• 제목/요약/키워드: risk strength

검색결과 607건 처리시간 0.027초

학령기 아동의 CBCL 조절곤란프로파일(Child Behavior Checklist Dysregulation Profile)의 요인구조와 특성 (Characteristics of the Factor Structure of the Child Behavior Checklist Dysregulation Profile for School-aged Children)

  • 김은영;하은혜
    • 한국심리학회지:학교
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    • 제17권1호
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    • pp.17-38
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    • 2020
  • 본 연구에서는 국내 학령기 아동을 대상으로 아동·청소년행동평가척도 조절곤란프로파일(Child Behavior Checklist Dysregulation Profile; CBCL-DP)의 요인구조를 조사하고, CBCL-DP특성을 보이는 집단(임상군)과 그렇지 않은 집단(정상군)간 부적응 및 문제행동 수준에 차이가 있는지 확인하고자 하였다. CBCL-DP의 가장 적합한 요인구조를 확인하기 위해 선행연구에서 제시한 3가지 경쟁모형에서 확인적 요인분석을 실시하였으며, 그 결과 단일요인모형(One-factor)과 2차요인모형(Second order)보다 Bifactor모형이 가장 좋은 적합도를 보였다. 가장 적합한 요인구조의 타당성을 확인하기 위해 관련 변인들과의 회귀경로를 계산한 결과 Bifactor모형에서 CBCL-DP는 부모가 보고한 집행기능곤란과 담임교사가 보고한 학교적응 및 강점난점의 모든 하위요인들과 관련되어 있었으며, 불안/우울, 공격행동, 주의집중문제의 3가지 요인들은 차별화된 연관성을 보였다. CBCL-DP의 특성을 나타내는 집단의 부적응 및 문제행동 수준을 CBCL-DP 특성을 보이지 않는 정상군과 비교한 결과, CBCL-DP 특성을 보이는 아동은 정상군 아동보다 집행기능 곤란 정도가 더 높았으며, 학교생활 적응을 잘 하지 못하고 바람직한 행동을 할 가능성이 낮은 것으로 나타났다. 결과적으로 CBCL-DP는 특정 증후군(AAA)보다 여러 가지 다양한 측면에서 부정적 결과와 관련이 있었으며, 선행연구들의 요인구조와 본 연구 표본이 부합하고 있다는 점은 광범위한 조절곤란 증후군으로 CBCL-DP를 개념화하는데 일관되고 통합적인 연구결과를 제시했음을 시사한다. 또한 CBCL-DP는 정서·행동문제가 결합된 고위험군 아동을 조기발견하고 중재함에 있어 학교 및 상담 장면에서 심층적이고 전문적인 진단도구로서 유용하게 사용될 수 있을 것으로 기대된다. 이러한 연구결과를 바탕으로 본 연구의 의의, 한계점 및 향후 연구 방향에 대해 논의하였다.

벼.맥주보리 작부체계에서 돈분액비 연용이 벼 생육과 미질에 미치는 영향 (Effect of Annual and Basal Dressing with Liquid Pig Manure on Growth and Quality of Rice in Double Cropping System of Rice-Malting Barley)

  • 이성태;서동철;조주식;;이영한
    • 한국토양비료학회지
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    • 제43권5호
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    • pp.624-630
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    • 2010
  • 남부지방의 대표적 이모작 작부체계인 벼 맥주보리 작부체계에서 3년 (6작기) 동안 화학비료와 돈분뇨의 시용량을 달리하여 연용하여 살포하였을 때 돈분뇨가 벼의 생육과 미질에 미치는 영향에 대하여 검토한 결과 화학비료를 100% 시용한 구에 비해 벼 (돈분뇨 100%)+맥주보리 (돈분뇨 100%) 처리구에서 13%의 수량 증수 효과가 있었다. 그러나 도복 관련하여 3+4 절간 길이가 증가하고 좌절중이 감소하여 도복지수가 증가하였으며, 쌀의 단백질 함량이 증가하고 Toyo 식미치와 완전미 비율은 감소하여 쌀의 품질은 감소하는 결과를 얻어 벼 (돈분뇨 50%+화학비료 50%)+맥주보리 (돈분뇨 50%+화학비료 50%) 처리가 바람직 하였다. 도복에 영향을 미치는 3+4 절간의 길이는 벼 (돈분뇨100%)+맥주보리 (화학비료 100%) 처리구에서 32 cm로 가장 길었으며, 좌절중은 벼 (돈분뇨 100%)+맥주보리 (화학비료 100%)와 벼 (돈분뇨 100%)+맥주보리 (돈분뇨 100%) 처리구의 도복지수가 각각 393 및 411로서 도복의 우려가 높았다. 벼의 수량 및 수량구성요소 벼 (화학비료 100%)+맥주보리 (화학비료 100%) 처리구에서 간장, 수장, 수수, 수당 입수 및 1,000립중은 각각 69 cm, 19.0 cm, 16.1개, 89개 및 23.4 g 이었고, 벼 (돈분뇨 100%) +맥주보리 (돈분뇨 100%) 처리구에서 81 cm, 19.7 cm, 19.3개, 93개 및 22.1 g으로 482 kg $10a^{-1}$의 수량을 얻어 13% 증수 되었다. 쌀의 단백질 함량은 무비구 6.9%를 제외하고 모두 7.6~8.9%로 높은 수준이었으며, 아밀로스 함량은 19.4~22%로 처리구별 유의성은 없었다. 식미치를 Toyo 식미계를 이용하여 조사한 결과 무비구가 67.1로 가장 좋았으나 관행 처리구인 벼 (화학비료 100%)+맥주보리 (화학비료 100%) 처리구에서는 59.8, 벼 (돈분뇨 50%+화학비료 50%)+맥주보리 (돈분뇨 50%+화학비료 50%) 처리구 64.2, 벼 (돈분뇨 100%)+맥주보리 (화학비료 100%) 처리구 60.9, 벼 (돈분뇨 100%)+맥주보리 (돈분뇨 100%) 처리구에서는 60.3 으로 식미치는 낮은 수준이었다. 쌀의 품위 특성은 완전미 비율은 91.6% 이상으로 대체적으로 높았으며, 완전미 비율이 가장 높은 처리구는 무비구로서 95.9% 이었고, 돈분뇨 시용구에서는 완전미 비율이 91.6~92.0%로 가장 낮았으며, 불완전미의 비율을 높인 주 원인은 분상질립의 비율이 높았기 때문이었다. 현미의 무기성분은 돈분뇨 시용구에서 질소와 인산 함량이 높았다.

항공(航空) 자유화(自由化)와 '단일(單一)' 유럽항공시장(航空市場) 접근(接近);유럽사법재판소(司法裁判所)의 미(美) ${\cdot}$ 독(獨) 항공운수협정(航空運輸協定)상 '국적요건(國籍要件)' 조항(條項)의 공동체법(共同體法)상 '내국민대우(內國民待遇)' 규정 위반(違反) 관련 '집행위원회(執行委員會) 대(對) 독일연방(獨逸聯邦)' 사건 판결(判決)(2002)의 문제점을 중심으로 ('Open Skies' Agreements and Access to the 'Single' European Sky;Legal and Economic Problems with the European Court of Justice's Judgment in 'Commission v. Germany'(2002) Striking Down the 'Nationality Clause' in the U.S.-German Agreement)

  • 박현진
    • 한국항공운항학회지
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    • 제15권1호
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    • pp.38-53
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    • 2007
  • In a seminal judgment of November 2002 (Case C-476/98) relating to the compatibility with Community laws of the 'nationality clause' in the 1996 amending protocol to the 1955 U.S.-German Air Services Agreement, the European Court of Justice(ECJ) decided that the provision constituted a measure of an intrinsically discriminatory nature and was thus contrary to the principle of national treatment established under Art. 52 of the EC Treaty. The Court, rejecting bluntly the German government' submissions relying on public policy grounds(Art. 56, EC Treaty), seemed content to declare and rule that the protocol provision requiring a contracting state party to ensure substantial ownership and effective control by its nationals of its designated airlines had violated the requirement of national treatment reserved for other Community Members under the salient Treaty provision. The German counterclaims against the Commission, although tantalizing not only from the perusal of the judgment but from the perspective of international air law, were nonetheless invariably correct and to the point. For such a clause has been justified to defend the 'fundamental interests of society from a serious threat' that may result from granting operating licenses or necessary technical authorizations to an airline company of a third country. Indeed, the nationality clause has been inserted in most of the liberal bilaterals to allow the parties to enforce their own national laws and regulations governing aviation safety and security. Such a clause is not targeted as a device for discriminating against the nationals of any third State. It simply acts as the minimum legal safeguards against aviation risk empowering a party to take legal control of the designated airlines. Unfortunately, the German call for the review of such a foremost objective and rationale underlying the nationality clause landed on the deaf ears of the Court which appeared quite happy not to take stock of the potential implications and consequences in its absence and of the legality under international law of the 'national treatment' requirement of Community laws. Again, while US law limits foreign shareholders to 24.9% of its airlines, the European Community limits non-EC ownership to 49%, precluding any ownership and effective control by foreign nationals of EC airlines, let alone any foreign takeover and merger. Given this, it appears inconsistent and unreasonable for the EC to demand, $vis-{\grave{a}}-vis$ a non-EC third State, national treatment for all of its Member States. The ECJ's decision was also wrongly premised on the precedence of Community laws over international law, and in particular, international air law. It simply is another form of asserting and enforcing de facto extraterritorial application of Community laws to a non-EC third country. Again, the ruling runs counter to an established rule of international law that a treaty does not, as a matter of principle, create either obligations or rights for a third State. Aside from the legal problems, the 'national treatment' may not be economically justified either, in light of the free-rider problem and resulting externalities or inefficiency. On the strength of international law and economics, therefore, airlines of Community Members other than the designated German and U.S. air carriers are neither eligible for traffic rights, nor entitled to operate between or 'free-ride' on the U.S. and German points. All in all and in all fairness, the European Court's ruling was nothing short of an outright condemnation of established rules and principles of international law and international air law. Nor is the national treatment requirement justified by the economic logic of deregulation or liberalization of aviation markets. Nor has the requirement much to do with fair competition and increased efficiency.

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국제통화제도의 개혁과 G20 (International Monetary System Reform and the G20)

  • 조윤제
    • KDI Journal of Economic Policy
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    • 제32권4호
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    • pp.153-195
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    • 2010
  • 세계금융위기의 근본적인 원인은 시장과 제도의 괴리에서 나오는 '제도의 실패'라고 할 수 있다. 특히 현재의 국제통화제도는 무제도(non-system)나 다름없다고 할 수 있다. 현재 당면하고 있는 국제통화제도의 문제점들을 볼 때 개편 방향의 핵심은 (1) 수요 측면에서는 과대한 외환보유고를 축적하려는 인센티브를 어떻게 줄일 수 있을 것인가 하는 것이며, (2) 공급 측면에서는 현재 미국 달러화에 주로 의존하고 있는 제도를 탈피, 보다 다양한 국제통화 혹은 대체적 외화준비자산(SDR을 포함하여)으로 전환해 나가거나 혹은 보다 근본적인 개혁방안으로서 새로운 세계통화(global reserve currency)를 창출하는 것이다. 그리고 (3) 이러한 변화를 뒷받침 하기 위해 필요한 기구적 개편, 특히 IMF의 개혁을 추진하는 것이다. 이러한 개편은 현실적 국제역학관계로 볼 때 오직 점진적으로 일어날 수 있는 것이다. 따라서 현재 세계경제의 안정적 성장을 위해 중요한 것은 이러한 개편을 점진적으로 추진함과 동시에 주요국 간의 거시경제정책공조를 이뤄 나가는 것이다. 이러한 과정을 원활히 해나가기 위해서는 효율적인 세계경제 지배구조를 갖추는 것이 필수적이다. 세계금융위기 이후 출범한 G20 정상회의가 효율적인 협의체가 되기 위해서는 의사결정이 원활히 이루어질 수 있는 방안과 장치를 세워나갈 필요가 있다. 사무국(secretariat) 혹은 그와 유사한 기능을 행사할 수 있는 조직의 설립과 위원회제도 같은 것을 활용할 필요가 있을 것으로 보인다.

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대기오염에 의한 폐암 및 만성폐색성호흡기질환 -개인 흡연력을 보정한 만성건강영향평가- (Lung cancer, chronic obstructive pulmonary disease and air pollution)

  • 성주헌;조수헌;강대희;유근영
    • Journal of Preventive Medicine and Public Health
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    • 제30권3호
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    • pp.585-598
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    • 1997
  • Background : Although there are growing concerns about the adverse health effect of air pollution, not much evidence on health effect of current air pollution level had been accumulated yet in Korea. This study was designed to evaluate the chronic health effect of ai. pollution using Korean Medical Insurance Corporation (KMIC) data and air quality data. Medical insurance data in Korea have some drawback in accuracy, but they do have some strength especially in their national coverage, in having unified ID system and individual information which enables various data linkage and chronic health effect study. Method : This study utilized the data of Korean Environmental Surveillance System Study (Surveillance Study), which consist of asthma, acute bronchitis, chronic obstructive pulmonary diseases (COPD), cardiovascular diseases (congestive heart failure and ischemic heart disease), all cancers, accidents and congenital anomaly, i. e., mainly potential environmental diseases. We reconstructed a nested case-control study wit5h Surveillance Study data and air pollution data in Korea. Among 1,037,210 insured who completed? questionnaire and physical examination in 1992, disease free (for chronic respiratory disease and cancer) persons, between the age of 35-64 with smoking status information were selected to reconstruct cohort of 564,991 persons. The cohort was followed-up to 1995 (1992-5) and the subjects who had the diseases in Surveillance Study were selected. Finally, the patients, with address information and available air pollution data, left to be 'final subjects' Cases were defined to all lung cancer cases (424) and COPD admission cases (89), while control groups are determined to all other patients than two case groups among 'final subjects'. That is, cases are putative chronic environmental diseases, while controls are mainly acute environmental diseases. for exposure, Air quality data in 73 monitoring sites between 1991 - 1993 were analyzed to surrogate air pollution exposure level of located areas (58 areas). Five major air pollutants data, TSP, $O_3,\;SO_2$, CO, NOx was available and the area means were applied to the residents of the local area. 3-year arithmetic mean value, the counts of days violating both long-term and shot-term standards during the period were used as indices of exposure. Multiple logistic regression model was applied. All analyses were performed adjusting for current and past smoking history, age, gender. Results : Plain arithmetic means of pollutants level did not succeed in revealing any relation to the risk of lung cancer or COPD, while the cumulative counts of non-at-tainment days did. All pollutants indices failed to show significant positive findings with COPD excess. Lung cancer risks were significantly and consistently associated with the increase of $O_3$ and CO exceedance counts (to corrected error level -0.017) and less strongly and consistently with $SO_2$ and TSP. $SO_2$ and TSP showed weaker and less consistent relationship. $O_3$ and CO were estimated to increase the risks of lung cancer by 2.04 and 1.46 respectively, the maximal probable risks, derived from comparing more polluted area (95%) with cleaner area (5%). Conclusions : Although not decisive due to potential misclassication of exposure, these results wert drawn by relatively conservative interpretation, and could be used as an evidence of chronic health effect especially for lung cancer. $O_3$ might be a candidate for promoter of lung cancer, while CO should be considered as surrogated measure of motor vehicle emissions. The control selection in this study could have been less appropriate for COPD, and further evaluation with another setting might be necessary.

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근위축비만이 국내 여성고령자의 신체기능과 체력에 미치는 영향 (Does Sarcopenic Obesity Affect Physical Function and Physical Fitness of Korean Older Women?)

  • 홍승연
    • 한국노년학
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    • 제30권3호
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    • pp.831-842
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    • 2010
  • 최근 한국사회의 고령화 및 노인장기요양 보험제도의 시작으로 노인 신체기능 및 장애에 대한 관심이 증가한 가운데, 이에 영향을 미치는 요인 중 하나로 근위축비만(Sarcopenic obesity) 즉, 근육양 감소와 지방량 증가가 동시에 나타나는 현상에 대한 관심이 증가하고 있다. 비만과 근 위축 각각이 노인의 신체기능에 미치는 영향에 대한 연구는 존재하나, 근위축 비만이 노인의 신체기능 및 체력에 미치는 영향에 관한 연구는 극히 제한적이다. 이에 본 연구는 경기도 Y시에 자립적으로 거주하는 60세 이상의 여성고령자 257명(평균연령 74.5세)의 신체조성을 측정한 후 Davison의 분류법을 이용하여 정상체지방군, 높은 체지방군, 근위축군, 근위축비만군의 4개 군으로 분류하고 7개의 노인신체기능측정(의자에서 앉았다 일어서기, 아령들기, 상완 유연성, 정적형성, 2분 제자리 걷기, 하지 유연성 및 8 feet 앉았다 일어서서 돌아오기(8ft TUG))검사항목과 측정장치를 이용한 4개의 기초체력항목(악력, 자세안정성, 무릎신근력 및 굴근력)에 미치는 영향을 조사하였다. SPSS 12.0을 이용하여 일원배치분산분석과 다중비교검정을 위한 LSD 사후검정을 실시하였으며 유의수준은 5%에서 검정하였다. 정상군의 의자에서 앉았다 일어서기, 아령들기, 상완유연성, 2분 제자리 걷기 결과는 근위축군(p<.05)과 근위축비만군(p<.05)보다 유의하게 높았다. 정적평형성은 정상군이 근위축비만군에 비하여 유의하게 높았으며(p<.01), 근위축군이 근위축비만군보다 유의하게 높았다(p<.01). 8ft TUG는 근위축비만군만이 정상군에 비하여 유의하게 낮은 결과를 보였다(p<.01). 악력(F=20.87,p<.001), 60도에서의 최대 신근력은 정상군이 근위축군(p<.01)과 근위축비만군(p<.01)보다 유의하게 높았으며 60도에서의 최대 굴극력역시 정상군이 근위축군(p<.01)과 근위축비만군(p<.01)보다 유의하게 높은 결과를 보였다. 본 연구의 결과는 노후의 자립적 삶을 영위하기 위한 기능유지의 위험인자로서 비만상태보다는 근위축비만군임을 입증하였으며, 노후 신체허약의 위험인자로 근위축비만에 대한 중재가 필요함을 보여주고 있다.

APPLICATION OF FUZZY SET THEORY IN SAFEGUARDS

  • Fattah, A.;Nishiwaki, Y.
    • 한국지능시스템학회:학술대회논문집
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    • 한국퍼지및지능시스템학회 1993년도 Fifth International Fuzzy Systems Association World Congress 93
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    • pp.1051-1054
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    • 1993
  • The International Atomic Energy Agency's Statute in Article III.A.5 allows it“to establish and administer safeguards designed to ensure that special fissionable and other materials, services, equipment, facilities and information made available by the Agency or at its request or under its supervision or control are not used in such a way as to further any military purpose; and to apply safeguards, at the request of the parties, to any bilateral or multilateral arrangement, or at the request of a State, to any of that State's activities in the field of atomic energy”. Safeguards are essentially a technical means of verifying the fulfilment of political obligations undertaken by States and given a legal force in international agreements relating to the peaceful uses of nuclear energy. The main political objectives are: to assure the international community that States are complying with their non-proliferation and other peaceful undertakings; and to deter (a) the diversion of afeguarded nuclear materials to the production of nuclear explosives or for military purposes and (b) the misuse of safeguarded facilities with the aim of producing unsafeguarded nuclear material. It is clear that no international safeguards system can physically prevent diversion. The IAEA safeguards system is basically a verification measure designed to provide assurance in those cases in which diversion has not occurred. Verification is accomplished by two basic means: material accountancy and containment and surveillance measures. Nuclear material accountancy is the fundamental IAEA safeguards mechanism, while containment and surveillance serve as important complementary measures. Material accountancy refers to a collection of measurements and other determinations which enable the State and the Agency to maintain a current picture of the location and movement of nuclear material into and out of material balance areas, i. e. areas where all material entering or leaving is measurab e. A containment measure is one that is designed by taking advantage of structural characteristics, such as containers, tanks or pipes, etc. To establish the physical integrity of an area or item by preventing the undetected movement of nuclear material or equipment. Such measures involve the application of tamper-indicating or surveillance devices. Surveillance refers to both human and instrumental observation aimed at indicating the movement of nuclear material. The verification process consists of three over-lapping elements: (a) Provision by the State of information such as - design information describing nuclear installations; - accounting reports listing nuclear material inventories, receipts and shipments; - documents amplifying and clarifying reports, as applicable; - notification of international transfers of nuclear material. (b) Collection by the IAEA of information through inspection activities such as - verification of design information - examination of records and repo ts - measurement of nuclear material - examination of containment and surveillance measures - follow-up activities in case of unusual findings. (c) Evaluation of the information provided by the State and of that collected by inspectors to determine the completeness, accuracy and validity of the information provided by the State and to resolve any anomalies and discrepancies. To design an effective verification system, one must identify possible ways and means by which nuclear material could be diverted from peaceful uses, including means to conceal such diversions. These theoretical ways and means, which have become known as diversion strategies, are used as one of the basic inputs for the development of safeguards procedures, equipment and instrumentation. For analysis of implementation strategy purposes, it is assumed that non-compliance cannot be excluded a priori and that consequently there is a low but non-zero probability that a diversion could be attempted in all safeguards ituations. An important element of diversion strategies is the identification of various possible diversion paths; the amount, type and location of nuclear material involved, the physical route and conversion of the material that may take place, rate of removal and concealment methods, as appropriate. With regard to the physical route and conversion of nuclear material the following main categories may be considered: - unreported removal of nuclear material from an installation or during transit - unreported introduction of nuclear material into an installation - unreported transfer of nuclear material from one material balance area to another - unreported production of nuclear material, e. g. enrichment of uranium or production of plutonium - undeclared uses of the material within the installation. With respect to the amount of nuclear material that might be diverted in a given time (the diversion rate), the continuum between the following two limiting cases is cons dered: - one significant quantity or more in a short time, often known as abrupt diversion; and - one significant quantity or more per year, for example, by accumulation of smaller amounts each time to add up to a significant quantity over a period of one year, often called protracted diversion. Concealment methods may include: - restriction of access of inspectors - falsification of records, reports and other material balance areas - replacement of nuclear material, e. g. use of dummy objects - falsification of measurements or of their evaluation - interference with IAEA installed equipment.As a result of diversion and its concealment or other actions, anomalies will occur. All reasonable diversion routes, scenarios/strategies and concealment methods have to be taken into account in designing safeguards implementation strategies so as to provide sufficient opportunities for the IAEA to observe such anomalies. The safeguards approach for each facility will make a different use of these procedures, equipment and instrumentation according to the various diversion strategies which could be applicable to that facility and according to the detection and inspection goals which are applied. Postulated pathways sets of scenarios comprise those elements of diversion strategies which might be carried out at a facility or across a State's fuel cycle with declared or undeclared activities. All such factors, however, contain a degree of fuzziness that need a human judgment to make the ultimate conclusion that all material is being used for peaceful purposes. Safeguards has been traditionally based on verification of declared material and facilities using material accountancy as a fundamental measure. The strength of material accountancy is based on the fact that it allows to detect any diversion independent of the diversion route taken. Material accountancy detects a diversion after it actually happened and thus is powerless to physically prevent it and can only deter by the risk of early detection any contemplation by State authorities to carry out a diversion. Recently the IAEA has been faced with new challenges. To deal with these, various measures are being reconsidered to strengthen the safeguards system such as enhanced assessment of the completeness of the State's initial declaration of nuclear material and installations under its jurisdiction enhanced monitoring and analysis of open information and analysis of open information that may indicate inconsistencies with the State's safeguards obligations. Precise information vital for such enhanced assessments and analyses is normally not available or, if available, difficult and expensive collection of information would be necessary. Above all, realistic appraisal of truth needs sound human judgment.

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