10 research outputs found

    Cyber Security of Critical Infrastructures

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    Critical infrastructures are vital assets for public safety, economic welfare, and the national security of countries. The vulnerabilities of critical infrastructures have increased with the widespread use of information technologies. As Critical National Infrastructures are becoming more vulnerable to cyber-attacks, their protection becomes a significant issue for organizations as well as nations. The risks to continued operations, from failing to upgrade aging infrastructure or not meeting mandated regulatory regimes, are considered highly significant, given the demonstrable impact of such circumstances. Due to the rapid increase of sophisticated cyber threats targeting critical infrastructures with significant destructive effects, the cybersecurity of critical infrastructures has become an agenda item for academics, practitioners, and policy makers. A holistic view which covers technical, policy, human, and behavioural aspects is essential to handle cyber security of critical infrastructures effectively. Moreover, the ability to attribute crimes to criminals is a vital element of avoiding impunity in cyberspace. In this book, both research and practical aspects of cyber security considerations in critical infrastructures are presented. Aligned with the interdisciplinary nature of cyber security, authors from academia, government, and industry have contributed 13 chapters. The issues that are discussed and analysed include cybersecurity training, maturity assessment frameworks, malware analysis techniques, ransomware attacks, security solutions for industrial control systems, and privacy preservation methods

    Consortium for Robotics and Unmanned Systems Education and Research (CRUSER) 2019 Annual Report

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    Prepared for: Dr. Brian Bingham, CRUSER DirectorThe Naval Postgraduate School (NPS) Consortium for Robotics and Unmanned Systems Education and Research (CRUSER) provides a collaborative environment and community of interest for the advancement of unmanned systems (UxS) education and research endeavors across the Navy (USN), Marine Corps (USMC) and Department of Defense (DoD). CRUSER is a Secretary of the Navy (SECNAV) initiative to build an inclusive community of interest on the application of unmanned systems (UxS) in military and naval operations. This 2019 annual report summarizes CRUSER activities in its eighth year of operations and highlights future plans.Deputy Undersecretary of the Navy PPOIOffice of Naval Research (ONR)Approved for public release; distribution is unlimited

    Consortium for Robotics and Unmanned Systems Education and Research (CRUSER) 2019 Annual Report

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    Prepared for: Dr. Brian Bingham, CRUSER DirectorThe Naval Postgraduate School (NPS) Consortium for Robotics and Unmanned Systems Education and Research (CRUSER) provides a collaborative environment and community of interest for the advancement of unmanned systems (UxS) education and research endeavors across the Navy (USN), Marine Corps (USMC) and Department of Defense (DoD). CRUSER is a Secretary of the Navy (SECNAV) initiative to build an inclusive community of interest on the application of unmanned systems (UxS) in military and naval operations. This 2019 annual report summarizes CRUSER activities in its eighth year of operations and highlights future plans.Deputy Undersecretary of the Navy PPOIOffice of Naval Research (ONR)Approved for public release; distribution is unlimited

    What now?: a New Zealand children’s television production case study

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    This case study provides a snapshot of cultural agency within the production of a publicly funded magazine programme strand for children in New Zealand. What Now? considered by cohorts of children since 1981 to be a New Zealand children’s television institution, was scheduled in a commercial zone after school, and on non-commercial Sunday mornings, during the last years of the twentieth century. The thesis is framed by discussion of the complex global forces that shaped children’s audio-visual flows in the late 1990s. This discussion moves between analysis of parental concerns about diminishing public media spaces for local children and commercial and post structuralist celebration of children’s pleasures in consumption, and how this tension has seen children’s media rights become highly politicised during the 1990s. It takes a critical stance, analysing the unequal command over material resources and power for different agents, and the consequences of such inequality for the nature of the symbolic environment for children. It follows this frame with analysis of stakeholder struggles over shaping the text of What Now? The discussion concentrates on one year of production - from annual public funding round in 1997 to reformating of the strand in 1999. The author is interested in competing cultural, economic and political discourses in production talk. She analyses the interplay and negotiations between programme stakeholders, as revealed within the discursive battles of production talk, and their consequences for content and style of a television text. Micro-production moments illustrate how producers and other adult stakeholders imagine their child audiences, and how reified and reductive constructs of the child audience become instrumental in decisions made over commissioning, scheduling, creating and judging children’s programmes. The thesis sets itself a sequence of tasks: to articulate between global and local conditions of production, to complete a fine-grained study of children’s television producers as they imagine the role of their programme in children’s lives, to explore how those creative visions for children are delimited by other powerful stakeholders’ contrary constructs of children’s audiences, and to speculate about how the eventual text serves as a symbolic resource for New Zealand children. It draws on cross-disciplinary theorizing of culture, power and media agency to enable analysis of who has the power to delimit symbolic resources available to children in their ‘serious play’ of learning and identity formation. Certain conclusions can be drawn from the data, but the data also suggests many more questions for subsequent research

    Semantic discovery and reuse of business process patterns

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    Patterns currently play an important role in modern information systems (IS) development and their use has mainly been restricted to the design and implementation phases of the development lifecycle. Given the increasing significance of business modelling in IS development, patterns have the potential of providing a viable solution for promoting reusability of recurrent generalized models in the very early stages of development. As a statement of research-in-progress this paper focuses on business process patterns and proposes an initial methodological framework for the discovery and reuse of business process patterns within the IS development lifecycle. The framework borrows ideas from the domain engineering literature and proposes the use of semantics to drive both the discovery of patterns as well as their reuse

    Rethinking the risk matrix

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    So far risk has been mostly defined as the expected value of a loss, mathematically PL (being P the probability of an adverse event and L the loss incurred as a consequence of the adverse event). The so called risk matrix follows from such definition. This definition of risk is justified in a long term “managerial” perspective, in which it is conceivable to distribute the effects of an adverse event on a large number of subjects or a large number of recurrences. In other words, this definition is mostly justified on frequentist terms. Moreover, according to this definition, in two extreme situations (high-probability/low-consequence and low-probability/high-consequence), the estimated risk is low. This logic is against the principles of sustainability and continuous improvement, which should impose instead both a continuous search for lower probabilities of adverse events (higher and higher reliability) and a continuous search for lower impact of adverse events (in accordance with the fail-safe principle). In this work a different definition of risk is proposed, which stems from the idea of safeguard: (1Risk)=(1P)(1L). According to this definition, the risk levels can be considered low only when both the probability of the adverse event and the loss are small. Such perspective, in which the calculation of safeguard is privileged to the calculation of risk, would possibly avoid exposing the Society to catastrophic consequences, sometimes due to wrong or oversimplified use of probabilistic models. Therefore, it can be seen as the citizen’s perspective to the definition of risk

    Legal and regulatory aspects of mobile financial services

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    The thesis deals with the emergence of bank and non-bank entities that provide a range of unique transaction-based payment services broadly called Mobile Financial Services (MFS) to unbanked, underserved and underbanked persons via mobile phones. Models of MFS from Mobile Network Operators (MNOs), banks, combinations of MNOs and banks, and independent Mobile Financial Services Providers are covered. Provision by non-banks of ‘bank-type’ services via mobile phones has been termed ‘transformational banking’ versus the ‘additive banking’ services from banks. All involve the concept of ‘branchless banking’ whereby ‘cash-in/cash out’ services are provided through ‘agents.’ Funds for MFS payments may available through a Stored Value Product (SVP), particularly through a Stored Value Account SVP variant offered by MNOs where value is stored as a redeemable fiat- or mobile ‘airtime’-based Store of Value. The competitive, legal, technical and regulatory nature of non-bank versus bank MFS models is discussed, in particular the impact of banking, payments, money laundering, telecommunications, e-commerce and consumer protection laws. Whether funding mechanisms for SVPs may amount to deposit-taking such that entities could be engaged in the ‘business of banking’ is discussed. The continued use of ‘deposit’ as the traditional trigger for the ‘business of banking’ is investigated, alongside whether transaction and paymentcentric MFS rises to the ‘business of banking.’ An extensive evaluation of ‘money’ based on the Orthodox and Claim School economic theories is undertaken in relation to SVPs used in MFS, their legal associations and import, and whether they may be deemed ‘money’ in law. Consumer protection for MFS and payments generally through current statute, contract, and payment law and common law condictiones are found to be wanting. Possible regulatory arbitrage in relation to MFS in South African law is discussed. The legal and regulatory regimes in the European Union, Kenya and the United States of America are compared with South Africa. The need for a coordinated payments-specific law that has consumer protections, enables proportional risk-based licensing of new non-bank providers of MFS, and allows for a regulator for retail payments is recommended. The use of trust companies and trust accounts is recommended for protection of user funds. | viPublic, Constitutional and International LawLL. D

    Journal of the Senate of the 81st GA 2 Vol. 2 Extra Session of the State of Iowa, 2006

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    The published daily journals of the transactions of the Senate for the legislative session and the official bound journals printed after adjournment for previous legislative sessions

    Journal of the Senate of the 81st GA 2 Extra Session of the State of Iowa, 2006

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    The published daily journals of the transactions of the Senate for the legislative session and the official bound journals printed after adjournment for previous legislative sessions

    Italian verista opera libretti, 1890-1920: A historical, structural and statistical survey

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    Part One, ""Verismo" in Italian Opera: A Historical Perspective", provides an overview of Italian operatic activity between the years 1890 and 1920 inclusive and is subdivided into four chapters which follow a roughly chronological sequence. Chapter One, ""Cavalleria" and the Preceding Decade", covers the period 1860 to 1890 and describes the fortunes of the two principal music publishers, Rioordi and Sonsogno. Chapter Two, "Towards a Definition of "Verismo"", shows the extent of the gulf between literary and operatic realism and examines contemporary attitudes to the question. Chapter Three, "Growth and Consolidation; 1890-96", demonstrates the extent to which Sonzogno capitalized on the immense success of "Cavalleria" and chronicles the methods used to promote "verismo puro" as a viable operatic commodity. Chapter Four, "Diversification and Decline; 1897-1920", describes how "verismo puro", despite being fragmented into a series of closely allied genres (each of which is examined and commented upon), enjoyed several revivals in the first two decades of the twentieth century, none of which could arrest the downward trend in the fortunes of Casa Sonaogno
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