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  • how can I speed up insertion of many rows to a table via ADO.NET?

    - by jcollum
    I have a table that has 5 columns: AcctId (int), Address1 (varchar), Address2 (varchar), Person1 (varchar), Person2 (varchar) . I'm generating random data to insert into this table via a C# console application. I've tried doing this random data insert via SQL-Server and decided it was not a good solution -- SQL is not good at random on an each-row basis. Generating the random data -- 975k rows of it -- takes a minimal amount of time. It's in a List of custom objects. I need to take this random data and update many rows in the database with the new random data. I tried updating the rows one at a time, very slow because of the repeated searching of the List object in code. So I think the best approach is to put all the randomized data into a table in the database, then update all the other tables that use this data. I.e. UPDATE t SET t.Address1=d.Address1 FROM Table1 t INNER JOIN RandomizedData d ON d.AcctId = t.Acct_ID. The database is very un-normalized so this Acct data is sprinkled all over the place. I've got no control of the normalization. So, having decided to insert all of the randomized data into a single table, I set out to create insert scripts: USE TheDatabase Insert tmp_RandomizedData SELECT 1,'4392 EIGHTH AVE','','JENNIFER CARTER','BARBARA CARTER' UNION ALL SELECT 2,'2168 MAIN ST','HNGR F','DANIEL HERNANDEZ','SUSAN MARTIN' // etc another 98 times... // FYI, this is not real data! I'm building this INSERT script in batches of 100. It's taking on average 175 ms to run each insert. Does this seem like a long time? It's going to take about 35 mins to run the whole insert. The table doesn't have a primary key or any indexes. I was planning on adding those after all the data in inserted (thinking that that would be faster). Is there a better way to do this?

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  • Making RDoc Ruby Gem Default on Mac OS X

    - by jkale
    Hey all, I've recently installed RDoc version (2.4.3) through Ruby gems to replace the one shipped with Mac OS X (version 1.0.1). Unfortunately, I can still only use RDoc 1.0.1 when I call run "rdoc" at the command line. rdoc -v returns: RDoc V1.0.1 - 20041108 I tried amending the $PATH variable to point the first entry to the RDoc 2.4.3 folder but no luck. I couldn't find anything about this online either, so I thought I'd ask here. Cheers! Update: Running "gem list -d --version 1.0.1 rdoc" returns: *** LOCAL GEMS *** rdoc (2.4.3) Authors: Eric Hodel, Dave Thomas, Phil Hagelberg, Tony Strauss Rubyforge: http://rubyforge.org/projects/rdoc Homepage: http://rdoc.rubyforge.org Installed at: /usr/local/lib/ruby/gems/1.8 RDoc is an application that produces documentation for one or more Ruby source files Therefore, it's definitely the Mac OSX version of RDoc that's interfering with the Gems version. Update 2: I found out, using: `bash --debugger rdoc` that the old version of RDoc was in /opt/local/bin. I deleted it and added my gems directory to my $PATH `export PATH=/usr/local/lib/ruby/gems/1.8/gems/` I now have a fresh working copy of the latest RDoc!

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  • Patterns for non-layered applications

    - by Paul Stovell
    In Patterns of Enterprise Application Architecture, Martin Fowler writes: This book is thus about how you decompose an enterprise application into layers and how those layers work together. Most nontrivial enterprise applications use a layered architecture of some form, but in some situations other approaches, such as pipes and filters, are valuable. I don't go into those situations, focussing instead on the context of a layered architecture because it's the most widely useful. What patterns exist for building non-layered applications/parts of an application? Take a statistical modelling engine for a financial institution. There might be a layer for data access, but I expect that most of the code would be in a single layer. Would you still expect to see Gang of Four patterns in such a layer? How about a domain model? Would you use OO at all, or would it be purely functional? The quote mentions pipes and filters as alternate models to layers. I can easily imagine a such an engine using pipes as a way to break down the data processing. What other patterns exist? Are there common patterns for areas like task scheduling, results aggregation, or work distribution? What are some alternatives to MapReduce?

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  • PHP: Aggregate Model Classes or Uber Model Classes?

    - by sunwukung
    In many of the discussions regarding the M in MVC, (sidestepping ORM controversies for a moment), I commonly see Model classes described as object representations of table data (be that an Active Record, Table Gateway, Row Gateway or Domain Model/Mapper). Martin Fowler warns against the development of an anemic domain model, i.e. a class that is nothing more than a wrapper for CRUD functionality. I've been working on an MVC application for a couple of months now. The DBAL in the application I'm working on started out simple (on account of my understanding - oh the benefits of hindsight), and is organised so that Controllers invoke Business Logic classes, that in turn access the database via DAO/Transaction Scripts pertinent to the task at hand. There are a few "Entity" classes that aggregate these DAO objects to provide a convenient CRUD wrapper, but also embody some of the "behaviour" of that Domain concept (for example, a user - since it's easy to isolate). Taking a look at some of the code, and thinking along refactoring some of the code into a Rich Domain Model, it occurred to me that were I to try and wrap the CRUD routines and behaviour of say, a Company into a single "Model" class, that would be a sizeable class. So, my question is this: do Models represent domain objects, business logic, service layers, all of the above combined? How do you go about defining the responsibilities for these components?

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  • What guidelines should be followed when using an unstable/testing/stable branching scheme?

    - by Elliot
    My team is currently using feature branches while doing development. For each user story in our sprint, we create a branch and work it in isolation. Hence, according to Martin Fowler, we practice Continuous Building, not Continuous Integration. I am interested in promoting an unstable/testing/stable scheme, similar to that of Debian, so that code is promoted from unstable = testing = stable. Our definition of done, I'd recommend, is when unit tests pass (TDD always), minimal documentation is complete, automated functional tests pass, and feature has been demo'd and accepted by PO. Once accepted by the PO, the story will be merged into the testing branch. Our test developers spend most of their time in this branch banging on the software and continuously running our automated tests. This scares me, however, because commits from another incomplete story may now make it into the testing branch. Perhaps I'm missing something because this seems like an undesired consequence. So, if moving to a code promotion strategy to solve our problems with feature branches, what strategy/guidelines do you recommend? Thanks.

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  • Ext JS 4: Show all columns in Ext.grid.Panel as custom option

    - by MacGyver
    Is there a function that can be called on an Ext.grid.Panel in ExtJS that will make all columns visible, if some of them are hidden by default? Whenever an end-user needs to show the hidden columns, they need to click each column. Below, I have some code to add a custom menu option when you select a field header. I'd like to execute this function so all columns show. As an example below, I have 'Project ID' and 'User Created' hidden by default. By choosing 'Select All Columns' would turn those columns on, so they show in the list view. listeners: { ... }, afterrender: function() { var menu = this.headerCt.getMenu(); menu.add([{ text: 'Select All Columns', handler: function() { var columnDataIndex = menu.activeHeader.dataIndex; alert('custom item for column "'+columnDataIndex+'" was pressed'); } }]); } } }); =========================== Answer (with code): Here's what I decided to do based on Eric's code below, since hiding all columns was silly. afterrender: function () { var menu = this.headerCt.getMenu(); menu.add([{ text: 'Show All Columns', handler: function () { var columnDataIndex = menu.activeHeader.dataIndex; Ext.each(grid.headerCt.getGridColumns(), function (column) { column.show(); }); } }]); menu.add([{ text: 'Hide All Columns Except This', handler: function () { var columnDataIndex = menu.activeHeader.dataIndex; alert(columnDataIndex); Ext.each(grid.headerCt.getGridColumns(), function (column) { if (column.dataIndex != columnDataIndex) { column.hide(); } }); } }]); }

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  • C# connect to domain SQL Server 2005 from non-domain machine

    - by user304582
    Hi, I asked a question a few days ago (http://stackoverflow.com/questions/2795723/access-to-sql-server-2005-from-a-non-domain-machine-using-windows-authentication) which got some interesting, but not usable suggestions. I'd like to ask the question again, but make clear what my constraints are: I have a Windows domain within which a machine is running SQL Server 2005 and which is configured to support only Windows authentication. I would like to run a C# client application on a machine on the same network, but which is NOT on the domain, and access a database on the SQL Server 2005 instance. I CANNOT create or modify OS or SQL Server users on either machine, and I CANNOT make any changes to permissions or impersonation, and I CANNOT make use of runas. I know that I can write Perl and Java applications that can connect to the SQL Server database using only these four parameters: server name, database name, username (in the form domain\user), and password. In C# I have tried various things around: string connectionString = "Data Source=server;Initial Catalog=database;User Id=domain\user;Password=password"; SqlConnection connection = new SqlConnection(connectionString); connection.Open(); and tried setting integrated security to true and false, but nothing seems to work. Is what I am trying to do simply impossible in C#? Thanks for any help, Martin

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  • Display pdf file inline in Rails app

    - by Martas
    Hi, I have a pdf file attachment saved in the cloud. The file is attached using attachment_fu. All I do to display it in the view is: <%= image_tag @model.pdf_attachment.public_filename %> When I load the page with this code in the browser, it does what I want: it displays the attached pdf file. But only on Mac. On Windows, browsers will display a broken image placeholder. Chrome's Developer Tools report: "Resource interpreted as image but transferred with MIME type application/pdf." I also tried sending the file from controller: in PdfAttachmentController: def send_pdf_attachment pdf_attachment = PdfAttachment.find params[:id] send_file pdf_attachment.public_filename, :type => pdf_attachment.content_type, :file_name => pdf_attachment.filename, :disposition => 'inline' end in routes.rb: map.send_pdf_attachment '/pdf_attachments/send_pdf_attachment/:id', :controller => 'pdf_attachments', :action => 'send_pdf_attachment' and in the view: <%= send_pdf_attachment_path @model.pdf_attachment %> or <%= image_tag( send_pdf_attachment_path @model.pdf_attachment ) %> And that doesn't display the file on Mac (I didn't try on Windows), it displays the path: pdf_attachments/send_pdf_attachment/35 So, my question is: what do I do to properly display a pdf file inline? Thanks martin

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  • How Does One Make Scala Control Abstraction in Repeat Until?

    - by peter_pilgrim
    Hi I am Peter Pilgrim. I watched Martin Odersky create a control abstraction in Scala. However I can not yet seem to repeat it inside IntelliJ IDEA 9. Is it the IDE? package demo class Control { def repeatLoop ( body: = Unit ) = new Until( body ) class Until( body: = Unit ) { def until( cond: = Boolean ) { body; val value: Boolean = cond; println("value="+value) if ( value ) repeatLoop(body).until(cond) // if (cond) until(cond) } } def doTest2(): Unit = { var y: Int = 1 println("testing ... repeatUntil() control structure") repeatLoop { println("found y="+y) y = y + 1 } { until ( y < 10 ) } } } The error message reads: Information:Compilation completed with 1 error and 0 warnings Information:1 error Information:0 warnings C:\Users\Peter\IdeaProjects\HelloWord\src\demo\Control.scala Error:Error:line (57)error: Control.this.repeatLoop({ scala.this.Predef.println("found y=".+(y)); y = y.+(1) }) of type Control.this.Until does not take parameters repeatLoop { In the curried function the body can be thought to return an expression (the value of y+1) however the declaration body parameter of repeatUntil clearly says this can be ignored or not? What does the error mean?

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  • Dynamically changing background color of a UIView

    - by EricM
    Hello- Here's my setup. I have a viewcontroller that I'm creating and adding as a subview. The viewcontroller presents some options that a user can chose from. The viewcontroller is being pushed in response to a "long press" gesture. Within the viewcontroller, I added a child UIView to group some other controls together so I can move them around the screen as a unit and, when they are displayed, center them on the location of the long press. Here is the code that instantiates the view controller, changes its location, and adds it as a subview: UserOptions *opts = [[UserOptions alloc] initWithNibName:@"UserOptions" bundle:nil]; [opts recenterOptions:location]; [self.view addSubview:opts.view]; That bit of code does create and push the viewcontroller, but the call to recenterOptions doesn't do anything. Here is that method: - (void) recenterOptions:(CGPoint)location { CGRect oldFrame = self.optionsView.frame; CGFloat newX = location.x; // + oldFrame.size.width / 2.0; CGFloat newY = location.y; // + oldFrame.size.height / 2.0; CGRect newFrame = CGRectMake(newX, newY, oldFrame.size.width, oldFrame.size.height); self.optionsView.frame = newFrame; } Note that self.optionsView is the child UIView that I added to the viewcontroller's nib. Does anyone know why I'm unable to change the location of the UIView? Regards, Eric

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  • Problems compiliing c++ code using cygwin

    - by user343403
    I am trying to compile some source code in cygwin (in windows 7) and get the following error when I run the make file g++ -DHAVE_CONFIG_H -I. -I.. -I.. -Wall -Wextra -Werror -g -O2 -MT libcommon_a Fcntl.o -MD -MP -MF .deps/libcommon_a-Fcntl.Tpo -c -o libcommon_a-Fcntl.o `test -f 'Fcntl.cpp' || echo './'`Fcntl.cpp Fcntl.cpp: In function int setCloexec(int): Fcntl.cpp:8: error: 'F_GETFD' was not declared in this scope Fcntl.cpp:8: error: 'fcntl' was not declared in this scope Fcntl.cpp:11: error: 'FD_CLOEXEC' was not declared in this scope Fcntl.cpp:12: error: 'F_SETFD' was not declared in this scope make[4]: *** [libcommon_a-Fcntl.o] Error 1 make[4]: Leaving directory `/abyss-1.1.2/Common' make[3]: *** [all-recursive] Error 1 make[3]: Leaving directory `/abyss-1.1.2' make[2]: *** [all] Error 2 make[2]: Leaving directory `/abyss-1.1.2' make[1]: *** [.build-conf] Error 2 make[1]: Leaving directory `/cygdrive/c/Users/Martin/Documents/NetBeansProjects/abyss-1.1.2_1' make: *** [.build-impl] Error 2 The problem file is:- #include "Fcntl.h" #include <fcntl.h> /* Set the FD_CLOEXEC flag of the specified file descriptor. */ int setCloexec(int fd) { int flags = fcntl(fd, F_GETFD, 0); if (flags == -1) return -1; flags |= FD_CLOEXEC; return fcntl(fd, F_SETFD, flags); } I don't understand what is going on, the file fcntl.h is available and the varaiables that it says were not declared in this scope do not give an error when I compile the file on its own Any help would be much appreciated Many Thanks

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  • MS hotfix delayed delivery.

    - by MOE37x3
    I just requested a hotfix from support.microsoft.com and put in my email address, but I haven't received the email yet. The splash page I got after I requested the hotfix said: Hotfix Confirmation We will send these hotfixes to the following e-mail address: (my correct email address) Usually, our hotfix e-mail is delivered to you within five minutes. However, sometimes unforeseen issues in e-mail delivery systems may cause delays. We will send the e-mail from the “[email protected]” e-mail account. If you use an e-mail filter or a SPAM blocker, we recommend that you add “[email protected]” or the “microsoft.com” domain to your safe senders list. (The safe senders list is also known as a whitelist or an approved senders list.) This will help prevent our e-mail from going into your junk e-mail folder or being automatically deleted. I'm sure that the email is not getting caught in a spam catcher. How long does it normally take to get one of these hotfixes? Am I waiting for some human to approve it, or something? Should I just give up and try to get the file I need some other way? (Update: Replaced "[email protected]" with "(my correct email address)" to resolve Martín Marconcini's ambiguity.)

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  • What makes good web form styling for business applications?

    - by ProfK
    Styling forms (form elements) is something that even Eric Meyer prefers to avoid. However, most business forms, and that is where styling is at issue; 'contact us' forms are easy to style, put window estate at a premium, with more 'document level' (e.g. invoice) fields, plus 'detail level' (e.g. invoice line) fields. Factors I often find at play are: At my minimum, at least two horizontally adjacent fieldsets are required. In applications vs. public web pages, fixed positioning vs fluid layout is often better. Quantity of content is important, vs. exaggerated readability. Users know the system, and cues etc. take a back seat. In light of factors like these, is there any available guidence for styling web form based applications? Are there any CSS or JavaScript frameworks that would make my quest to style these applications better than Visual Studios still pathetic 'Auto-format' (what drugs were those people on? I will never take them.)

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  • Sampling Duplicates

    - by user3640982
    I have a dataset from which I need to sample. It is set up with an ID field and a year field. I want every record from the most current year and then I want the most current ID's but sampled from every 3rd year going back. The data is ordered by year. For example ID<-rep(1:3, 5) Year<-rep(c(1,2,3,4,5),each=3) df<-data.frame(ID,Year) ID Year 1 1 1 2 2 1 3 3 1 4 1 2 5 2 2 6 3 2 7 1 3 8 2 3 9 3 3 10 1 4 11 2 4 12 3 4 13 1 5 14 2 5 15 3 5 So from this example, I would want to return ID Year 1 1 1 2 2 1 3 3 1 4 1 4 5 2 4 6 3 4 I'm thinking that some combination of duplicated() and which() should get what I want, but the problem is duplicated() just tells if it has been repeated; it doesn't say which record is being repeated. which(duplicated(df$ID)) [1] 4 5 6 7 8 9 10 11 12 13 14 15 This a problem since not every ID exists in every year. Any help would be appreciated. Thanks, Eric

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  • How is a referencing environment generally implemented for closures?

    - by Alexandr Kurilin
    Let's say I have a statically/lexically scoped language with deep binding and I create a closure. The closure will consist of the statements I want executed plus the so called referencing environment, or, to quote this post, the collection of variables which can be used. What does this referencing environment actually look like implementation-wise? I was recently reading about ObjectiveC's implementation of blocks, and the author suggests that behind the scenes you get a copy of all of the variables on the stack and also of all the references to heap objects. The explanation claims that you get a "snapshot" of the referencing environment at the point in time of the closure's creation. Is that more or less what happens, or did I misread that? Is anything done to "freeze" a separate copy of the heap objects, or is it safe to assume that if they get modified between closure creation and the closure executing, the closure will no longer be operating on the original version of the object? If indeed there's copying being made, are there memory usage considerations in situations where one might want to create plenty of closures and store them somewhere? I think that misunderstanding of some of these concepts might lead to tricky issues like the ones Eric Lippert mentions in this blog post. It's interesting because you'd think that it wouldn't make sense to keep a reference to a value type that might be gone by the time the closure is called, but I'm guessing that in C# the compiler will figure out that the variable is needed later and put it into the heap instead. It seems that in most memory-managed languages everything is a reference and thus ObjectiveC is a somewhat unique situation with having to deal with copying what's on the stack.

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  • Auto increment with a Unit Of Work

    - by Derick
    Context I'm building a persistence layer to abstract different types of databases that I'll be needing. On the relational part I have mySQL, Oracle and PostgreSQL. Let's take the following simplified MySQL tables: CREATE TABLE Contact ( ID varchar(15), NAME varchar(30) ); CREATE TABLE Address ( ID varchar(15), CONTACT_ID varchar(15), NAME varchar(50) ); I use code to generate system specific alpha numeric unique ID's fitting 15 chars in this case. Thus, if I insert a Contact record with it's Addresses I have my generated Contact.ID and Address.CONTACT_IDs before committing. I've created a Unit of Work (amongst others) as per Martin Fowler's patterns to add transaction support. I'm using a key based Identity Map in the UoW to track the changed records in memory. It works like a charm for the scenario above, all pretty standard stuff so far. The question scenario comes in when I have a database that is not under my control and the ID fields are auto-increment (or in Oracle sequences). In this case I do not have the db generated Contact.ID beforehand, so when I create my Address I do not have a value for Address.CONTACT_ID. The transaction has not been started on the DB session since all is kept in the Identity Map in memory. Question: What is a good approach to address this? (Avoiding unnecessary db round trips) Some ideas: Retrieve the last ID: I can do a call to the database to retrieve the last Id like: SELECT Auto_increment FROM information_schema.tables WHERE table_name='Contact'; But this is MySQL specific and probably something similar can be done for the other databases. If do this then would need to do the 1st insert, get the ID and then update the children (Address.CONTACT_IDs) – all in the current transaction context.

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  • barebones sort algorithm

    - by user309322
    i have been asked to make a simple sort aglorithm to sort a random series of 6 numbers into numerical order. However i have been asked to do this using "Barebones" a theoretical language put forward in the Book Computer Science an overview. Some information on the language can be found here http://www.brouhaha.com/~eric/software/barebones/ Just to clarify i am a student teacher and have been doing anaysis on "mini-programing languages" and their uses in a teaching environment, i suggested to my tutor that i look at barebones and asked what sort of exmaple program i should write . He suggested a simple sort algorithm. Now since looking at the language i cant understand how i can do this without using arrays and if statements. The code to swap the value of variables would be while a not 0 do; incr Aux1; decr a; end; while b not 0 do; incr Aux2 decr b end; while Aux1 not 0 do; incr a; decr Aux1; end; while Aux2 not 0 do; incr b; decr Aux2; end; however the language does not provide < or operators

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  • How should rules for Aggregate Roots be enforced?

    - by MylesRip
    While searching the web, I came across a list of rules from Eric Evans' book that should be enforced for aggregates: The root Entity has global identity and is ultimately responsible for checking invariants Root Entities have global identity. Entities inside the boundary have local identity, unique only within the Aggregate. Nothing outside the Aggregate boundary can hold a reference to anything inside, except to the root Entity. The root Entity can hand references to the internal Entities to other objects, but they can only use them transiently (within a single method or block). Only Aggregate Roots can be obtained directly with database queries. Everything else must be done through traversal. Objects within the Aggregate can hold references to other Aggregate roots. A delete operation must remove everything within the Aggregate boundary all at once When a change to any object within the Aggregate boundary is committed, all invariants of the whole Aggregate must be satisfied. This all seems fine in theory, but I don't see how these rules would be enforced in the real world. Take rule 3 for example. Once the root entity has given an exteral object a reference to an internal entity, what's to keep that external object from holding on to the reference beyond the single method or block? (If the enforcement of this is platform-specific, I would be interested in knowing how this would be enforced within a C#/.NET/NHibernate environment.)

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  • Learning Java, how to type text on canvas?

    - by Voley
    I'm reading a book by Eric Roberts - Art and science of java and it got an excersise that I can't figure out - You have to make calendar, with GRect's, 7 by 6, that goes ok, the code part is easy, but also you have to type the numbers of the date on those rectangles, and it's kinda hard for me, there is nothing about it in the book. I tried using GLabel thing, but here arises the problem that I need to work on those numbers, and it says "can't convert from int to string and vice versa". GLabel (string, posX, posY) - it is not accepting int as a parameter, only string, I even tried typecasting, still not working. For example I want to make a loop int currentDate = 1; while (currentDate < 31) { add(new Glabel(currentDate, 100, 100); currentDate++; This code is saying that no man, can't convert int to string. If i try changing currentDate to string, it works, but I got a problem with calculation, as I can't manipulate with number in string, it doesn't even allow to typecast it into int. How can I fix it? Maybe there is another class or method to type the text over those rectangles? I know about println but it doen't have any x or y coordinates, so I can't work with it. And I think it's only for console programs.

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  • MemoryFailPoint fires to early in WinXP 64

    - by msedi
    Hello, I have created a volume class (called VoxelVolume) with a self-organizing memory management, since the GC in C# didn't provide a good mechanism for managing contents of the volume for mapping, unmapping and remapping. Although I could have used the mechanisms of virtual memory, the problem is that the files are often too large to fit into the page file and I don't want to force the users to increase the pagefile size. Currently this system is working quite well and there is no problem in lacking resources and OutOfMemoryExceptions since the InsufficientMemoryException using the MemoryFailPoint works quite well. This was all testes on a 32bit WinXP system with 2GB of main memory. Running the same mechanism on 64bit system with 32GB of main memory also works well, but when the application runs the MemoryFailPoint suddenly throws an exception although 24GB of main memory are still free. Another point is when the MemoryFailPoint has fired once, it fires everytime and there is no chance to get rid of it. What I have read so far, that there is a small object and a large object heap (SOH and LOH). But only for the SOH the GC takes real care of and I can free the SOH from unused objects by applying GC.Collect() and GC.WaitForPendingFinalizers. The MemoryFailPoint is obviously the only way to get a little bit of control for the LOH, but since there is enough memory left on the system I see no reason why the MemoryFilePoint should fire. Is there any experience around here using the MemoryFailPoint? Thank you for your help Martin

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  • Is Assert.Fail() considered bad practice?

    - by Mendelt
    I use Assert.Fail a lot when doing TDD. I'm usually working on one test at a time but when I get ideas for things I want to implement later I quickly write an empty test where the name of the test method indicates what I want to implement as sort of a todo-list. To make sure I don't forget I put an Assert.Fail() in the body. When trying out xUnit.Net I found they hadn't implemented Assert.Fail. Of course you can always Assert.IsTrue(false) but this doesn't communicate my intention as well. I got the impression Assert.Fail wasn't implemented on purpose. Is this considered bad practice? If so why? @Martin Meredith That's not exactly what I do. I do write a test first and then implement code to make it work. Usually I think of several tests at once. Or I think about a test to write when I'm working on something else. That's when I write an empty failing test to remember. By the time I get to writing the test I neatly work test-first. @Jimmeh That looks like a good idea. Ignored tests don't fail but they still show up in a separate list. Have to try that out. @Matt Howells Great Idea. NotImplementedException communicates intention better than assert.Fail() in this case @Mitch Wheat That's what I was looking for. It seems it was left out to prevent it being abused in another way I abuse it.

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  • Communication between lexer and parser

    - by FredOverflow
    Every time I write a simple lexer and parser, I stumble upon the same question: how should the lexer and the parser communicate? I see four different approaches: The lexer eagerly converts the entire input string into a vector of tokens. Once this is done, the vector is fed to the parser which converts it into a tree. This is by far the simplest solution to implement, but since all tokens are stored in memory, it wastes a lot of space. Each time the lexer finds a token, it invokes a function on the parser, passing the current token. In my experience, this only works if the parser can naturally be implemented as a state machine like LALR parsers. By contrast, I don't think it would work at all for recursive descent parsers. Each time the parser needs a token, it asks the lexer for the next one. This is very easy to implement in C# due to the yield keyword, but quite hard in C++ which doesn't have it. The lexer and parser communicate through an asynchronous queue. This is commonly known under the title "producer/consumer", and it should simplify the communication between the lexer and the parser a lot. Does it also outperform the other solutions on multicores? Or is lexing too trivial? Is my analysis sound? Are there other approaches I haven't thought of? What is used in real-world compilers? It would be really cool if compiler writers like Eric Lippert could shed some light on this issue.

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  • When is a try catch not a try catch?

    - by Dearmash
    I have a fun issue where during application shutdown, try / catch blocks are being seemingly ignored in the stack. I don't have a working test project (yet due to deadline, otherwise I'd totally try to repro this), but consider the following code snippet. public static string RunAndPossiblyThrow(int index, bool doThrow) { try { return Run(index); } catch(ApplicationException e) { if(doThrow) throw; } return ""; } public static string Run(int index) { if(_store.Contains(index)) return _store[index]; throw new ApplicationException("index not found"); } public static string RunAndIgnoreThrow(int index) { try { return Run(index); } catch(ApplicationException e) { } return ""; } During runtime this pattern works famously. We get legacy support for code that relies on exceptions for program control (bad) and we get to move forward and slowly remove exceptions used for program control. However, when shutting down our UI, we see an exception thrown from "Run" even though "doThrow" is false for ALL current uses of "RunAndPossiblyThrow". I've even gone so far as to verify this by modifying code to look like "RunAndIgnoreThrow" and I'll still get a crash post UI shutdown. Mr. Eric Lippert, I read your blog daily, I'd sure love to hear it's some known bug and I'm not going crazy. EDIT This is multi-threaded, and I've verified all objects are not modified while being accessed

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  • Handling RSS Tags with NSXMLParser for iPhone

    - by MartinW
    I've found the following code for parsing through RSS but it does not seem to allow for nested elements: - (void)parser:(NSXMLParser *)parser didEndElement:(NSString *)elementName namespaceURI:(NSString *)namespaceURI qualifiedName:(NSString *)qName{ NSLog(@"ended element: %@", elementName); if ([elementName isEqualToString:@"item"]) { // save values to an item, then store that item into the array... [item setObject:currentTitle forKey:@"title"]; [item setObject:currentLink forKey:@"link"]; [item setObject:currentSummary forKey:@"summary"]; [item setObject:currentDate forKey:@"date"]; [item setObject:currentImage forKey:@"media:thumbnail"]; The RSS to used is: <item><title>Knife robberies and burglaries up</title> <description>The number of robberies carried out at knife-point has increased sharply and burglaries are also up, latest crime figures indicate</description> <link>http://news.bbc.co.uk/go/rss/-/1/hi/uk/7844455.stm</link> <guid isPermaLink="false">http://news.bbc.co.uk/1/hi/uk/7844455.stm</guid> <pubDate>Thu, 22 Jan 2009 13:02:03 GMT</pubDate><category>UK</category> <media:thumbnail width="66" height="49" url="http://newsimg.bbc.co.uk/media/images/45400000/jpg/_45400861_policegeneric_pa.jpg"/> </item> I need to extract the "url" element from the "media" tag. Thanks Martin

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  • Prototyping Qt/C++ in Python

    - by tstenner
    I want to write a C++ application with Qt, but build a prototype first using Python and then gradually replace the Python code with C++. Is this the right approach, and what tools (bindings, binding generators, IDE) should I use? Ideally, everything should be available in the Ubuntu repositories so I wouldn't have to worry about incompatible or old versions and have everything set up with a simple aptitude install. Is there any comprehensive documentation about this process or do I have to learn every single component, and if yes, which ones? Right now I have multiple choices to make: Qt Creator, because of the nice auto completion and Qt integration. Eclipse, as it offers support for both C++ and Python. Eric (haven't used it yet) Vim PySide as it's working with CMake and Boost.Python, so theoretically it will make replacing python code easier. PyQt as it's more widely used (more support) and is available as a Debian package. Edit: As I will have to deploy the program to various computers, the C++-solution would require 1-5 files (the program and some library files if I'm linking it statically), using Python I'd have to build PyQt/PySide/SIP/whatever on every platform and explain how to install Python and everything else.

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