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해양수산안전 교육시설 설립을 위한 입지평가요인 도출에 관한 연구 (A Study on the Evaluation Indicators for the Establishment of Marine Fisheries Safety Education Facilities)

  • 하신영;김보영;박성호
    • 해양환경안전학회지
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    • 제30권4호
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    • pp.340-347
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    • 2024
  • 본 연구는 델파이 기법 및 전문가 설문을 통해 지역별 교육인프라 격차가 심한 해양수산안전분야의 교육시설을 설립하기 전 평가해야 하는 항목과 지표를 도출하였다. 그 결과 지리적요인, 사회적요인, 행정적요인에서 고려해야 하는 7개의 지표를 선정하였다. 각 지표를 객관적으로 평가하기 위해 '국가균형발전종합정보시스템', '국가통계포털' 등에 공표된 자료를 활용하여 평가할 수 있도록 평가지표를 개발하였다. 각 지표별 가중치 선정을 위해 계층분석(AHP) 방식을 적용하였으며 AHP분석 결과, 해양수산안전 교육시설 입지선정에 가장 중요한 영향을 미치는 10가지 요인은 해기사 분포, 고속·고속화철도 접근성, 5톤미만 소형선박 수, 고속도로 IC접근성, 어선세력 분포, 관련산업 밀접도, 신항만 예정지, 무역항 분포, 해양레저승선인원 수, 지자체의 토지장기무상임대 가능여부 순으로 나타났다. 본 연구에서 개발한 해양수산안전교육시설의 입지평가 지표는 국가 공공데이터를 활용하여 각 지역별로 평가할 수 있는 지표로 객관적인 평가가 가능한 장점을 가지고 있다. 따라서 본 평가지표는 해양수산안전 교육시설 뿐만아니라 다른 해양 관련 시설 설치 타당성을 검증하는 데에도 활용 할 수 있을 것으로 판단된다.

우리나라 보안산업의 역사적 기원에 관한 연구 (A Study on the Historical Origin of Private Security Industry in Korea)

  • 이창무
    • 시큐리티연구
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    • 제22호
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    • pp.91-111
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    • 2010
  • 보안산업은 급속한 성장을 지속하고 있고 보안산업관련 연구 역시 최근 크게 늘고 있다. 그러나 보안산업에 대한 역사적 연구는 아직까지 미흡한 실정이다. 특히 국내 보안산업의 역사적 기원에 대한 연구는 매우 드물다고 할 수 있다. 역사적인 사료(史料)를 통해 볼 때 국내 보안산업은 그 기원을 장보고의 활동에서 찾을 수 있을 것으로 보인다. 우리나라의 삼국사기와 삼국유사는 물론이고 중국과 일본의 사서(史書)에 장보고의 청해진 설치와 해적 소탕 등의 활약상이 기록되어 있으며, 장보고가 청해진을 설치해 해적소탕과 해상무역 보호라는 보안서비스를 제공한 대가로 해상무역권이라는 이권을 취하고 막대한 경제적 부(富)를 축적했다는 점에서 보안산업 활동을 했다고 여겨지는 것이다. 즉, 장보고가 당시의 고질적인 사회경제적 문제였던 해적을 퇴치하고 해상무역을 보호하면서 경제 수익을 창출하는 기업 활동을 벌였다는 점에서 장보고의 활동은 보안산업의 영역으로 분류할 수 있는 것이다. 이와 함께 장보고의 활동과 비슷한 역사적 기록이 장보고 이전에는 발견되지 않는다는 점에서 우리나라 최초의 보안산업 활동으로 판단된다. 역사적 기록에 나타나는 장보고의 활동은 당시 중국은 물론 이슬람 문화권과 유럽에도 그 유례를 찾아보기 어려울 만큼 근대적 성격의 보안산업 형태와 기능을 수행했다고 여겨진다. 세계 보안산업의 역사에 있어서 장보고 활동의 의의를 찾아볼 수 있는 것이다. 다만, 안타깝게도 세계는 물론 우리나라에서도 이러한 장보고의 보안산업활동 및 세계 보안산업 역사에서 차지하는 위상에 대해 적절한 평가 작업이 이뤄지지 않고 있으며 향후 후속연구에서 지속적으로 추진해야 하는 과제가 아닐 수 없다.

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항공기(航空機) 사고조사제도(事故調査制度)에 관한 연구(硏究) (A Study on the System of Aircraft Investigation)

  • 김두환
    • 항공우주정책ㆍ법학회지
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    • 제9권
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    • pp.85-143
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    • 1997
  • The main purpose of the investigation of an accident caused by aircraft is to be prevented the sudden and casual accidents caused by wilful misconduct and fault from pilots, air traffic controllers, hijack, trouble of engine and machinery of aircraft, turbulence during the bad weather, collision between birds and aircraft, near miss flight by aircrafts etc. It is not the purpose of this activity to apportion blame or liability for offender of aircraft accidents. Accidents to aircraft, especially those involving the general public and their property, are a matter of great concern to the aviation community. The system of international regulation exists to improve safety and minimize, as far as possible, the risk of accidents but when they do occur there is a web of systems and procedures to investigate and respond to them. I would like to trace the general line of regulation from an international source in the Chicago Convention of 1944. Article 26 of the Convention lays down the basic principle for the investigation of the aircraft accident. Where there has been an accident to an aircraft of a contracting state which occurs in the territory of another contracting state and which involves death or serious injury or indicates serious technical defect in the aircraft or air navigation facilities, the state in which the accident occurs must institute an inquiry into the circumstances of the accident. That inquiry will be in accordance, in so far as its law permits, with the procedure which may be recommended from time to time by the International Civil Aviation Organization ICAO). There are very general provisions but they state two essential principles: first, in certain circumstances there must be an investigation, and second, who is to be responsible for undertaking that investigation. The latter is an important point to establish otherwise there could be at least two states claiming jurisdiction on the inquiry. The Chicago Convention also provides that the state where the aircraft is registered is to be given the opportunity to appoint observers to be present at the inquiry and the state holding the inquiry must communicate the report and findings in the matter to that other state. It is worth noting that the Chicago Convention (Article 25) also makes provision for assisting aircraft in distress. Each contracting state undertakes to provide such measures of assistance to aircraft in distress in its territory as it may find practicable and to permit (subject to control by its own authorities) the owner of the aircraft or authorities of the state in which the aircraft is registered, to provide such measures of assistance as may be necessitated by circumstances. Significantly, the undertaking can only be given by contracting state but the duty to provide assistance is not limited to aircraft registered in another contracting state, but presumably any aircraft in distress in the territory of the contracting state. Finally, the Convention envisages further regulations (normally to be produced under the auspices of ICAO). In this case the Convention provides that each contracting state, when undertaking a search for missing aircraft, will collaborate in co-ordinated measures which may be recommended from time to time pursuant to the Convention. Since 1944 further international regulations relating to safety and investigation of accidents have been made, both pursuant to Chicago Convention and, in particular, through the vehicle of the ICAO which has, for example, set up an accident and reporting system. By requiring the reporting of certain accidents and incidents it is building up an information service for the benefit of member states. However, Chicago Convention provides that each contracting state undertakes collaborate in securing the highest practicable degree of uniformity in regulations, standards, procedures and organization in relation to aircraft, personnel, airways and auxiliary services in all matters in which such uniformity will facilitate and improve air navigation. To this end, ICAO is to adopt and amend from time to time, as may be necessary, international standards and recommended practices and procedures dealing with, among other things, aircraft in distress and investigation of accidents. Standards and Recommended Practices for Aircraft Accident Injuries were first adopted by the ICAO Council on 11 April 1951 pursuant to Article 37 of the Chicago Convention on International Civil Aviation and were designated as Annex 13 to the Convention. The Standards Recommended Practices were based on Recommendations of the Accident Investigation Division at its first Session in February 1946 which were further developed at the Second Session of the Division in February 1947. The 2nd Edition (1966), 3rd Edition, (1973), 4th Edition (1976), 5th Edition (1979), 6th Edition (1981), 7th Edition (1988), 8th Edition (1992) of the Annex 13 (Aircraft Accident and Incident Investigation) of the Chicago Convention was amended eight times by the ICAO Council since 1966. Annex 13 sets out in detail the international standards and recommended practices to be adopted by contracting states in dealing with a serious accident to an aircraft of a contracting state occurring in the territory of another contracting state, known as the state of occurrence. It provides, principally, that the state in which the aircraft is registered is to be given the opportunity to appoint an accredited representative to be present at the inquiry conducted by the state in which the serious aircraft accident occurs. Article 26 of the Chicago Convention does not indicate what the accredited representative is to do but Annex 13 amplifies his rights and duties. In particular, the accredited representative participates in the inquiry by visiting the scene of the accident, examining the wreckage, questioning witnesses, having full access to all relevant evidence, receiving copies of all pertinent documents and making submissions in respect of the various elements of the inquiry. The main shortcomings of the present system for aircraft accident investigation are that some contracting sates are not applying Annex 13 within its express terms, although they are contracting states. Further, and much more important in practice, there are many countries which apply the letter of Annex 13 in such a way as to sterilise its spirit. This appears to be due to a number of causes often found in combination. Firstly, the requirements of the local law and of the local procedures are interpreted and applied so as preclude a more efficient investigation under Annex 13 in favour of a legalistic and sterile interpretation of its terms. Sometimes this results from a distrust of the motives of persons and bodies wishing to participate or from commercial or related to matters of liability and bodies. These may be political, commercial or related to matters of liability and insurance. Secondly, there is said to be a conscious desire to conduct the investigation in some contracting states in such a way as to absolve from any possibility of blame the authorities or nationals, whether manufacturers, operators or air traffic controllers, of the country in which the inquiry is held. The EEC has also had an input into accidents and investigations. In particular, a directive was issued in December 1980 encouraging the uniformity of standards within the EEC by means of joint co-operation of accident investigation. The sharing of and assisting with technical facilities and information was considered an important means of achieving these goals. It has since been proposed that a European accident investigation committee should be set up by the EEC (Council Directive 80/1266 of 1 December 1980). After I would like to introduce the summary of the legislation examples and system for aircraft accidents investigation of the United States, the United Kingdom, Canada, Germany, The Netherlands, Sweden, Swiss, New Zealand and Japan, and I am going to mention the present system, regulations and aviation act for the aircraft accident investigation in Korea. Furthermore I would like to point out the shortcomings of the present system and regulations and aviation act for the aircraft accident investigation and then I will suggest my personal opinion on the new and dramatic innovation on the system for aircraft accident investigation in Korea. I propose that it is necessary and desirable for us to make a new legislation or to revise the existing aviation act in order to establish the standing and independent Committee of Aircraft Accident Investigation under the Korean Government.

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Hardware Approach to Fuzzy Inference―ASIC and RISC―

  • Watanabe, Hiroyuki
    • 한국지능시스템학회:학술대회논문집
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    • 한국퍼지및지능시스템학회 1993년도 Fifth International Fuzzy Systems Association World Congress 93
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    • pp.975-976
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    • 1993
  • This talk presents the overview of the author's research and development activities on fuzzy inference hardware. We involved it with two distinct approaches. The first approach is to use application specific integrated circuits (ASIC) technology. The fuzzy inference method is directly implemented in silicon. The second approach, which is in its preliminary stage, is to use more conventional microprocessor architecture. Here, we use a quantitative technique used by designer of reduced instruction set computer (RISC) to modify an architecture of a microprocessor. In the ASIC approach, we implemented the most widely used fuzzy inference mechanism directly on silicon. The mechanism is beaded on a max-min compositional rule of inference, and Mandami's method of fuzzy implication. The two VLSI fuzzy inference chips are designed, fabricated, and fully tested. Both used a full-custom CMOS technology. The second and more claborate chip was designed at the University of North Carolina(U C) in cooperation with MCNC. Both VLSI chips had muliple datapaths for rule digital fuzzy inference chips had multiple datapaths for rule evaluation, and they executed multiple fuzzy if-then rules in parallel. The AT & T chip is the first digital fuzzy inference chip in the world. It ran with a 20 MHz clock cycle and achieved an approximately 80.000 Fuzzy Logical inferences Per Second (FLIPS). It stored and executed 16 fuzzy if-then rules. Since it was designed as a proof of concept prototype chip, it had minimal amount of peripheral logic for system integration. UNC/MCNC chip consists of 688,131 transistors of which 476,160 are used for RAM memory. It ran with a 10 MHz clock cycle. The chip has a 3-staged pipeline and initiates a computation of new inference every 64 cycle. This chip achieved an approximately 160,000 FLIPS. The new architecture have the following important improvements from the AT & T chip: Programmable rule set memory (RAM). On-chip fuzzification operation by a table lookup method. On-chip defuzzification operation by a centroid method. Reconfigurable architecture for processing two rule formats. RAM/datapath redundancy for higher yield It can store and execute 51 if-then rule of the following format: IF A and B and C and D Then Do E, and Then Do F. With this format, the chip takes four inputs and produces two outputs. By software reconfiguration, it can store and execute 102 if-then rules of the following simpler format using the same datapath: IF A and B Then Do E. With this format the chip takes two inputs and produces one outputs. We have built two VME-bus board systems based on this chip for Oak Ridge National Laboratory (ORNL). The board is now installed in a robot at ORNL. Researchers uses this board for experiment in autonomous robot navigation. The Fuzzy Logic system board places the Fuzzy chip into a VMEbus environment. High level C language functions hide the operational details of the board from the applications programme . The programmer treats rule memories and fuzzification function memories as local structures passed as parameters to the C functions. ASIC fuzzy inference hardware is extremely fast, but they are limited in generality. Many aspects of the design are limited or fixed. We have proposed to designing a are limited or fixed. We have proposed to designing a fuzzy information processor as an application specific processor using a quantitative approach. The quantitative approach was developed by RISC designers. In effect, we are interested in evaluating the effectiveness of a specialized RISC processor for fuzzy information processing. As the first step, we measured the possible speed-up of a fuzzy inference program based on if-then rules by an introduction of specialized instructions, i.e., min and max instructions. The minimum and maximum operations are heavily used in fuzzy logic applications as fuzzy intersection and union. We performed measurements using a MIPS R3000 as a base micropro essor. The initial result is encouraging. We can achieve as high as a 2.5 increase in inference speed if the R3000 had min and max instructions. Also, they are useful for speeding up other fuzzy operations such as bounded product and bounded sum. The embedded processor's main task is to control some device or process. It usually runs a single or a embedded processer to create an embedded processor for fuzzy control is very effective. Table I shows the measured speed of the inference by a MIPS R3000 microprocessor, a fictitious MIPS R3000 microprocessor with min and max instructions, and a UNC/MCNC ASIC fuzzy inference chip. The software that used on microprocessors is a simulator of the ASIC chip. The first row is the computation time in seconds of 6000 inferences using 51 rules where each fuzzy set is represented by an array of 64 elements. The second row is the time required to perform a single inference. The last row is the fuzzy logical inferences per second (FLIPS) measured for ach device. There is a large gap in run time between the ASIC and software approaches even if we resort to a specialized fuzzy microprocessor. As for design time and cost, these two approaches represent two extremes. An ASIC approach is extremely expensive. It is, therefore, an important research topic to design a specialized computing architecture for fuzzy applications that falls between these two extremes both in run time and design time/cost. TABLEI INFERENCE TIME BY 51 RULES {{{{Time }}{{MIPS R3000 }}{{ASIC }}{{Regular }}{{With min/mix }}{{6000 inference 1 inference FLIPS }}{{125s 20.8ms 48 }}{{49s 8.2ms 122 }}{{0.0038s 6.4㎲ 156,250 }} }}

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인터랙티브 내러티브에 관한 연구 - VR 애니메이션 <Wolves in the Walls>의 분석을 중심으로 (A Study on the Interactive Narrative - Focusing on the analysis of VR animation <Wolves in the Walls>)

  • 성호장
    • 트랜스-
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    • 제15권
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    • pp.25-56
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    • 2023
  • VR 콘텐츠는 정보의 밀도가 매우 높은 동적 이미지 시뮬레이션 기술을 기반으로 공간감과 현실감 확보를 통해 체험자에게 깊은 몰입감을 가져다준다. 하지만 높은 정보 밀도의 내부 정보들은 한편 객관적이지 않은 착각을 형성하기도 한다. 때문에 사용자에게 높은 밀도의 동적 이미지 정보를 해석할 수 있는 적절한 안내가 필요하다. 게임에서 네비게이션 인터페이스와 상호작용 기능을 설정하는 것처럼, 가상현실에서의 상호작용은 가상 콘텐츠를 해석, 향유하는 기본적 토대이다. 본 연구는 VR 콘텐츠 제작의 중요한 부분인 상호작용적인 스토리텔링 설계에 대한 사례 분석을 기반으로 한다. 가상현실 콘텐츠에서 더 우수한 상호작용적인 스토리텔링 모델을 탐색하기 위해 기본적인 주요개념들을 고찰하고 VR 애니메이션 <Wolves in the Walls>의 상호작용적인 스토리텔링 특징을 분석한다. 분석의 결과로 정리된 결론은 첫째, VR 환경이 사용자에게 자유롭게 이동할 수 있는 장점을 충분히 활용해야 하며, 상호작용 모듈 설계시 사용자의 현장감을 충분히 고려해야 한다는 점이다. 이를 통해 관객의 상호작용을 유도하여 참여도를 높힘으로서 VR이라는 핫미디어를 쿨미디어적 참여를 유도할 수 있다. 둘째, 사용자가 자유도가 매우 높은 가상 환경에 처음 들어갔을 때 모호한 세계 상황에 대해 당황하지 않도록, 작품의 초기 단계에서는 개발자 주도의 서술을 제공해야 한다. 셋째, 일부 게임에서 텍스트를 통해 사용자에게 안내하는 것과 달리, 사용자와 스토리 캐릭터(NPC)와의 자연스러운 대화를 추가하는 더 자연스러운 상호작용 방식을 통해 안내할 수 있다. 본 연구는 VR 애니메이션 <Wolves in the Walls>의 상호작용적인 스토리텔링 특징을 분석하고 정리함으로써 다양한 형태로 진화되고 있는 VR 콘텐츠의 설계의 한 가이드라인을 제공한다.