776 research outputs found

    Exploring Sexual Harassment in the Police Force in Japan: A Comparative Study between Japan and the United States

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    Att företag i Sverige pĂ„verkas av den enorma tillvĂ€xt som sker i Kina och att utvecklingen i Kina dessutom pĂ„verkas av hur svenska företag agerar borde, efter all uppmĂ€rksamhet i media, vara uppenbart. DĂ„ bilden som presenteras i media ofta Ă€r onyanserad har Teknikföretagen gett oss i uppdrag att göra en kartlĂ€ggning av teknikföretags relationer med Kina. Syftet Ă€r att undersöka i vilken omfattning och varför företagen har dessa relationer samt hur företagen pĂ„verkas av dem. Undersökningens omfattning har begrĂ€nsats genom att en geografisk avgrĂ€nsning till Östergötland gjorts. Det visar sig i studien att de undersökta företagen har betydande kontakter med Kina, det Ă€r vanligare och viktigare med import Ă€n export och det Ă€r relativt mĂ„nga som har nĂ„gon grad av högre engagemang dĂ€r. – Varför har dĂ„ dessa företag kontakter med Kina? I studien framkommer att det finns tvĂ„ övergripande anledningar till att företagen etablerar kontakt med Kina. Det första Ă€r prispress och det andra Ă€r kundnĂ€rhet. Företag som Ă€r i Kina pĂ„ grund av prispressen i deras branscher har ofta outsourcat delar av sin produktion till Kina eller vĂ€ljer att köpa av kinesiska leverantörer istĂ€llet för av svenska. I studien visar det sig att detta Ă€r nĂ„got som Ă€ven smĂ„ företag utan nĂ„gon större internationell erfarenhet klarar. De företag som svarar pĂ„ behovet av kundnĂ€rhet gör det istĂ€llet i stor utstrĂ€ckning genom att etablera egna produktionsanlĂ€ggningar i Kina eftersom mĂ„nga av deras kunder redan finns dĂ€r. För detta krĂ€vs betydligt större resurser Ă€n för att outsourca och mĂ„nga av företagen upplever en begrĂ€nsning i form av bristande ledningskapacitet. Vi ser Ă€ven att företagens motiv förĂ€ndras över tiden. – Hur pĂ„verkas dĂ„ den svenska verksamheten av företagens relationer med Kina? MĂ„nga av företagen som outsourcat produktion gĂ„r mot att sysselsĂ€tta sig mer med konstruktion, inköp, service och underhĂ„ll Ă€n produktion, vilket förvisso gör att företagen utför mer kvalificerade uppgifter och försĂ€krar sig om att pĂ„ kort sikt inte slĂ„s ut av prispressen. DĂ€remot riskerar de att pĂ„ sikt bli av med nödvĂ€ndig kompetens och servicekapacitet pĂ„ grund av att investeringarna blir lĂ€gre och nyckelpersonal gĂ„r i pension. De företag som istĂ€llet satsar i Kina för att sĂ€lja dĂ€r pĂ„verkas positivt Ă€ven i Sverige. Det krĂ€vs ofta att verksamheten i Sverige expanderar för att kunna hantera verksamheten i Kina. Att ha nĂ€rvaro pĂ„ flera marknader innebĂ€r ocksĂ„ att vara mindre kĂ€nslig för konjunktursvĂ€ngningar. För att komma fram till undersökningens resultat har en inledande litteraturstudie kompletterats med intervjuer av personer med relevant kunskap om Ă€mnet. DĂ€refter genomfördes en enkĂ€tundersökning vars svar analyserades statistiskt. Dessa resultat kompletterades med fallstudier av flera av de undersökta företagen. Undersökningen avslutades med besök hos nĂ„gra av de undersökta företagens anlĂ€ggningar i Kina för att verifiera undersökningens resultat.Because of the media coverage it is probably clear to all that companies in Sweden are affected by the astonishing growth currently at hand in China as well as the development in China is affected by actions taken by Swedish companies. To get a more complete understanding of this development the Swedish engineering association has asked us to investigate the relations between Swedish engineering companies and China. The purpose is to examine to what extent and why these relations exist and how they affect the companies. The study has been limited to study only companies in Östergötland. In the study it is shown that the investigated companies do have business relations with China, importing is more important than exporting and quite a few companies have more advanced business engagements in China. – Why do these companies have contacts with China? This study shows two basic reasons behind these contacts. The first is a pressure on prices and the second is proximity to customers. The companies that are in China to lower their prices have to a large extent outsourced production to Chinese companies or have switched from western to Chinese suppliers. This is an action that is feasible even for small companies without previous international experience. On the other hand, companies that are in China to achieve proximity to their clients tend to set up production plants in China as many of their customers have already done so. To do this requires far more resources than outsourcing and many companies experience limitations in their management capacity. We also see that the companies’ motives often change over time. – How do these contacts affect the Swedish companies? Many of the companies who have outsourced parts of their production tend to be more focused on services, which does enable them to perform more advanced processes and saves them from becoming extinct due to increased price competition. In the long run however, they risk losing necessary competence and capacity as they lower their investments and their key personnel retire. Companies that are in China in order to sell in China are affected positively in Sweden as well. It is often necessary to expand business in Sweden in order to manage what is done in China and the presence in many markets make the companies’ orders less volatile. To achieve the results of this investigation we started by studying existing literature and conducting a series of interviews with people with relevant knowledge regarding the subject. Based on this information we conducted a survey that was statistically analyzed. These results where afterwards completed with case studies of several of the investigated companies. The investigation was finalized with a visit at some of the Swedish companies’ production plants in China in order for us to verify our conclusions

    Wired and Wireless Reliable Real-Time Communication in Industrial Systems

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    In modern factory automation systems, data communication plays a vital role. Different nodes like control systems, sensors and actuators can communicate over a wireless or wired industrial network. The data traffic generated is often scheduled for periodic transmission, where each single message or packet must arrive in time. For this real-time communication, methods have been developed to support communication services with a guaranteed throughput and delay bound for such periodic traffic, but merely under the assumption of error-free communication. However, the possibility for errors in the transmission still exists due to, e.g. noise or interference. A node receiving sensor values from a sensor in the system might then be forced to rely upon an older sensor value from the latest period, possibly leading to inaccuracies in control loops which can compromise the functioning of the system. In safety-critical systems, redundant networks or communication channels are frequently added to cope with errors, leading to more expensive systems. In this chapter, we will describe an alternative approach where erroneous data packets are retransmitted in a way that does not jeopardise any earlier stated real-time guarantees for ordinary transmissions. Using our framework, the reliability of real-time communication can be increased in a more cost-efficient way. We describe in this chapter an overview of our framework for reliable real-time communication, while details of our approach can be found in our earlier publications. In the light of the emerging use of wireless communication, the framework proves to be especially useful due to the high bit error rate inherent to the wireless medium. However, the framework is naturally also attractive for wired communication systems

    Potential output in DSGE models

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    In view of the increasing use of Dynamic Stochastic General Equilibrium (DSGE) models in the macroeconomic projections and the policy process, this paper examines, both conceptually and empirically, alternative notions of potential output within DSGE models. Furthermore, it provides historical estimates of potential output/output gaps on the basis of selected DSGE models developed by the European System of Central Banks’ staff. These estimates are compared to the corresponding estimates obtained applying more traditional methods. Finally, the paper assesses the usefulness of the DSGE model-based output gaps for gauging inflationary pressures. JEL Classification: E32, E37, E52monetary policy, potential output, simulation and forecasting models

    Potential Output in DSGE Models

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    In view of the increasing use of Dynamic Stochastic General Equilibrium (DSGE) models in the macroeconomic projections and the policy process, this paper examines, both conceptually and empirically, alternative notions of potential output within DSGE models. Furthermore, it provides historical estimates of potential output/output gaps on the basis of selected DSGE models developed by the European System of Central Banks’ staff. These estimates are compared to the corresponding estimates obtained applying more traditional methods. Finally, the paper assesses the usefulness of the DSGE model-based output gaps for gauging inflationary pressures.potential output, simulation and forecasting models, monetary policy

    Methodological aspects on carotid artery intervention

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    In Sweden, approximately 25000 patients suffer a cerebral infarction (stroke) annually. Stroke ranks as the third-leading cause of death, and is the leading cause of functional impairment. Carotid artery stenosis accounts for approximately 15% of all strokes and almost all of these are theoretically preventable. There are two conceptually different invasive methods used to treat carotid stenosis: carotid artery stenting (CAS) and carotid endarterectomy (CEA). There are various aspects of these treatments that remain to be evaluated in order to minimize the risks of poor outcome, namely: any differences in short-term and long-term outcomes after CEA or CAS, the potential risks of CAS early after a previous transient ischaemic attack (TIA)/stroke, and the methods to indicate the need of shunting during CEA. Furthermore, since data from randomised controlled trials (RCTs) are often from specialized high volume centres with selected patients, it is important to evaluate population-based results after CAS and CEA. The overall aim of this thesis was to investigate aspects of invasive treatment of carotid artery stenosis, in particular the outcome following endovascular treatment (CAS), and the efficacy of near-infrared spectroscopy in predicting selective shunt use during CEA. The outcome after endovascular treatment was investigated in three cohort studies (study I, II, and III). In study I, we analysed Swedish national short-term results of CAS and CEA and compared a high-volume centre with national results for CAS. In study II we evaluated the procedural risk of CAS, in relation to time from previous TIA /stroke. Study III assessed the long-term population-based outcomes after CAS as compared to CEA. In study IV, a multi- centre diagnostic study, we evaluated the ability of near-infrared spectroscopy (NIRS) to pre- dict cerebral ischaemia during CEA. Study I was a retrospective single-centre review of all consecutive patients treated with CAS at Södersjukhuset between 2004-2011. These results were compared to data from the Swedish national registry for vascular surgery (Swedvasc), where data from all patients treated with CAS or CEA during the same period was extracted. We found that the Swedish national results for CAS were inferior to CEA, but also that it was possible to achieve acceptable results with CAS in a high volume centre. During the study period 464 CAS procedures were performed in Sweden, with 208 of them performed at Södersjukhuset. The stroke and death rate at 30 days among patients in Sweden (Södersjukhuset excluded) was 7.4%. In Södersjukhuset, the stroke and death rate was 2.9%. The results for CAS on a national basis improved over time, the stroke and death rate during the first half of the period was 6.4%, compared to 3.6% in the sec- ond part of the study period, which was probably due to the learning curve for the procedure. In study II, all CAS performed for symptomatic carotid stenosis between 2005-2014, were included in a retrospective analysis. Study II revealed that it was safe to perform CAS early (within 1 week), following a TIA/stroke. The stroke and death rate for patient treated within 7 days from neurologic symptom was 4.1%, compared to 6.3% between day 8-14, 4.8% between day 15-28, and 3.6% between days 29-180. The long-term results after CAS in Sweden were examined in study III. In this study, all primary CAS procedures registered in Swedvasc were included (all reoperations were excluded). We compared 409 CAS patients to a control group treated with CEA. The control group was matched with respect to known confounding factors. Postoperative stroke was identified by cross matching the cohort with the In-patient registry. Median follow-up time was 4.1 years, and follow-up data was almost complete. By using Cox regression, we found a substantial (59%) increased risk for late(>30 days) stroke or death for patients treated with CAS compared to CEA. This increased risk was mainly due to an increased risk of ipsilateral stroke during long-term follow-up. In study IV, we have shown that near-infrared spectroscopy has a high sensitivity and accept- able specificity to predict cerebral ischemia during CEA. When a cut-off point of 9% relative decrease in regional SO2 during carotid clamping was chosen, the sensitivity for detecting cerebral ischemia was 95%, and the specificity 81%. This was clearly superior to the conventional and widespread technique of measuring, “stump pressure”. In conclusion, the national population-based results for CAS were inferior to CEA, both short- and long-term. The short-term results after CAS in Sweden have improved over time, and acceptable results can be achieved in high volume centres. If CAS is performed due to symptomatic stenosis it could be performed early after onset of neurologic symptoms. Near-infrared spectroscopy is a reliable method for selective shunting during CEA and superior to stump pressure

    Application of Photoluminescent Measurement Techniques for Quantitative Assessment of Turbine Film Cooling

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    Reduction of the specific fuel consumption of gas turbines can be achieved by maximizing the turbine inlet temperature. However, this requires a detailed understanding of the cooling performance in order to ensure safe and economical operation of the engine. This is because the resulting temperature distributions in the blade walls dictate the thermal stresses and life-time of the hot section of the engine. Film cooling performance depends on a large number of parameters including turbulence making it complex to predict numerically. Moreover, the harsh flow conditions found in turbines situated directly downstream of the combustion chamber makes it difficult to obtain high resolution measurements of the relevant quantities. Therefore, simplified experiments are employed in order to simulate the engine situation by matching the most important flow similarity parameters. More specifically, the large difference in temperature between hot-gas and cooling air leads to considerable difference in density between the film cooling jets and hot-gas. This can be simulated at ambient temperatures by injecting a heavy foreign gas into a less dense main-flow of air. This thesis aims at demonstrating the applicability of photoluminescent paints as sensing element for film cooling measurements. When this type of sensor is excited by ultraviolet light, the photoluminescent process leads to the emission of red-shifted light. The luminescence depends on oxygen pressure as well as temperature at the coating surface. A commercially available Pressure Sensitive Paint (PSP) is chosen for experimental characterization of the two fundamental quantities of film cooling: Adiabatic film cooling effectiveness Heat transfer coefficients The adiabatic film cooling effectiveness is a measure of the mixing between coolant and mainflow. This quantity corresponds to concentration of gas species according to the analogy between heat and mass transfer. An oxygen-free coolant acts as tracer gas as it dilutes the oxygen of the main-flow, allowing for detailed measurements of the cooling gas concentration with PSP. The corresponding convective heat transfer coefficient is measured by imposing step changes in heat flux and tracing the transient temperature response of the wall. For this purpose, the same PSP-sensor is employed for thermography measurements by taking advantage of the inherent temperature sensitivity of this technology. An engine-realistic test case illustrates the capability of the technique under complex flow conditions. It allows to demonstrate that measurements with high spatial resolution can be obtained over large portions of the surface within a short period of time. It turns out that the combination of oxygen pressure and temperature sensors, in the form of photoluminescent paint, is particularly advantageous in compressible flow experiments with moderate heat transfer at the wall. Another important advantage of the technique is the possibility to separate the adiabatic film cooling effectiveness from the wall heat transfer effects, without applying another coating for separate experiments. This ensures high geometrical tolerance of the small-scale cooling holes of the experimental models. However, the technique is limited by the maximum applicable temperature of the photoluminescent system making it first of all suitable for cold-flow measurements. While both pressure and temperature sensitive paints have previously been employed in film cooling studies, the proposed combination of those techniques is unique in that it allows for simultaneous, yet decoupled measurement of the two fundamental quantities in film cooling. In the present thesis, it is shown that the application of the presented technique allows to validate numerical flow models. Furthermore, conclusions can be transferred to the modelling of real engines in the form of technology trends. Ultimately, this allows to optimize film cooling performance and reduce the fuel consumption of gas turbines

    Two fiber-ribbon ring networks for parallel and distributed computing systems

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    Democratic Innovations in Deliberative Systems – The Case of the Estonian Citizens’ Assembly Process

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    With the proliferation and application of democratic innovations around the world, the empirical study of deliberative and participatory processes has shifted from small-scale environments and experiments to real-life political processes on a large scale. With this shift, there is also a need to explore new theoretical approaches in order to understand current developments. Instead of analyzing democratic innovations in isolation, the recent ‘systemic turn’ in the field encourages us to broaden our perspective and evaluate democratic innovations as complementary parts of a political system.This paper will draw upon a qualitative case study, based on interview and supported by survey data, of the ‘Estonian Citizens’ Assembly Process’ (ECA), in order to operationalize the systemic approach to deliberative democracy and illustrate how this can be applied to an analysis of democratic innovations.The ECA spanned more than a year (November 2012 to April 2014) and covered three political arenas: the public sphere, democratic innovations and representative institutions. The systemic analysis highlights the deliberative strengths and weaknesses of arenas and institutions, and illuminates how various arenas and democratic innovations did and did not complement one another in the creation of a deliberative process. The systemic analysis offers two possible interpretations of the ECA. The more affirmative interpretation is it constituted a deliberative system, as it did perform the three main functions fulfilled by different arenas and institutions. The more critical interpretation is that the ECA partly failed to be a deliberative system, due to social domination and decoupling of institutions

    Some considerations about the development and implementation process of a new agricultural decision support system for site-specific fertilisation

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    Precision agriculture provides important routes toward a more sustainable agriculture. Many farmers have the necessary technology to operate site-specifically, but they do not use it in practice, and available IT systems are not used to their full potential. This paper discusses how to reduce the so-called ‘implementation problem’ in order to improve the ongoing development process of a webbased fertilization project in Sweden. The intention of the project is to apply a participatory design approach, and some pitfalls on starting to use this approach in the development and implementation process are identified as well as some suggestions on how to reduce them
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