• 제목/요약/키워드: Measure theory

검색결과 987건 처리시간 0.028초

세이프가드조치의 적법성 평가를 위한 심사기준의 적용에 관한 연구 (Application of Standard of Review for Safeguard Measure)

  • 이은섭;김선옥
    • 통상정보연구
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    • 제9권2호
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    • pp.307-325
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    • 2007
  • Examining the standards of review adopted by the dispute settlement body of the WTO in its decision on safeguard measures, the Appellate Body offers no coherent guidance or theory as to the legitimation of the safeguard measures adopted by the domestic authorities. It faults the lack of reasoned and adequate explanation in the national authorities' decision to impose safeguard measures, yet its own explanation of the permissible role for safeguard measure could hardly be less instructive. The Appellate Body has consistently emphasized fidelity to text in its decision but that approach can not work properly when the text is fundamentally deficient from the viewpoints that neither Article XIX nor the safeguard Agreement establish a coherent foundation for safeguard measures due to their vague and abstract provision. Without any coherent theory on guidance as to the legitimation of the safeguard measures, it would be absurd to expect WTO members to produce a reasoned and adequate explanation as to how their safeguard measures are in compliance with the WTO roles. In the absence of a thorough renegotiation for the proper operation of the WTO safeguard system, which seems quite unlikely for the foreseeable future, perhaps the unique method out of the current predicament is for the Appellate Body to lead a movement in establishing a sensible common law of safeguards, drawing on extra-textual guidance including the standards of review about their proper role in the WTO safeguard mechanism.

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Measurement of Effective Refractive Index of Anodic Aluminum Oxide Using a Prism Coupler

  • Gong, Su-Hyun;Cho, Y.H.;Stolz, Arnaud;Gokarna, Anisha;Dogheche, Elhadj;Ryu, Sang-Wan
    • 한국진공학회:학술대회논문집
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    • 한국진공학회 2010년도 제39회 하계학술대회 초록집
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    • pp.195-195
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    • 2010
  • In recent years, Anodic aluminum oxide(AAO) has become popular and attractive materials. It can be easily fabricated and self-organized pore structures. It has been widely used as a biosensor membrane, photonic crystal for optical circuit and template for nanotube growth etc. In previous papers, the theory was developed that AAO shows anisotropic optical properties, since it has anisotropic structure with numerous cylindrical pores. It gives rise to the anisotropy of the refractive index called as birefringence. It can be used as conventional polarizing elements with high efficiency and low cost. Therefore, we would like to compare the theory and experimental results in this study. One method which can measure effective refractive index of thin film is the prism coupling technique. It can give accurate results fast and simply. Furthermore, we can also measure separately the refractive index with different polarization using polarization of the laser (TE mode and TM mode). We calculated the effective refractive index with effective medium approximations (EMAs) by pore size in the SEM image. EMAs are physical models that describe the macroscopic system as the homogeneous and typical method of all mean field theories.

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Multiperiod Mean Absolute Deviation Uncertain Portfolio Selection

  • Zhang, Peng
    • Industrial Engineering and Management Systems
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    • 제15권1호
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    • pp.63-76
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    • 2016
  • Multiperiod portfolio selection problem attracts more and more attentions because it is in accordance with the practical investment decision-making problem. However, the existing literature on this field is almost undertaken by regarding security returns as random variables in the framework of probability theory. Different from these works, we assume that security returns are uncertain variables which may be given by the experts, and take absolute deviation as a risk measure in the framework of uncertainty theory. In this paper, a new multiperiod mean absolute deviation uncertain portfolio selection models is presented by taking transaction costs, borrowing constraints and threshold constraints into account, which an optimal investment policy can be generated to help investors not only achieve an optimal return, but also have a good risk control. Threshold constraints limit the amount of capital to be invested in each stock and prevent very small investments in any stock. Based on uncertain theories, the model is converted to a dynamic optimization problem. Because of the transaction costs, the model is a dynamic optimization problem with path dependence. To solve the new model in general cases, the forward dynamic programming method is presented. In addition, a numerical example is also presented to illustrate the modeling idea and the effectiveness of the designed algorithm.

연결도를 이용한 보행네트워크와 보행통행량의 상호관련성 연구 (Relationship between Pedestrian Network and Pedestrian Volume Using Connectivity)

  • 한상진;김영욱;오순미
    • 대한교통학회지
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    • 제26권1호
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    • pp.137-144
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    • 2008
  • 보행통행량은 보행안전분석과 보행환경개선에 중요한 요소이나 교통 부문에서 보행통행량 예측에 관한 연구는 많지 않다. 도시계획분야에서는 네트워크 특성만으로 보행량을 예측하는 공간구문론(Space Syntax Theory)이 연구되어져 왔고 많은 연구에서 효과적으로 보행량을 예측하는 것으로 밝혀졌으나, Space Syntax 방법론을 이용한 보행량 예측법은 교통 부문의 네트워크 구성 방법이 상이하여 활용에 어려운 점이 있다. 따라서 본 연구는 교통의 관점에서 보행네트워크를 구축하고 이를 바탕으로 Dial 알고리즘을 활용하여 링크의 상대적인 중요도를 나타내는 연결도 개념을 도입하여 보행량을 예측하는 방법을 제시하고, 이를 인사동 및 숭례문 지역에 적용하였다. 분석결과 연결도와 보행통행량의 상관계수가 인사동의 경우 0.713, 숭례문의 경우 0.482로 상당히 높게 나타났고, 연결도 및 도로폭을 종속변수로 한 보행통행량 모형의 결정계수가 인사동의 경우 0.893, 숭례문의 경우 0.671로 모형의 설명력 또한 높은 것으로 나타났다. 이러한 수치는 연결도가 보행통행량 추정에 있어서 충분히 설득력 있는 방법론임을 의미한다. 또한, 연결도를 이용한 보행통행량 추정법은 Space Syntax 이론에 의한 추정법에 비해 그 과정이 간단하고, 특정 소프트웨어를 사용할 필요가 없으며, 네트워크가 교통네트워크의 구축 방법과 같은 방법으로 구축되므로 연구대상구역의 가로망 체계 변화가 보행통행량에 미치는 영향을 간단히 추정해보는데 유용한 방법론이다.

DIRICHLET FORMS, DIRICHLET OPERATORS, AND LOG-SOBOLEV INEQUALITIES FOR GIBBS MEASURES OF CLASSICAL UNBOUNDED SPIN SYSTEM

  • Lim, Hye-Young;Park, Yong-Moon;Yoo, Hyun-Jae
    • 대한수학회지
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    • 제34권3호
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    • pp.731-770
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    • 1997
  • We study Diriclet forms and related subjects for the Gibbs measures of classical unbounded sping systems interacting via potentials which are superstable and regular. For any Gibbs measure $\mu$, we construct a Dirichlet form and the associated diffusion process on $L^2(\Omega, d\mu), where \Omega = (R^d)^Z^\nu$. Under appropriate conditions on the potential we show that the Dirichlet operator associated to a Gibbs measure $\mu$ is essentially self-adjoint on the space of smooth bounded cylinder functions. Under the condition of uniform log-concavity, the Gibbs measure exists uniquely and there exists a mass gap in the lower end of the spectrum of the Dirichlet operator. We also show that under the condition of uniform log-concavity, the unique Gibbs measure satisfies the log-Sobolev inequality. We utilize the general scheme of the previous works on the theory in infinite dimensional spaces developed by e.g., Albeverio, Antonjuk, Hoegh-Krohn, Kondratiev, Rockner, and Kusuoka, etc, and also use the equilibrium condition and the regularity of Gibbs measures extensively.

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Research on the Structure and Application of Fuzzy Environmental Impact Assessment Model

  • Tien, Shiaw-Wen;Hsneh, Chia-Hsiang;Chung, Yi-Chan;Tsai, Chih-Hung;Yu, Yih-Huei
    • International Journal of Quality Innovation
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    • 제5권2호
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    • pp.45-62
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    • 2004
  • Any business activities may have impact on environment to a certain extent. Enterprises must find appropriate approaches to measure the impact on these environmental aspects, which can be used as the basis to direct enterprises' efforts to improve the environmental impact. The method used to evaluate significant factors in life cycle assessment standards is the one most commonly used by enterprises in general to measure environmental impact. By this method, the decisive factors of each environmental aspect are given scores according to the preset scoring standard of the organization. The scores are added up for each aspect and ranked to assess major environmental aspects. The drawback of this assessment method, that is, it ignores the degree to which each of these factors affects the environment, results in poor credibility. Therefore, this study attempts to solve some qualitative problems by applying to fuzzy theory, in particular, by identifying appropriate fuzzy numbers through fuzzy sets and membership function. Moreover, the study seeks to obtain a crisp value in the process of defuzzifization in order to make up for the shortfall of the original method in dealing with relative weight of decisive factors and thus increase its applicability and credibility. The department of light production of an electronics company is used as an example in this study to measure environmental aspects by employing both the traditional significant factor method and the fuzzy environmental impact assessment model proposed in this study. Based on verification and comparison of results, the model proposed in this study is more feasible as it reduces partiality in decision-making by taking the relative weights of decisive factors into consideration.

단일 음원 노래에서 음표의 조합 규칙을 이용한 마디 위치 찾기 (Finding Measure Position Using Combination Rules of Musical Notes in Monophonic Song)

  • 박은종;신송이;이준환
    • 한국콘텐츠학회논문지
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    • 제9권10호
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    • pp.1-12
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    • 2009
  • 본 논문은 한 마디 내에서 나타나는 음표들을 조합했을 때 규칙적인 배수관계가 있음을 이용하여 단음으로 구성된 노래에서 정확하게 마디 위치를 찾는 방법을 제안한다. 제안된 방법에서는 먼저 노래의 개별음의 길이들을 찾아내고, 이들 개별음 길이들의 배수관계를 적용한 규칙들을 이용한다. 이렇게 찾아진 마디정보는 자동 음악 채보 시스템의 사전 정보로 활용될 수 있는 박자 및 빠르기 등을 위한 원천적인 정보를 추출하는데 활용될 수 있다. 남성 및 여성의 단음으로 구성된 12곡의 노래들에 대한 실험 결과 1곡을 제외한 11곡 노래들의 마디위치를 정확히 검출 했으며, 이렇게 찾은 마디 정보와 음악적 이론을 이용하여 곡의 박자 및 빠르기 정보 등을 추출할 수 있다.

Outcome Expectations and Social Entrepreneurial Intention: Integration of Planned Behavior and Social Cognitive Career Theory

  • LUC, Phan Tan
    • The Journal of Asian Finance, Economics and Business
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    • 제7권6호
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    • pp.399-407
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    • 2020
  • The paper examines social entrepreneurial intention through outcome expectations. The proposed model incorporates outcome expectations from social cognitive career theory and theory of planned behaviors. The study also introduces a scale for outcome expectations in social entrepreneurship, including solving social problems, innovation, family tradition of social involvement, meaning in life, prestige and social recognition, competitive and favorite job and wealth. A survey of 279 students was conducted through face-to-face structured interviews. The confirm factor analysis and technique of structural equation modeling were used to explore relationships among latent constructs. Research results show that the outcomes impact only through three determinants of theory of planned behavior and do not have significant impact to social entrepreneurial intention. It suggests that outcome expectations may be a flexible factor. Individual outcome expectations can shift to motivations when facing favorable conditions such as family support, government support, etc. The findings suggest that the ability to predict social entrepreneurial intention of attitude toward behavior, subjective norms, and perceived behavioral control. The proposed model in this study contributes importantly to the emerging literature on entrepreneurial intention, particularly to social entrepreneurial intention. This study is also the first quantitative study to measure the impact of outcome expectations on social entrepreneurial intention.

퍼지이론을 이용한 지불의사액의 추정 (Measurement of Willingness to Pay by Using Fuzzy Theory)

  • 이성태;이광석
    • 자원ㆍ환경경제연구
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    • 제15권5호
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    • pp.921-937
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    • 2006
  • 본 연구는 이산선택 조건부가치측정법에 내재되어 있는 응답자의 선호의 불확실성 문제를 퍼지이론을 통해 해결하려 한 것으로, 멸종위기에 처해 있는 한국산 토종반달곰의 보존에 대한 지불의사액을 추정하는 분석과정에 퍼지소속도 함수를 적용하였다. 퍼지소속도 이론은 애매모호한 상황의 불명확성을 추정하는 방법론으로, 이를 조건부가치측정법에 적용하면 해당 환경재에 대한 지불의사액과 응답자들의 진술에 대한 확신도를 동시에 도출해낼 수 있다. 본 연구를 위해 우리나라 7대 광역시에 거주하는 성인남녀 500명을 대상으로 설문조사를 시행하였으며 양분선택형 조건부가치측정법이 사용되었다. 한국산 토종반달곰 보존에 대한 지불의사액은 가구당 월 9,090원으로 계산되었으며 퍼지소속도함수로 계산된 응답의 확신도는 78%인 것으로 추정되었다.

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신뢰도이론에서 위험측도를 이용한 할증보험료 결정에 대한 고찰 (A Study on the Determination of the Risk-Loaded Premium using Risk Measures in the Credibility Theory)

  • 김현태;전용호
    • 응용통계연구
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    • 제27권1호
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    • pp.71-87
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    • 2014
  • 손해보험의 신뢰도이론에서 순보험료로 사용되는 베이즈보험료는 꼬리위험을 반영하지 못한다는 한계점이 있다. 본 논문에서는 꼬리위험측도를 이용하여 할증보험료를 결정하는데 있어 중요하다고 여겨지는 두 가지 주제를 다루었다. 첫째, 위험측도로부터 유도되는 안전할증은 내재된 담보의 위험을 보다 정확히 반영할 수 있으며, 동시에 베이즈보험료만을 사용할 경우 초래될 수 있는 잘못된 의사결정을 피할 수 있음을 보였다. 둘째, 동일한 사전분포가 주어지더라도 서로 다른 조건부손실분포의 꼬리위험 순위와 그에 상응하는 예측분포의 꼬리위험순위는 일반적으로 다를 수 있음을 모수적 모형에 기반하여 보였다. 따라서 안전할증은 조건부손실분포의 위험측도가 아니라 예측분포의 위험측도를 사용해야 함을 알 수 있다.