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  • Getting list of states/events from a model that AASM's

    - by Jason Nerer
    Hi, I successfully integrated the most recent AASM gem into an application, using it for the creation of a wizard. In my case I have a model order class Order < ActiveRecord::Base belongs_to :user has_one :billing_plan, :dependent => :destroy named_scope :with_user, ..... <snip> include AASM aasm_column :aasm_state aasm_initial_state :unauthenticated_user aasm_state :unauthenticated_user, :after_exit => [:set_state_completed] aasm_state : <snip> <and following the event definitions> end Now I would like to give an administrator the possibility to create his own graphs through the AASM states. Therefore I created two additional models called OrderFlow and Transition where there order_flow has many transitions and order belongs_to order_flow. No problem so far. Now I would like to give my admin the possibility to dynamically add existing transitions / events to an order_flow graph. The problem now is, that I do not find any possibility to get a list of all events / transitions out of my order model. aasm_states_for_select seems to be the correct candidate, but I cannot call it on my order model. Can anyone help? Thx in advance. J.

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  • How do I sort feeds returned from Google Reader?

    - by Ed Marty
    When I query Google Reader for the list of subscriptions for a user, it seems to be returned in a fixed order, no matter what the order is as shown at google.com/reader. (see http://www.google.com/reader/api/0/subscription/list for the list I'm talking about) Each subscription returns a 'sortid', which Google Reader uses when the user rearranges subscriptions, by sending back a concatenation of all sortids in the new order after rearranging is finished. However, that sortid never changes. So my question is this: How do I actually get the order the subscriptions are supposed to be in? I've been using http://code.google.com/p/pyrfeed/wiki/GoogleReaderAPI as a reference, but it is lacking in this department, and I haven't found anything anywhere else either.

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  • Django: switch language of message sent from admin panel

    - by yoshi
    I have a model, Order, that has an action in the admin panel that lets an admin send information about the order to certain persons listed that order. Each person has language set and that is the language the message is supposed to be sent in. A short version of what I'm using: from django.utils.translation import ugettext as _ from django.core.mail import EmailMessage lang = method_that_gets_customer_language() body = _("Dear mister X, here is the information you requested\n") body += some_order_information subject = _("Order information") email = EmailMessage(subject, body, '[email protected]', ['[email protected]']) email.send() The customer information about the language he uses is available in lang. The default language is en-us, the translations are in french (fr) and german (de). Is there a way to use the translation for the language specified in lang for body and subject then switch back to en-us? For example: lang is 'de'. The subject and body should get the strings specified in the 'de' translation files.

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  • Service Layer - how broad should it be, and should it also be used from the local application?

    - by BornToCode
    The background: I need to build a desktop application with some operations (CRUD and more) (=winforms), I need to make another application which will re-use some of the functions of the main application (=webforms). I'm using service layer for reusing my functions. The service is calling the functions on the BL layer (correct me if I'm doing this wrong). so my desktop has 4 projects - DAL, BL, UI, WEBSERVICES. The dilemma (simple but I still need some more experienced opinions): In my main winform UI - should I call the functions from the BL - bl.getcustomers(), or do it similar to how I call it in the webform, and call the functions from the service - webservices.getcustomers? Should I create a service for every single function on the BL even if I need some of the functions only in one UI? for example - should I create services for all the CRUD operations, even though I need to re-use only update operation in the webform? YOUR HELP IS MUCH APPRECIATED

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  • Solution to combine two submit buttons.. doing two different things from the same input

    - by zac
    I am trying to figure out how to combine two different forms, both require the same input but they do two different things. One form sends a request to the ecommerce platform to get the order status, and another form takes the same order number and returns a tracking code from USP or USPS. I am looking for some guidance on how I could combine these two actions.. one is currently using the POST method and the other GET. Here is an example .. so one is This one runs a validation script to confirm the order number is valid and then returns the order info if it is the second form is sending a get request to an asp file that is generating the proper tracking numbers. Can someone please point me to how I could begin to tackle this?

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  • Alternative for PHP mail

    - by Robbert Dam
    In relation to an earlier question I'm looking for an alternative way to send an order from my website to the division in my company that processes the order. Currently I use PHP mail(), but frequently this gives problems. Big delays occur. Are there alternatives to PHP mail() that pushes the order to my company? So I prefer not to poll the website.

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  • Multiple vulnerabilities in Firefox web browser

    - by chandan
    CVE DescriptionCVSSv2 Base ScoreComponentProduct and Resolution CVE-2011-3062 Numeric Errors vulnerability 6.8 Firefox web browser Solaris 11 11/11 SRU 9.5 Solaris 10 SPARC: 145080-11 X86: 145081-10 CVE-2012-0467 Denial of service (DoS) vulnerability 10.0 CVE-2012-0468 Improper Restriction of Operations within the Bounds of a Memory Buffer vulnerability 10.0 CVE-2012-0469 Resource Management Errors vulnerability 10.0 CVE-2012-0470 Improper Restriction of Operations within the Bounds of a Memory Buffer vulnerability 10.0 CVE-2012-0471 Improper Neutralization of Input During Web Page Generation ('Cross-site Scripting') vulnerability 4.3 CVE-2012-0473 Numeric Errors vulnerability 5.0 CVE-2012-0474 Improper Neutralization of Input During Web Page Generation ('Cross-site Scripting') vulnerability 4.3 CVE-2012-0477 Improper Neutralization of Input During Web Page Generation ('Cross-site Scripting') vulnerability 4.3 CVE-2012-0478 Permissions, Privileges, and Access Controls vulnerability 9.3 CVE-2012-0479 Identity spoofing vulnerability 4.3 This notification describes vulnerabilities fixed in third-party components that are included in Sun's product distribution.Information about vulnerabilities affecting Oracle Sun products can be found on Oracle Critical Patch Updates and Security Alerts page.

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  • PHP: MySQL query duplicating update for no reason

    - by ThinkingInBits
    The code below is first the client code, then the class file. For some reason the 'deductTokens()' method is calling twice, thus charging an account double. I've been programming all night, so I may just need a second pair of eyes: if ($action == 'place_order') { if ($_REQUEST['unlimited'] == 200) { $license = 'extended'; } else { $license = 'standard'; } if ($photograph->isValidPhotographSize($photograph_id, $_REQUEST['size_radio'])) { $token_cost = $photograph->getTokenCost($_REQUEST['size_radio'], $_REQUEST['unlimited']); $order = new ImageOrder($_SESSION['user']['id'], $_REQUEST['size_radio'], $license, $token_cost); $order->saveOrder(); $order->deductTokens(); header('location: account.php'); } else { die("Please go back and select a valid photograph size"); } } ######CLASS CODE####### <?php include_once('database_classes.php'); class Order { protected $account_id; protected $cost; protected $license; public function __construct($account_id, $license, $cost) { $this->account_id = $account_id; $this->cost = $cost; $this->license = $license; } } class ImageOrder extends Order { protected $size; public function __construct($account_id, $size, $license, $cost) { $this->size = $size; parent::__construct($account_id, $license, $cost); } public function saveOrder() { //$db = Connect::connect(); //$account_id = $db->real_escape_string($this->account_id); //$size = $db->real_escape_string($this->size); //$license = $db->real_escape_string($this->license); //$cost = $db->real_escape_string($this->cost); } public function deductTokens() { $db = Connect::connect(); $account_id = $db->real_escape_string($this->account_id); $cost = $db->real_escape_string($this->cost); $query = "UPDATE accounts set tokens=tokens-$cost WHERE id=$account_id"; $result = $db->query($query); } } ?> When I die("$query"); directly after the query, it's printing the proper statement, and when I run that query within MySQL it works perfectly.

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  • Learn about CRM and CX at Oracle Days 2012

    - by Richard Lefebvre
    Oracle Day 2012 features learning tracks and sessions tailored for accelerating your business in today’s environment. Oracle simplifies IT by investing in best-of-breed technologies at every layer of the technology stack and engineering them to work together so you can focus on driving your business forward. Throughout its history, Oracle has proved it can address the most complex IT challenges and solve the business problems of our customers. Discover Oracle’s strategy for powering innovation in the areas of Cloud, Social, Mobile, Business Operations, Data Center Optimization, Big Data and Analytics. Oracle Day 2012: Tracks     Engine for Growth: The business for optimized data center Powering innovation for your enterprise applications Architect your cloud: A blueprint for Cloud builders See more, Act faster: powering innovation with analytics Business operations: Powering business innovation Customer Experience: Empowering people, powering brands Check out the agenda at local even for more details

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  • System.Windows.Forms.DataGridView does not display data

    - by Water Cooler v2
    All I am doing is a simple: // Both the methods, order.GetAllOrderItems() and order.GetOrderedItemsWhereBrandIs("foo") // return an IEnumerable<T> so the assignment to the DataSource property of the DataGridView // should be fine. The problem is in re-assigning the data source property. public void DisplayItems() { // The data appears if I have just this line. dgvOrderedItems.DataSource = order.GetAllOrderItems(); dgvOrderedItems.DataSource = null; // This time the data grid does not take the new data source. Instead, because // of the null assignment in the previous statement, it displays no data at all. dgvOrderedItems.DataSource = order.GetOrderedItemsWhereBrandIs("Lenovo"); } My question is: is there a way to change the data source of a DataGridView control once it has been set? I am using C# 4.0 and Visual Studio 2010 for development.

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  • how does MySQL implement the "group by"?

    - by user188916
    I read from the MySQL Reference Manual and find that when it can take use of index,it just do index scan,other it will create tmp tables and do things like filesort. And I also read from other article that the "Group By" result will sort by group by columns by default,if "order by null" clause added,it won't don filesort. The difference can be found from the "explain ..." clause. so my problem is:what is the difference between "group by" clause that with "order by null" and which doesn't have? I try to use profiling to see what mysql do on the background,and only see result like: result for group clause without order by null: |preparing | 0.000016 | | Creating tmp table | 0.000048 | | executing | 0.000009 | | Copying to tmp table | 0.000109 | **| Sorting result | 0.000023 |** | Sending data | 0.000027 | result for clause with "order by null": preparing | 0.000016 | | Creating tmp table | 0.000052 | | executing | 0.000009 | | Copying to tmp table | 0.000114 | | Sending data | 0.000028 | So I guess what MySQL do when the "order by null" added,it does not use filesort algorithm,maybe when it creates the tmp table,it uses index as well,and then use the index to do group by operation,when completed,it just read result from the table rows and does not sort the result. But my original opinion is that MySQL can use quicksort to sort the items and then do group by,so the result will be sorted as well. Any opinion appreciated,thanks.

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  • Make a Method of the Business Layer secure. best practice / best pattern [.net/c#]

    - by gsharp
    Hi We are using ASP.NET with a lot of AJAX "Page Method" calls. The WebServices defined in the Page invokes methods from our BusinessLayer. To prevent hackers to call the Page Methods, we want to implement some security in the BusinessLayer. We are struggling with two different issues. First one: public List<Employees> GetAllEmployees() { // do stuff } This Method should be called by Authorized Users with the Role "HR". Second one: public Order GetMyOrder(int orderId) { // do sutff } This Method should only be called by the owner of the Order. I know it's easy to implement the security for each method like: public List<Employees> GetAllEmployees() { // check if the user is in Role HR } or public Order GetMyOrder(int orderId) { // check if the order.Owner = user } What I'm looking for is some pattern/best practice to implement this kind of security in a generic way (without coding the the if then else every time) I hope you get what i mean :-) Thanks for you help.

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  • Make a Method of the Business Layer secure. best practice / best pattern

    - by gsharp
    We are using ASP.NET with a lot of AJAX "Page Method" calls. The WebServices defined in the Page invokes methods from our BusinessLayer. To prevent hackers to call the Page Methods, we want to implement some security in the BusinessLayer. We are struggling with two different issues. First one: public List<Employees> GetAllEmployees() { // do stuff } This Method should be called by Authorized Users with the Role "HR". Second one: public Order GetMyOrder(int orderId) { // do sutff } This Method should only be called by the owner of the Order. I know it's easy to implement the security for each method like: public List<Employees> GetAllEmployees() { // check if the user is in Role HR } or public Order GetMyOrder(int orderId) { // check if the order.Owner = user } What I'm looking for is some pattern/best practice to implement this kind of security in a generic way (without coding the the if then else every time) I hope you get what i mean :-)

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  • Include in service layer all the application's functions or only the reusable ones?

    - by BornToCode
    Background: I need to build a main application with some operations (CRUD and more) (-in winforms), I need to make another application which will re-use some of the functions of the main application (-in webforms). I understood that using service layer is the best approach here. If I understood correctly the service should be calling the function on the BL layer (correct me if I'm wrong) The dilemma: In my main winform UI - should I call the functions from the BL, or from the service? (please explain why) Should I create a service for every single function on the BL even if I need some of the functions only in one UI? for example - should I create services for all the CRUD operations, even though I need to re-use only update operation in the webform? YOUR HELP IS MUCH APPRECIATED

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  • Get script for every action in SQL Server Management Studio

    I am always conscious to keep a record of all operations performed on my database servers. Operations through T-SQL in an SSMS query pane can easily be saved in query files. For table modifications through SSMS designer I have predefined setting to generate T-SQL scripts. However there are numerous database and server level tasks that I use the SSMS GUI and I would like to have a script of these changes for later reference. Examples of such actions through the SSMS GUI are backup/restore, changing compatibility level of a database, manipulating permissions, dealing with database or log files or creating/manipulating any login/user. I am looking for any way to generate T-SQL code for such actions, so that it may be kept for later reference

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  • Performance Driven Manufacturing

    Manufacturers are searching for new, creative ways to address growing demands of global manufacturing. They want the latest tools and technologies to boost performance from their operations, suppliers, partners, distributors, and extended ecosystem, and they need global views for better visibility - both internally and across the extended supply chain. In addition, operations must move information more effectively to gain real-time insight into manufacturing shop floor status. Whether it's inside the plant or outside the traditional factory walls, manufacturers are searching for solutions to help them produce more for less, lower their total cost of ownership (TCO), and improve their return on investment (ROI).

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  • jQuery sortable: Revert changes if update callback makes an AJAX call that fails?

    - by Seth Petry-Johnson
    I am using the jQuery sortable() feature to re-order a list of items. After an item is drug to a new location, I kick off an AJAX form post to the server to save the new order. How can I undo the sort (e.g. return the drug item to its original position in the list) if I receive an error message from the server? Basically, I only want the re-order to "stick" if the server confirms that the changes were saved.

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  • Rearranged columns in C#

    - by chown
    How can I get the rearranged columns out of a datagridview in C#? I need to get all the columns currently being displayed in order. I can get the default columns order by setting datagridview.AutoGenerateColumns=false but I get the same old order even after I've rearranged the columns in my table. Thanks

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  • Aggregating a list of dates to start and end date

    - by Joe Mako
    I have a list of dates and IDs, and I would like to roll them up into periods of consucitutive dates, within each ID. For a table with the columns "testid" and "pulldate" in a table called "data": | A79 | 2010-06-02 | | A79 | 2010-06-03 | | A79 | 2010-06-04 | | B72 | 2010-04-22 | | B72 | 2010-06-03 | | B72 | 2010-06-04 | | C94 | 2010-04-09 | | C94 | 2010-04-10 | | C94 | 2010-04-11 | | C94 | 2010-04-12 | | C94 | 2010-04-13 | | C94 | 2010-04-14 | | C94 | 2010-06-02 | | C94 | 2010-06-03 | | C94 | 2010-06-04 | I want to generate a table with the columns "testid", "group", "start_date", "end_date": | A79 | 1 | 2010-06-02 | 2010-06-04 | | B72 | 2 | 2010-04-22 | 2010-04-22 | | B72 | 3 | 2010-06-03 | 2010-06-04 | | C94 | 4 | 2010-04-09 | 2010-04-14 | | C94 | 5 | 2010-06-02 | 2010-06-04 | This is the the code I came up with: SELECT t2.testid, t2.group, MIN(t2.pulldate) AS start_date, MAX(t2.pulldate) AS end_date FROM(SELECT t1.pulldate, t1.testid, SUM(t1.check) OVER (ORDER BY t1.testid,t1.pulldate) AS group FROM(SELECT data.pulldate, data.testid, CASE WHEN data.testid=LAG(data.testid,1) OVER (ORDER BY data.testid,data.pulldate) AND data.pulldate=date (LAG(data.pulldate,1) OVER (PARTITION BY data.testid ORDER BY data.pulldate)) + integer '1' THEN 0 ELSE 1 END AS check FROM data ORDER BY data.testid, data.pulldate) AS t1) AS t2 GROUP BY t2.testid,t2.group ORDER BY t2.group; I use the use the LAG windowing function to compare each row to the previous, putting a 1 if I need to increment to start a new group, I then do a running sum of that column, and then aggregate to the combinations of "group" and "testid". Is there a better way to accomplish my goal, or does this operation have a name? I am using PostgreSQL 8.4

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  • Standard term for a thread I/O reorder buffer?

    - by Crashworks
    I have a case where many threads all concurrently generate data that is ultimately written to one long, serial file. I need to somehow serialize these writes so that the file gets written in the right order. ie, I have an input queue of 2048 jobs j0..jn, each of which produces a chunk of data oi. The jobs run in parallel on, say, eight threads, but the output blocks have to appear in the file in the same order as the corresponding input blocks — the output file has to be in the order o0o1o2... The solution to this is pretty self evident: I need some kind of buffer that accumulates and writes the output blocks in the correct order, similar to a CPU reorder buffer in Tomasulo's algorithm, or to the way that TCP reassembles out-of-order packets before passing them to the application layer. Before I go code it, I'd like to do a quick literature search to see if there are any papers that have solved this problem in a particularly clever or efficient way, since I have severe realtime and memory constraints. I can't seem to find any papers describing this though; a Scholar search on every permutation of [threads, concurrent, reorder buffer, reassembly, io, serialize] hasn't yielded anything useful. I feel like I must just not be searching the right terms. Is there a common academic name or keyword for this kind of pattern that I can search on?

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  • Use a foreign key mapping to get data from the other table using Python and SQLAlchemy.

    - by Az
    Hmm, the title was harder to formulate than I thought. Basically, I've got these simple classes mapped to tables, using SQLAlchemy. I know they're missing a few items but those aren't essential for highlighting the problem. class Customer(object): def __init__(self, uid, name, email): self.uid = uid self.name = name self.email = email def __repr__(self): return str(self) def __str__(self): return "Cust: %s, Name: %s (Email: %s)" %(self.uid, self.name, self.email) The above is basically a simple customer with an id, name and an email address. class Order(object): def __init__(self, item_id, item_name, customer): self.item_id = item_id self.item_name = item_name self.customer = None def __repr__(self): return str(self) def __str__(self): return "Item ID %s: %s, has been ordered by customer no. %s" %(self.item_id, self.item_name, self.customer) This is the Orders class that just holds the order information: an id, a name and a reference to a customer. It's initialised to None to indicate that this item doesn't have a customer yet. The code's job will assign the item a customer. The following code maps these classes to respective database tables. # SQLAlchemy database transmutation engine = create_engine('sqlite:///:memory:', echo=False) metadata = MetaData() customers_table = Table('customers', metadata, Column('uid', Integer, primary_key=True), Column('name', String), Column('email', String) ) orders_table = Table('orders', metadata, Column('item_id', Integer, primary_key=True), Column('item_name', String), Column('customer', Integer, ForeignKey('customers.uid')) ) metadata.create_all(engine) mapper(Customer, customers_table) mapper(Orders, orders_table) Now if I do something like: for order in session.query(Order): print order I can get a list of orders in this form: Item ID 1001: MX4000 Laser Mouse, has been ordered by customer no. 12 What I want to do is find out customer 12's name and email address (which is why I used the ForeignKey into the Customer table). How would I go about it?

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  • Balanced Search Tree Query, Asymtotic Analysis..

    - by AGeek
    Hi, The situation is as follows:- We have n number and we have print them in sorted order. We have access to balanced dictionary data structure, which supports the operations serach, insert, delete, minimum, maximum each in O(log n) time. We want to retrieve the numbers in sorted order in O(n log n) time using only the insert and in-order traversal. The answer to this is:- Sort() initialize(t) while(not EOF) read(x) insert(x,t); Traverse(t); Now the query is if we read the elements in time "n" and then traverse the elements in "log n"(in-order traversal) time,, then the total time for this algorithm (n+logn)time, according to me.. Please explain the follow up of this algorithm for the time calculation.. How it will sort the list in O(nlogn) time?? Thanks.

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