Directors shall remain in effect and can only be modified by a 2/3 majority vote by the then current Board of Directors. Currently PASS has six At-Large Directors elected by the members.  These changes allow for a Regional Director position that is elected by the members but must come from a particular region.  It also stipulates that there must always be at least one Director-at-Large who can come from any region. We also understand that PASS is currently a very US-centric organization.  Our Summit is held in America, roughly half our chapters are in the US and Canada and most of the Board members over the last ten years have come from America.  We wanted to reflect that by making sure that our US and Canadian volunteers would continue to play a significant role by ensuring that two Regional seats are reserved specifically for Canada and the US. Other than that, the bylaws don’t create any specific regional seats.  These rules allow us to create Regional Director seats but don’t require it.  We haven’t fully discussed what the criteria will be in order for a region to have a seat designated for it or how many regions there will be.  In our discussions we’ve broadly discussed regions for United States and Canada Europe, Middle East, and Africa (EMEA) Australia, New Zealand and Asia (also known as Asia Pacific or APAC) Mexico, South America, and Central America (LATAM) As you can see, our thinking is that there will be a few large regions.  I’ve also considered a non-North America region that we can gradually split into the regions above as our membership grows in those areas.  The regions will be defined by a policy document that will be published prior to the elections. I’m hoping that over the next year we can begin to publish more of what we do as Board-approved policy documents. While the bylaws only require a single non-region specific At-large Director, I would expect we would always have two.  That way we can have one in each election.  I think it’s important that we always have one seat open that anyone who is eligible to run for the Board can contest.  The Board is required to have any regions defined prior to the start of the election process. Board Elections – Regional Seats We spent a lot of time discussing how the elections would work for these Regional Director seats.  Ultimately we decided that the simplest solution is that every PASS member should vote for every open seat.  Section VIII.3 reads: Candidates who are eligible (i.e. eligible to serve in such capacity subject to the criteria set forth herein or adopted by the Board of Directors) shall be designated to fill open Board seats in the following order of priority on the basis of total votes received: (i) full term Regional Director seats, (ii) full term Director-at-Large seats, (iii) not full term (vacated) Regional Director seats, (iv) not full term (vacated) Director-at-Large seats. For the purposes of clarity, because of eligibility requirements, it is contemplated that the candidates designated to the open Board seats may not receive more votes than certain other candidates who are not selected to the Board. We debated whether to have multiple ballots or one single ballot.  Multiple ballot elections get complicated quickly.  Let’s say we have a ballot for US/Canada and one for Region 2.  After that we’d need a mechanism to merge those two together and come up with the winner of the at-large seat or have another election for the at-large position.  We think the best way to do this is a single ballot and putting the highest vote getters into the most restrictive seats.  Let’s look at an example: There are seats open for Region 1, Region 2 and at-large.  The election results are as follows: Candidate A (eligible for Region 1) – 550 votes Candidate B (eligible for Region 1) – 525 votes Candidate C (eligible for Region 1) – 475 votes Candidate D (eligible for Region 2) – 125 votes Candidate E (eligible for Region 2) – 75 votes In this case, Candidate A is the winner for Region 1 and is assigned that seat.  Candidate D is the winner for Region 2 and is assigned that seat.  The at-large seat is filled by the high remaining vote getter which is Candidate B. The key point to understand is that we may have a situation where a person with a lower vote total is elected to a regional seat and a person with a higher vote total is excluded.  This will be true whether we had multiple ballots or a single ballot.  Board Elections – Vacant Seats The other change to the election process is for vacant Board seats.  The actual changes are sprinkled throughout the document. Previously we didn’t have a mechanism that allowed for an election of a Board seat that we knew would be vacant in the future.  The most common case is when a Board members moves to an Officer role in the middle of their term.  One of the key changes is to allow the number of votes members have to match the number of open seats.  This allows each voter to express their preference on all open seats.  This only applies when we know about the opening prior to the call for nominations.  This all means that if there’s a seat will be open at the start of the next Board term, and we know about it prior to the call for nominations, we can include that seat in the elections.  Ultimately, the aim is to have PASS members decide who sits on the Board in as many situations as possible. We discussed the option of changing the bylaws to just take next highest vote-getter in all other cases.  I think that’s wrong for the following reasons: All voters aren’t able to express an opinion on all candidates.  If there are five people running for three seats, you can only vote for three.  You have no way to express your preference between #4 and #5. Different candidates may have different information about the number of seats available.  A person may learn that a Board member plans to resign at the end of the year prior to that information being made public. They may understand that the top four vote getters will end up on the Board while the rest of the members believe there are only three openings.  This may affect someone’s decision to run.  I don’t think this creates a transparent, fair election. Board members may use their knowledge of the election results to decide whether to remain on the Board or not.  Admittedly this one is unlikely but I don’t want to create a situation where this accusation can be leveled. I think the majority of vacancies in the future will be handled through elections.  The bylaw section quoted above also indicates that partial term vacancies will be filled after the full term seats are filled. Removing Directors Section VI.7 on removing directors has always had a clause that allowed members to remove an elected director.  We also had a clause that allowed appointed directors to be removed.  We added a clause that allows the Board to remove for cause any director with a 2/3 majority vote.  The updated text reads: Any Director may be removed for cause by a 2/3 majority vote of the Board of Directors whenever in its judgment the best interests of PASS would be served thereby. Notwithstanding the foregoing, the authority of any Director to act as in an official capacity as a Director or Officer of PASS may be suspended by the Board of Directors for cause. Cause for suspension or removal of a Director shall include but not be limited to failure to meet any Board-approved performance expectations or the presence of a reason for suspension or dismissal as listed in Addendum B of these Bylaws. The first paragraph is updated and the second and third are unchanged (except cleaning up language).  If you scroll down and look at Addendum B of these bylaws you find the following: Cause for suspension or dismissal of a member of the Board of Directors may include: Inability to attend Board meetings on a regular basis. Inability or unwillingness to act in a capacity designated by the Board of Directors. Failure to fulfill the responsibilities of the office. Inability to represent the Region elected to represent Failure to act in a manner consistent with PASS's Bylaws and/or policies. Misrepresentation of responsibility and/or authority. Misrepresentation of PASS. Unresolved conflict of interests with Board responsibilities. Breach of confidentiality. The bold line about your inability to represent your region is what we added to the bylaws in this revision.  We also added a clause to section VII.3 allowing the Board to remove an officer.  That clause is much less restrictive.  It doesn’t require cause and only requires a simple majority. The Board of Directors may remove any Officer whenever in their judgment the best interests of PASS shall be served by such removal. Other There are numerous other small changes throughout the document. Proxy voting.  The laws around how members and Board members proxy votes are specific in Illinois law.  PASS is an Illinois corporation and is subject to Illinois laws.  We changed section IV.5 to come into compliance with those laws.  Specifically this says you can only vote through a proxy if you have a written proxy through your authorized attorney.  English language proficiency.  As we increase our global footprint we come across more members that aren’t native English speakers.  The business of PASS is conducted in English and it’s important that our Board members speak English.  If we get big enough to afford translators, we may be able to relax this but right now we need English language skills for effective Board members. Committees.  The language around committees in section IX is old and dated.  Our lawyers advised us to clean it up.  This section specifically applies to any committees that the Board may form outside of portfolios.  We removed the term limits, quorum and vacancies clause.  We don’t currently have any committees that this would apply to.  The Nominating Committee is covered elsewhere in the bylaws. Electronic Votes.  The change allows the Board to vote via email but the results must be unanimous.  This is to conform with Illinois state law. Immediate Past President.  There was no mechanism to fill the IPP role if an outgoing President chose not to participate.  We changed section VII.8 to allow the Board to invite any previous President to fill the role by majority vote. Nominations Committee.  We’ve opened the language to allow for the transparent election of the Nominations Committee as outlined by the 2011 Election Review Committee. Revocation of Charters. The language surrounding the revocation of charters for local groups was flagged by the lawyers. We have allowed for the local user group to make all necessary payment before considering returning of items to PASS if required. Bylaw notification. We’ve spent countless meetings working on these bylaws with the intent to not open them again any time in the near future. Should the bylaws be opened again, we have included a clause ensuring that the PASS membership is involved. I’m proud that the Board has remained committed to transparency and accountability to members. This clause will require that same level of commitment in the future even when all the current Board members have rolled off. I think that covers everything.  I’d encourage you to look through the red-line document and see the changes.  It’s helpful to look at the language that’s being removed and the language that’s being added.  I’m happy to answer any questions here or you can email them to [email protected].

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  • Using Subdomains for Newly Regional Company

    - by Taylord22
    The company I work for is expanding their business to new territories. I've got a lot of stabilization to do in the region/state where we're one of the most well known companies of our kind. Currently, we have 3 distinct product lines which are currently distinguished by 3 separate URLS. This is affecting the user flow of our site, so we'd like to clean it up before launching our products into the various regions. The business has decided to grow into 5 new states (one state consisting of one county only) — none of which will feature all 3 products. Our homebase state is the only one that will have all 3 products this year. My initial thought was to use subdomains to separate out the regions, that way we could use a canonical tag to stabilize the root domain (which would feature home state content, and support content for all regions), and remove us from potential duplicate content penalization. Our product content will be nearly identical across the regions for the first year. I second guessed myself by thinking that it was perhaps better to use a "[product].root/region" URL instead. And I'm currently stuck by wondering if it was not better to build out subdomains for products and regions...using one modifier or the other as a funnel/branding page into the other. For instance, user lands on "region.root.com" and sees exactly what products we offer in that region. Basically, a tailored landing page. Meanwhile the bulk of the product content would actually live under "product.root.com/region/page". My head is spinning. And while searching for similar questions I also bumped into reference of another tag meant to be used in some similar cases to mine. I feel like there's a lot of risks involved in this subdomain strategy, but I also can't help but see the benefits in the user flow.

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  • iPhone: change height of UITableViewCell coming from a NIB

    - by Stefan Klumpp
    I have a UITableView of custom UITableViewCells which looks like this: [ CELL 0 [ description ] [ dynamic content type 1 ] [ dynamic content type 2 ] [ dynamic content type 3 ] ] [ CELL 1 [ description ] [ dynamic content type 1 ] [ dynamic content type 3 ] ] [ CELL 2 [ description ] [ dynamic content type 2 ] ] [ ... and so on ... ] Since the [description] part is already pretty complex I decided to use Interface Builder to design it and at add the [dynamic content] in the cellForRowAtIndexPath programmatically with [cell addSubview:...]. My problem is now, that I set a default height for my custom UITableViewCell in Interface Builder, but when I add my [dynamic content] (which might range between 0..3) I have different cells with different heights. One thing is of course to calculate the total height and change the return value in heightForRowAtIndexPath, but how do I change the height value of my actual cell (which was loaded from a nib file with a fixed height)?

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  • Designing a silverlight dashboard with mef - is it possible? (with dynamic loading of xaps)

    - by Tim Robbin
    Hello! I am just trying to wrap my head around MEF. And as I am really going to love it ( I guess ) I started my first sample project and immediatly stumbled into a big problem and now I am asking myself if I can use MEF for my scenario at all and that is the following: Imagine that one got some kind of dashboard with, let's say, five regions and above each region there are two comboboxes. The values in the first combobox represent different possible views (for example, chartControl, tableControl, pictureControl, ...) and the values of the second combobox represents the different data sources for the currently selected control. As the controls are very big in size one wants to download them as needed. If the user selects one comboboxitem the corresponding control xap should be loaded and displayed in this specific region. If the user selectes another control in the same combobox the control should be removed from the visualtree and the next control should be downloaded and displayed. If the user changes the selection in a different combobox the corresponding control should be loaded again only in this specific region, with perhaps different data. And to make it a little more interesting - as this is some kind of dashboard one can change the layout from five regions to - for example - ten regions. I've seen the video "MVVM with MEF in Silverlight Video Tutorial Part 2: Plugins and Metadata" ( http://csharperimage.jeremylikness.com/2010/03/mvvm-with-mef-in-silverlight-video_09.html ) but he is using an ItemsControl and is working with Visibility and he only got ONE region. So I think that this technique is not working for me... Puh, I hope I could make myself clear! Thanks a lot for any piece of information!!! Greetings, Tim.

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  • Taking advantage of Windows Azure CDN and Dynamic Pages in ASP.NET - Caching content from hosted services

    - by Shawn Cicoria
    With the updates to Windows Azure CDN announced this week [1] I wanted to help illustrate the capability with a working sample that will serve up dynamic content from an ASP.NET site hosted in a WebRole. First, to get a good overview of the capability you can read the Overview of the Windows Azure CDN [2] content on MSDN. When you setup the ability to cache content from a hosted service, the requirement is to provide a path to your role’s DNS endpoint that ends in the path “/cdn”.  Additionally, you then map CDN to that service. What WAZ CDN does, is allow you to then map that through the CDN to your host.  The CDN will then make a request to your host on your client’s behalf. The requirement is still that your client, and any Url’s that are to be serviced through the CDN and this capability have to use the CDN DNS name and not your host – no different than what CDN does for Blog storage. The following 2 URL’s are samples of how the client needs to issue the requests. Windows Azure hosted service URL: http: //myHostedService.cloudapp.net/cdn/music.aspx   - for regular “dynamic” content Windows Azure CDN URL: http: //<identifier>.vo.msecnd.net/music.aspx   - for CDN “cachable” content. The first URL path’s the request direct to your host into the Azure datacenter.  The 2nd URL paths the request through the CDN infrastructure, where CDN will make the determination to request the content on behalf of the client to the Azure datacenter and your host on the /cdn path. The big advantage here is you can apply logic to your content creation.  What’s important is emitting the CDN friendly headers that allow CDN to request and re-request only when you designate based upon it’s rules of “staleness” as described in the overview page. With IIS7.5 there is an underlying issue when the Managed Module “OutputCache” is enabled that in order to emit a good header for your content, you’ll need to remove, and in my sample, helps provide CDN friendly headers.  You get IIS 7.5 when running under OS Family “2” in your service configuration. By default, and when the OutputCache managed module is loaded, if you use the HttpResponse.CachePolicy to set the Http Headers for “max-age” when the HttpCacheability is “Public”, you will NOT get the “max-age” emitted as part of the “Cache-control:” header.  Instead, the OutputCache module will remove “max-age” and just emit “public”.  It works ok when Cacheability is set to “private”. To work around the issue and ensure your code as follows emits the full max-age along with the public option, you need to remove as follows: <system.webServer>   <modules runAllManagedModulesForAllRequests="true">     <remove name="OutputCache"/>   </modules> </system.webServer>   Response.Cache.SetCacheability(HttpCacheability.Public); Response.Cache.SetMaxAge(TimeSpan.FromMinutes(rv));   In the attached solution, the way I approached it was to have a VirtualApplication under the root site that has it’s own web.config  - this VirtualApplication is the /cdn of the site and when deployed to Azure as a Web Role will surface as a distinct IIS Application – along with a separate AppDomain. The CDN Sample is a simple Web Forms site that the /default landing page contains 3 IFrames to host: 1. Content direct from the host @   http://xxxx.cloudapp.net/cdn 2. Content via the CDN @ http://azxxx.vo.msecnd.net  3. Simple list of recent requests – showing where the request came from.   When you run the sample the first time you hit the page, both the Host and the CDN will cause 2 initial requests to hit the host.  You won’t see the first requests in the list because of timing – but if you refresh, you’ll see that the list will show that you have 2 requests initially. 1. sourced direct from the Browser to the HOST 2. sourced via the CDN The picture above shows the call-outs of each of those requests – green rows showing requests coming direct to the HOST, yellow showing the CDN request.  The IP addresses of the green items are direct from the client, where the CDN is from the CDN data center. As you refresh the page (hit Ctrl+F5 to force a full refresh and avoid “304 – not changed”) you’ll see that the request to the HOST get’s processed direct; but the request to the CDN endpoint is serviced direct from the CDN and doesn’t incur any additional request back to the HOST. The following is the Headers from the CDN response (Status-Line) HTTP/1.1 200 OK Age 13 Cache-Control public, max-age=300 Connection keep-alive Content-Length 6212 Content-Type image/jpeg; charset=utf-8 Date Fri, 11 Mar 2011 20:47:14 GMT Expires Fri, 11 Mar 2011 20:52:01 GMT Last-Modified Fri, 11 Mar 2011 20:47:02 GMT Server Microsoft-IIS/7.5 X-AspNet-Version 4.0.30319 X-Powered-By ASP.NET   The following are the Headers from the HOST response (Status-Line) HTTP/1.1 200 OK Cache-Control public, max-age=300 Content-Length 6189 Content-Type image/jpeg; charset=utf-8 Date Fri, 11 Mar 2011 20:47:15 GMT Last-Modified Fri, 11 Mar 2011 20:47:02 GMT Server Microsoft-IIS/7.5 X-AspNet-Version 4.0.30319 X-Powered-By ASP.NET   You can see that with the CDN request, the countdown (age) starts for aging the content. The full sample is located here: CDNSampleSite.zip [1] http://blogs.msdn.com/b/windowsazure/archive/2011/03/09/now-available-updated-windows-azure-sdk-and-windows-azure-management-portal.aspx [2] http://msdn.microsoft.com/en-us/library/ff919703.aspx

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  • How can I generate a 2d navigation mesh in a dynamic environment at runtime?

    - by Stephen
    So I've grasped how to use A* for path-finding, and I am able to use it on a grid. However, my game world is huge and I have many enemies moving toward the player, which is a moving target, so a grid system is too slow for path-finding. I need to simplify my node graph by using a navigational mesh. I grasp the concept of "how" a mesh works (finding a path through nodes on the vertices and/or the centers of the edges of polygons). My game uses dynamic obstacles that are procedurally generated at run-time. I can't quite wrap my head around how to take a plane that has multiple obstacles in it and programatically divide the walkable area up into polygons for the navigation mesh, like the following image. Where do I start? How do I know when a segment of walk-able area is already defined, or worse, when I realize I need to subdivide a previously defined walk-able area as the algorithm "walks" through the map? I'm using javascript in nodejs, if it matters.

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  • Better than dynamic SQL - How to pass a list of comma separated IDs into a stored proc

    - by Rodney Vinyard
    Better than dynamic SQL - How to pass a list of comma separated IDs into a stored proc:     Derived form "Method 6" from a great article: ·         How to pass a list of values or array to SQL Server stored procedure ·          http://vyaskn.tripod.com/passing_arrays_to_stored_procedures.htm     Create PROCEDURE [dbo].[GetMyTable_ListByCommaSepReqIds] (@CommaSepReqIds varchar(500))   AS   BEGIN   select * from MyTable q               JOIN               dbo.SplitStringToNumberTable(@CommaSepReqIds) AS s               ON               q.MyTableId = s.ID End     ALTER FUNCTION [dbo].[SplitStringToNumberTable] (        @commaSeparatedList varchar(500) ) RETURNS @outTable table (        ID int ) AS BEGIN        DECLARE @parsedItem varchar(10), @Pos int          SET @commaSeparatedList = LTRIM(RTRIM(@commaSeparatedList))+ ','        SET @commaSeparatedList = REPLACE(@commaSeparatedList, ' ', '')        SET @Pos = CHARINDEX(',', @commaSeparatedList, 1)          IF REPLACE(@commaSeparatedList, ',', '') <> ''        BEGIN               WHILE @Pos > 0               BEGIN                      SET @parsedItem = LTRIM(RTRIM(LEFT(@commaSeparatedList, @Pos - 1)))                      IF @parsedItem <> ''                            BEGIN                                   INSERT INTO @outTable (ID)                                   VALUES (CAST(@parsedItem AS int)) --Use Appropriate conversion                            END                            SET @commaSeparatedList = RIGHT(@commaSeparatedList, LEN(@commaSeparatedList) - @Pos)                            SET @Pos = CHARINDEX(',', @commaSeparatedList, 1)               END        END           RETURN END

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  • How to to let Google know about dynamic content?

    - by Yaniv
    Im looking for the best practice to let Google know about a vast number of dynamically created content. Let's say (I mean - dream) that I'm Facebook, and I want to let Google to index all the users' posts. Sitemap.xml may be the answer for this but they are limited to 50,000 URLs in each site map. I know that I can create 500 sitemaps and create a sitemap for sitemaps, but they are also limited, 25,000,000 URLS sounds quite enough at the moment, but could cause problems in the future. I.E - stackoverflow already has 3 Million posts, probably sitemap is not the solution for them. Creating a page with paging, and links to all the dynamic data. i guess this is what stackoverflow did by creating this page here: http://stackoverflow.com/questions So I think that Option 2 is the answer, but it seems to me that sitemaps might have some added value. So what should i do?

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  • Tab Sweep: Dynamic JSF Forms, GlassFish on VPS, Upgrading to 3.1.2, Automated Deployment Script, ...

    - by arungupta
    Recent Tips and News on Java, Java EE 6, GlassFish & more : • Dynamic forms, JSF world was long waiting for (Oleg Varaksin) • Creating a Deployment Pipeline with Jenkins, Nexus, Ant and Glassfish (Rob Terp) • Installing Java EE 6 SDK with Glassfish included on a VPS without GUI (jvm host) • GlassFish multimode Command for Batch Processing (javahowto) • Servlet Configuration in Servlet 3.0 api (Nikos Lianeris) • Creating a Simple Java Message Service (JMS) Producer with NetBeans and GlassFish (Oracle Learning Library) • GlassFish 3.1 to JBoss AS 7.1.1 EJB Invocation (java howto) • Tests In Java Ee For Zero-error Applications (Dylan Rodriguez) • Upgrading GlassFish 3.1.1 to 3.1.2 on Oracle Linux 6.2 64-bit (Matthias Hoys) • Migrating an Automated Deployment Script from Glassfish v2 to Glassfish v3 (Rob Terp) • Installer updates, Glassfish, Confluence and more…! (Rimu Hosting)

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