• 제목/요약/키워드: salient

검색결과 733건 처리시간 0.026초

Prediction of Prognosis in Glioblastoma Using Radiomics Features of Dynamic Contrast-Enhanced MRI

  • Elena Pak;Kyu Sung Choi;Seung Hong Choi;Chul-Kee Park;Tae Min Kim;Sung-Hye Park;Joo Ho Lee;Soon-Tae Lee;Inpyeong Hwang;Roh-Eul Yoo;Koung Mi Kang;Tae Jin Yun;Ji-Hoon Kim;Chul-Ho Sohn
    • Korean Journal of Radiology
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    • 제22권9호
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    • pp.1514-1524
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    • 2021
  • Objective: To develop a radiomics risk score based on dynamic contrast-enhanced (DCE) MRI for prognosis prediction in patients with glioblastoma. Materials and Methods: One hundred and fifty patients (92 male [61.3%]; mean age ± standard deviation, 60.5 ± 13.5 years) with glioblastoma who underwent preoperative MRI were enrolled in the study. Six hundred and forty-two radiomic features were extracted from volume transfer constant (Ktrans), fractional volume of vascular plasma space (Vp), and fractional volume of extravascular extracellular space (Ve) maps of DCE MRI, wherein the regions of interest were based on both T1-weighted contrast-enhancing areas and non-enhancing T2 hyperintense areas. Using feature selection algorithms, salient radiomic features were selected from the 642 features. Next, a radiomics risk score was developed using a weighted combination of the selected features in the discovery set (n = 105); the risk score was validated in the validation set (n = 45) by investigating the difference in prognosis between the "radiomics risk score" groups. Finally, multivariable Cox regression analysis for progression-free survival was performed using the radiomics risk score and clinical variables as covariates. Results: 16 radiomic features obtained from non-enhancing T2 hyperintense areas were selected among the 642 features identified. The radiomics risk score was used to stratify high- and low-risk groups in both the discovery and validation sets (both p < 0.001 by the log-rank test). The radiomics risk score and presence of isocitrate dehydrogenase (IDH) mutation showed independent associations with progression-free survival in opposite directions (hazard ratio, 3.56; p = 0.004 and hazard ratio, 0.34; p = 0.022, respectively). Conclusion: We developed and validated the "radiomics risk score" from the features of DCE MRI based on non-enhancing T2 hyperintense areas for risk stratification of patients with glioblastoma. It was associated with progression-free survival independently of IDH mutation status.

RFMC 모델 기반의 카 셰어링 지속 사용에 관한 연구 (An Investigation on the Continuous Use of Carsharing: Evidence from RFMC Model)

  • 최한별;곽찬희;이준영
    • 경영정보학연구
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    • 제25권1호
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    • pp.75-91
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    • 2023
  • 정보 기술의 발전으로, 공유 경제 서비스는 새로운 형태의 소비 방식으로 자리 잡았다. 특별히 차량을 소유하지 않고 빌려 쓰는 형태인 카 셰어링은 개인들의 이동 수단의 범위를 확장하는 새로운 서비스이다. 차량 소유로 발생하는 비효율성을 줄이고, 교통 문제를 완화하는 등 카 셰어링은 다양한 사회적 이점을 제공하지만, 이를 구현하기 위해서는 개인의 카 셰어링 서비스 이용 패턴을 이해하고 이용자의 서비스 재사용을 유도해야 한다. 본 연구는 개인의 카 셰어링 서비스 재사용 행동을 이해하기 위해 RFMC (Recency, Frequency, Monetary, and Clumpiness) 모델을 활용하였다. 국내 카 셰어링 서비스 업체의 데이터를 분석한 결과, 카 셰어링 서비스 재사용에 Recency, Monetary 는 부의 영향을, Frequency는 정의 영향을 끼치는 것으로 나타났다. 더욱이 Clumpiness가 높은 집단의 경우, Recency와 Monetary의 효과는 두드러지는 반면, Frequency의 영향은 미미해졌다. 이러한 연구 결과를 바탕으로, 이론적, 실무적 함의를 도출하였다.

전이학습 기반 다중 컨볼류션 신경망 레이어의 활성화 특징과 주성분 분석을 이용한 이미지 분류 방법 (Transfer Learning using Multiple ConvNet Layers Activation Features with Principal Component Analysis for Image Classification)

  • 바트후 ?바자브;주마벡 알리하노브;팡양;고승현;조근식
    • 지능정보연구
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    • 제24권1호
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    • pp.205-225
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    • 2018
  • Convolutional Neural Network (ConvNet)은 시각적 특징의 계층 구조를 분석하고 학습할 수 있는 대표적인 심층 신경망이다. 첫 번째 신경망 모델인 Neocognitron은 80 년대에 처음 소개되었다. 당시 신경망은 대규모 데이터 집합과 계산 능력이 부족하여 학계와 산업계에서 널리 사용되지 않았다. 그러나 2012년 Krizhevsky는 ImageNet ILSVRC (Large Scale Visual Recognition Challenge) 에서 심층 신경망을 사용하여 시각적 인식 문제를 획기적으로 해결하였고 그로 인해 신경망에 대한 사람들의 관심을 다시 불러 일으켰다. 이미지넷 첼린지에서 제공하는 다양한 이미지 데이터와 병렬 컴퓨팅 하드웨어 (GPU)의 발전이 Krizhevsky의 승리의 주요 요인이었다. 그러므로 최근의 딥 컨볼루션 신경망의 성공을 병렬계산을 위한 GPU의 출현과 더불어 ImageNet과 같은 대규모 이미지 데이터의 가용성으로 정의 할 수 있다. 그러나 이러한 요소는 많은 도메인에서 병목 현상이 될 수 있다. 대부분의 도메인에서 ConvNet을 교육하기 위해 대규모 데이터를 수집하려면 많은 노력이 필요하다. 대규모 데이터를 보유하고 있어도 처음부터 ConvNet을 교육하려면 많은 자원과 시간이 소요된다. 이와 같은 문제점은 전이 학습을 사용하면 해결할 수 있다. 전이 학습은 지식을 원본 도메인에서 새 도메인으로 전이하는 방법이다. 전이학습에는 주요한 두 가지 케이스가 있다. 첫 번째는 고정된 특징점 추출기로서의 ConvNet이고, 두번째는 새 데이터에서 ConvNet을 fine-tuning 하는 것이다. 첫 번째 경우, 사전 훈련 된 ConvNet (예: ImageNet)을 사용하여 ConvNet을 통해 이미지의 피드포워드 활성화를 계산하고 특정 레이어에서 활성화 특징점을 추출한다. 두 번째 경우에는 새 데이터에서 ConvNet 분류기를 교체하고 재교육을 한 후에 사전 훈련된 네트워크의 가중치를 백프로퍼게이션으로 fine-tuning 한다. 이 논문에서는 고정된 특징점 추출기를 여러 개의 ConvNet 레이어를 사용하는 것에 중점을 두었다. 그러나 여러 ConvNet 레이어에서 직접 추출된 차원적 복잡성을 가진 특징점을 적용하는 것은 여전히 어려운 문제이다. 우리는 여러 ConvNet 레이어에서 추출한 특징점이 이미지의 다른 특성을 처리한다는 것을 발견했다. 즉, 여러 ConvNet 레이어의 최적의 조합을 찾으면 더 나은 특징점을 얻을 수 있다. 위의 발견을 토대로 이 논문에서는 단일 ConvNet 계층의 특징점 대신에 전이 학습을 위해 여러 ConvNet 계층의 특징점을 사용하도록 제안한다. 본 논문에서 제안하는 방법은 크게 세단계로 이루어져 있다. 먼저 이미지 데이터셋의 이미지를 ConvNet의 입력으로 넣으면 해당 이미지가 사전 훈련된 AlexNet으로 피드포워드 되고 3개의 fully-connected 레이어의 활성화 틀징점이 추출된다. 둘째, 3개의 ConvNet 레이어의 활성화 특징점을 연결하여 여러 개의 ConvNet 레이어의 특징점을 얻는다. 레이어의 활성화 특징점을 연결을 하는 이유는 더 많은 이미지 정보를 얻기 위해서이다. 동일한 이미지를 사용한 3개의 fully-connected 레이어의 특징점이 연결되면 결과 이미지의 특징점의 차원은 4096 + 4096 + 1000이 된다. 그러나 여러 ConvNet 레이어에서 추출 된 특징점은 동일한 ConvNet에서 추출되므로 특징점이 중복되거나 노이즈를 갖는다. 따라서 세 번째 단계로 PCA (Principal Component Analysis)를 사용하여 교육 단계 전에 주요 특징점을 선택한다. 뚜렷한 특징이 얻어지면, 분류기는 이미지를 보다 정확하게 분류 할 수 있고, 전이 학습의 성능을 향상시킬 수 있다. 제안된 방법을 평가하기 위해 특징점 선택 및 차원축소를 위해 PCA를 사용하여 여러 ConvNet 레이어의 특징점과 단일 ConvNet 레이어의 특징점을 비교하고 3개의 표준 데이터 (Caltech-256, VOC07 및 SUN397)로 실험을 수행했다. 실험결과 제안된 방법은 Caltech-256 데이터의 FC7 레이어로 73.9 %의 정확도를 얻었을 때와 비교하여 75.6 %의 정확도를 보였고 VOC07 데이터의 FC8 레이어로 얻은 69.2 %의 정확도와 비교하여 73.1 %의 정확도를 보였으며 SUN397 데이터의 FC7 레이어로 48.7%의 정확도를 얻었을 때와 비교하여 52.2%의 정확도를 보였다. 본 논문에 제안된 방법은 Caltech-256, VOC07 및 SUN397 데이터에서 각각 기존에 제안된 방법과 비교하여 2.8 %, 2.1 % 및 3.1 %의 성능 향상을 보였다.

중국군의 해양작전능력과 한국군의 과제 (PRC Maritime Operational Capability and the Task for the ROK Military)

  • 김민석
    • Strategy21
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    • 통권33호
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    • pp.65-112
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    • 2014
  • Recent trends show that the PRC has stepped aside its "army-centered approach" and placed greater emphasis on its Navy and Air Force for a wider range of operations, thereby reducing its ground force and harnessing its economic power and military technology into naval development. A quantitative growth of the PLA Navy itself is no surprise as this is not a recent phenomenon. Now is the time to pay closer attention to the level of PRC naval force's performance and the extent of its warfighting capacity in the maritime domain. It is also worth asking what China can do with its widening naval power foundation. In short, it is time to delve into several possible scenarios I which the PRC poses a real threat. With this in mind, in Section Two the paper seeks to observe the construction progress of PRC's naval power and its future prospects up to the year 2020, and categorize time frame according to its major force improvement trends. By analyzing qualitative improvements made over time, such as the scale of investment and the number of ships compared to increase in displacement (tonnage), this paper attempts to identify salient features in the construction of naval power. Chapter Three sets out performance evaluation on each type of PRC naval ships as well as capabilities of the Navy, Air Force, the Second Artillery (i.e., strategic missile forces) and satellites that could support maritime warfare. Finall, the concluding chapter estimates the PRC's maritime warfighting capability as anticipated in respective conflict scenarios, and considers its impact on the Korean Peninsula and proposes the directions ROK should steer in response. First of all, since the 1980s the PRC navy has undergone transitions as the focus of its military strategic outlook shifted from ground warfare to maritime warfare, and within 30 years of its effort to construct naval power while greatly reducing the size of its ground forces, the PRC has succeeded in building its naval power next to the U.S.'s in the world in terms of number, with acquisition of an aircraft carrier, Chinese-version of the Aegis, submarines and so on. The PRC also enjoys great potentials to qualitatively develop its forces such as indigenous aircraft carriers, next-generation strategic submarines, next-generation destroyers and so forth, which is possible because the PRC has accumulated its independent production capabilities in the process of its 30-year-long efforts. Secondly, one could argue that ROK still has its chances of coping with the PRC in naval power since, despite its continuous efforts, many estimate that the PRC naval force is roughly ten or more years behind that of superpowers such as the U.S., on areas including radar detection capability, EW capability, C4I and data-link systems, doctrines on force employment as well as tactics, and such gap cannot be easily overcome. The most probable scenarios involving the PRC in sea areas surrounding the Korean Peninsula are: first, upon the outbreak of war in the peninsula, the PRC may pursue military intervention through sea, thereby undermining efforts of the ROK-U.S. combined operations; second, ROK-PRC or PRC-Japan conflicts over maritime jurisdiction or ownership over the Senkaku/Diaoyu islands could inflict damage to ROK territorial sovereignty or economic gains. The PRC would likely attempt to resolve the conflict employing blitzkrieg tactics before U.S. forces arrive on the scene, while at the same time delaying and denying access of the incoming U.S. forces. If this proves unattainable, the PRC could take a course of action adopting "long-term attrition warfare," thus weakening its enemy's sustainability. All in all, thiss paper makes three proposals on how the ROK should respond. First, modern warfare as well as the emergent future warfare demonstrates that the center stage of battle is no longer the domestic territory, but rather further away into the sea and space. In this respect, the ROKN should take advantage of the distinct feature of battle space on the peninsula, which is surrounded by the seas, and obtain capabilities to intercept more than 50 percent of the enemy's ballistic missiles, including those of North Korea. In tandem with this capacity, employment of a large scale of UAV/F Carrier for Kill Chain operations should enhance effectiveness. This is because conditions are more favorable to defend from sea, on matters concerning accuracy rates against enemy targets, minimized threat of friendly damage, and cost effectiveness. Second, to maintain readiness for a North Korean crisis where timely deployment of US forces is not possible, the ROKN ought to obtain capabilities to hold the enemy attack at bay while deterring PRC naval intervention. It is also argued that ROKN should strengthen its power so as to protect national interests in the seas surrounding the peninsula without support from the USN, should ROK-PRC or ROK-Japan conflict arise concerning maritime jurisprudence. Third, the ROK should fortify infrastructures for independent construction of naval power and expand its R&D efforts, and for this purpose, the ROK should make the most of the advantages stemming from the ROK-U.S. alliance inducing active support from the United States. The rationale behind this argument is that while it is strategically effective to rely on alliance or jump on the bandwagon, the ultimate goal is always to acquire an independent response capability as much as possible.

편물의 역사적 고찰 -유럽의 편물 전통문양을 중심으로 - (The Historical Survey on Knitted Works - On the Basic of the Traditional Knitting Patterns of Europe -)

  • 이순홍;이선명
    • 복식
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    • 제50권7호
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    • pp.195-218
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    • 2000
  • This study investigates the characteristics of European knitted works from a historical perspective. Specifically, this study deals with the following research topics: 1) the origin and development of knitting. 2) the characteristics of knitting industry according to the change of times, 3) the comparison of local knitting patterns and cultures. 4) 7he symbolic meaning of the designs in the knitted works and theire functions. This research is barred on the survey of the relevant literature and photographs. The results of the study are summarized as follows. 1) The introduction of knitted works was closely connected with the climatic and socio-economic conditions of the places of the origin. Knitted work developed mostly in Northern Europe, a cold area, and the barren, mountainous coastal areas where people frequently used woolen materials for clothes. 2) In ancient times, abstract and geometric patterns have developed in Europe under the influence of Arabian knitted work. Middle Ages saw the flourishing of Arabian knitted works representing the authority of the church. In early modern times, the knitted work assumed the wealth of the royal families and the nobles. But afterward it was gradually Popularized among the middle classes. Knitting was then regarded as one of the women's major cultural activities. However, recently in the interwar periods. the knitting industry did not flourish and the knitted works came to serve merely as comfort goods by political urge. Knitted works were introduced in Korea around 1870 (the 7th or 8th year of king Kojong era) by Catholic missionaries and they started to be made by machine in 1917. 3) As for the propagation of the knitted work into Europe, there are three routes estimated. The traditional knitting patterns of local areas and their characteristics are summed up as follows : (1) England Guernseys are thick dark blue wool, whereas Jerseys are thinner and of various colors. The knitted shawls of Shetland are world-famous for their fine, lace-like texture that they can be through a wedding-ring. The knitted work of Fair Isle shows several distinctive features, such as the use of no more than two colors, patterns with diagonal lines. symmetry within the patterns, the prominent OXO patterns, and horizontal bands of patterning. The representative knitted work of Aran is Aran sweater made for fishermen to developed from guernseys of Scotland. (2) Scandinavian countries are distinguished from other countries by their conservative but creative cultural tradition. Their knitting patterns are characterized by small geometric figures such as dots, triangles, squares, rhombuses, and crosses used often with stars and roses. Scandinavian knitting is also salient for its vertical stripes and simple motifs repeating at short intervals. (3) Baltic area : The Latvian and Lithuania stockings have very ornate patterns. Many of the Estonian knit stockings and mittens share designs. Komi was well-known for its symmetric diamond pattern. Komi patterns include colored stripes, borders of pattern and all-over designs of complex diagonals. (4) Balkan area : In Yugoslavia, the patterns of roses, leaves and flowers were used for stockings, gloves and leggings. Greek knitting resembled southern Russian knitting, which utilized light colored patterns with dark colors for a background. Turkish patterns are symmetric vertically or horizontally. 4) The traditional knitting patterns net only carried symbolic meanings but also served as means of communication. First of all, patterns had incantatory meanings. Patterns also represented Power or authenticity Patterns were symbolic of one's social standing, too. The colors, motifs and their arrangements were very important features symbolizing one's social position or family line. People often communicated by certain pieces of knitted work or patterns.

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조선시대(朝鮮時代) 도작농업(稻作農業)의 발전(發展)과 인구증가(人口增加) (Rice Cultivation and Demographi Development in Korea : 1429-1918)

  • 이호철
    • Current Research on Agriculture and Life Sciences
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    • 제7권
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    • pp.201-219
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    • 1989
  • Rice culture in Korea has a long history ranging over two thousand years. In the agriculture economy of pre-mordern Korea, however, its importantce was not as great as generally assumed. In fact, rice culture reached full development only after the 1920s when the Japanese colonial government carried out its drive to increase rice production in the Korea peninsula. It was not until the mid-1930s that rice became the staple in Korean diet. This can be attributed to two factors : (1) a mountainous topography that provides little irrigated fields and (2) a climate characterized by droughts in spring and heavy precipitation in summer. The present paper attempts to answer some of these questions. Specifically it will focus on these : Did the development of rice culture actually result in population growth? What are the salient features of agricultural develdpment and population grow in traditional Korea? Does the case of Korea conform the prevailing generalization about the agriculture in East Asia? I have discussed the development of rice culture and population growth in the Chos$\breve{o}$n dynasty, focusing on the relation between the rapid spread of transplanting and the rapid growth of population from the seventeenth to the nineteenth century. Here are my conclusions. (1) The spread of transplanting and other technological innovationsc contributed to the rapid growth of population in this period. However, we should also note that the impact of rice culture on population growth was rather limited, for rice culture was not the mainstay of agricultural economy in pre-modern Korea. Indeed we should consider the influence of dry field cropsn population growth. Nevertheless, it is obvious that the proliferation of rice culture was a factor crucial to population growth and regional concentration. (2) How should we characterize the spread of rice culture in the whole period? Evidently rice culture spread from less then 20% of cultivated fields in the fifteenth century to about 36% of them in the early twentieth century. Although rice as a single crop outweighed other crops, rice culture was more then counter-balanced by dry field crops as a whole, due to Korea's unique climate and geography. Thus what we have here in not a typical case of competition between rice culture and day field culture. Besides, the spread of rice culture in the seventeenth and eighteenth centuries accomplished by technological innovations that overcame severe springtime drought, rather than extensive irrigation. Althougt irrigarion facilities did proliferate to some extent, this was achieved by local landlords and peasants rather than the state. This fact contradicts the classical thesis that the productivity of rice culture increased through the state management of irrigation and that this in turn determined the type of society. (3) We should further study other aspects of the transition from the stable population and production struture in the fifteenth and sixteenth centuries to the rapid population growth and excessive density of population thereafter. We should note that there were continuing efforts to reclaim the land in order to solve the severe shortage of land. Changes also took place in the agricultural production relations. The increase in land producrivity developed tenancy based on rent in kind, and this in turn increased the independence of tenants from their landlords. There were changes in family relations-such as the shift to primogeniture as an effort to prevent progressive division of property among multiplying offspring. The rapid population growth also produced a great mass of propertyless farm laborers. These changes had much to do with the disintegration of traditional social institutions and political structure toward the end of the Chos$\breve{o}$n dynasty.

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시멘트 제조공정의 환경적 취약 투입물/환경오염물 파악 및 최적종말처리 공정 선정 (Identification of the Environmentally Problematic Input/Environmental Emissions and Selection of the Optimum End-of-pipe Treatment Technologies of the Cement Manufacturing Process)

  • 이주영;김윤하;이건모
    • 대한환경공학회지
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    • 제39권8호
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    • pp.449-455
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    • 2017
  • 기준공정과 개선대상공정 간의 투입물(Input, Material and energy), 배출물(Output, Product, Co-product), 환경오염물(Environmental emission) 데이터를 수집하고 공정 성과를 분석하였다. 이를 통해 환경적으로 주요한 투입물과 환경오염물을 파악하였다. 제조공정의 투입물과 환경오염물 간의 상관관계 분석을 통해 각 환경오염물에 대한 기여도가 큰 투입물을 파악하였다. 주요 환경오염물 처리 시, 경제적 최적화를 통한 종말처리공정 조합을 선형 프로그래밍 기법을 사용하여 규명하였다. 사례 연구로는 동일한 형태의 시멘트를 생산하는 EU와 국내 시멘트 제조공정을 선정하였다. 국내 시멘트 제조공정에서는 석탄이 주요 투입물로, 먼지, $SO_x$가 주요 환경오염물로 파악되었다. 제조공정의 투입물과 환경오염물 간의 다중회귀분석결과 석탄>원자재>석고 순으로 $CO_2$발생량에 기여도가 큰 것으로 나타났다. $SO_x$발생량의 경우 석탄의 기여도가 가장 컸으며, Dust 발생량의 경우 석고>원자재 순으로 기여도가 큰 것으로 나타났다. Dust 종말처리공정 최적화에서 전기집진기술 100%, 섬유필터기술 2.4% 조합이 최적이었다. $SO_x$종말처리공정 최적화에서는 건식첨가공정기술 100% 습식세정기술 25.88% 조합이 최적이었다. 이 연구의 특징은 제조공정에서 문제가 되는 주요 투입물과 환경오염물을 파악하는 방법을 제시하였다는 점이다. 또한, 기술적 경제적으로 최적의 조합인 종말처리공정 선정 방법을 제시하였다는 점이다.

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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식물조직계(植物組織系)의 유효성분(有效成分)에 관(關)한 연구(硏究) [1] -내염성(耐鹽性) 식물(植物)의 Proline축적(蓄積) 및 질소대사(窒素代謝)- (Studies on Salient Metabolites of Plant Tissues (I) -Nitrogen Metabolism and Proline Accumulation in Halophytes-)

  • 조인호
    • Applied Biological Chemistry
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    • 제20권2호
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    • pp.221-227
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    • 1977
  • 우리나라 서해안(西海岸)에 자생(自生)하는 내염성식물(耐鹽性植物) 10종(種)에 대한 proline함량(含量)은 $84{\sim}1700{\mu}g/gfw.$이었으며 Cl함량(含量)은 $0.13{\sim}0.45mM/gfw.$이었다. 이들 식물체내(植物體內)의 proline함량과 Cl함량 간(間)에는 상호반비례(相互反比例)하는 경향을 나타냈다. 그중에서 화본과(禾本科)인 갈대는 고(高) proline함유(含有) 저(低) Cl함유(含有) 식물(植物)로서 염처리(鹽處理)가 갈대의 질소대사(窒素代謝)에 미치는 영향을 검정하였다. 그 결과 0.25M NaCl 처리 이상에서는 위조현상(萎凋現象)이 나타나고, 총질소(總窒素) 함량(含量)은 감소(減少)하는 경향이지만 알콜 가용성(可溶性) 질소 및 proline함량(含量)은 염처리(鹽處理) 농도(濃度)에 비례(比例)하여 증가하였다. 이와 같은 경향(傾向)은 해변(海邊)과 육지(陸地)에 채취한 갈대간에 큰 차이가 없었다. Gel전기영동의 단백질분획(蛋白質分劃)을 0.1M NaCl처리까지는 변화가 없으나 0.25M NaCl처리 이상에서는 Fraction 1 단백질이 감소(減少)하고 대조구(對照區)에 없는 새로운 단백질분획이 나타났다. 이 결과에서 0.1M NaCl 처리는 갈대의 생육과 질소 대사에 영향을 미치지 않았고, 0.25M NaCl 처리는 외관상(外觀上)의 생육(生育)은 저해되지 않았으나 체내(體內) 질소 대사에 이상(異常)을 가져왔으며 0.5M NaCI 처리 이상에서는 생육(生育) 및 대사(代謝)에 이상(異常)을 가져왔다. 질소대사(窒素代謝)의 가장 두드러진 이상(理象)은 proline의 축적(蓄積)이었으며 이 proline은 내염성(耐鹽性) 식물(植物)의 삼투압(?透壓) 조절기능(調節機能)과 관계있을 것으로 생각된다.기적 흥분현상과 결부하여 $Ca^{++}$을 유리할 수 있을 것으로 추정하였으며, 한편 digitalis배당체의 강심작용기전에 있어서는 digitalis 배당체에 의한 세포막의 $Na^+$, $K^+$-ATPase 억제결과 초래될 수 있는 세포내의 $Na^+$ 증가 및(또는) $K^+$감소가 간접적으로 mitochondria에서부터 $Ca^{++}$ 유리를 증가하여 E-C coupling 과정을 촉진할 수 있을 것을 사료하였다. 통계적(統計的)인 유의성(留意性)은 인정(認定)되지 않았고 일반적(一般的)으로 식물성 유지급여군의 간지방함량(肝脂肪含量)이 다른 군보다 높았다. 5. 혈청(血淸)콜레스테롤 함량(含量)은 쥐에 있어서는 채종유군이 가장 높았으며 참기름군이 비교적(比較的) 높은 수치(數値)를 나타냈고, 병아리실험에서는 동물유군이 어유, 콩기름, 참기름, 들기름, 옥수수기름, 채종유, 대조군보다 높았으나 통계적(統計的)인 유의차(留意差)는 없었다.6. 지방산조성(脂肪酸造成)은 동물성유지는 대체로 palmitic acid, myristic acid함량이 많았으며 식물성유는 Linoleic acid 와 oleic acid가 많았고 옥수수기름이 필수지방산인 Linoleic acid 함량이 54.7%로 가장많았으며 특히 들기름이 2중 결합 3개인 Linolenic acid가 58.4%로 다른 식물성기름보다 월등히 높았다. 한편 식물성 기름에는 Arachidonic acid 가 소량있으나 동물유(動物油)나 어유(魚油)에서는 분석(分析)되지 못했다. 5. Paper chromatograhpy에 의하여 유기산(有機酸)을 분석(分析)한 결과(結果)는 다음과 같았다. a) Volatile acid i) 7년(年)

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대형마트의 점포이미지가 쇼핑가치 및 쇼핑만족에 미치는 영향: 지각된 혼잡의 역할 (The Influence of Store Images of Discount Stores on Shopping Values and Shopping Satisfaction: The Roles of Perceived Retail Crowding)

  • 배병렬
    • 한국유통학회지:유통연구
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    • 제17권4호
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    • pp.1-27
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    • 2012
  • 본 연구는 3대 대형마트(이마트, 홈플러스 및 롯데마트)의 점포이미지 구성요인이 쇼핑가치 및 쇼핑만족에 미치는 영향을 분석하였다. 점포이미지 구성요인으로 점포분위기, 판매원서비스, 부대시설, 제품구색 및 점포입지를 포함하였고, 쇼핑가치로는 실용적 쇼핑가치 및 쾌락적 쇼핑가치 등을 포함하였다. 자료는 지방에 위치한 세 점포를 이용하는 쇼핑객 114명을 대상으로 'mall-intercept' 방법에 의해 수집한 다음, SmartPLS 2.0에 의해 분석하였다. 분석결과, 판매원서비스 및 점포입지가 실용적 쇼핑가치에 영향을 주고, 점포분위기, 판매원서비스 및 점포입지가 쾌락적 쇼핑가치에 영향을 주는 것으로 나타났다. 쇼핑가치들은 모두 쇼핑만족에 영향을 주는 것으로 나타났다. 이들 두 쇼핑가치 가운데 쾌락적 쇼핑가치가 쇼핑만족에 더 많은 영향을 주는 것으로 나타났다. 본 연구는 지각된 혼잡이 쇼핑가치와 쇼핑만족 간의 관계에 대해 조절역할을 하는지 분석하였다. 분석결과, 쇼핑가치와 쇼핑만족 간의 관계에서 지각된 혼잡이 조절역할을 하지 않는 것으로 나타났다. 이는 쇼핑가치와 쇼핑만족 간의 관계에서 지각된 혼잡의 정도에 따라 이들 관계의 크기가 크게 변하지 않음을 의미한다. 지각된 혼잡의 조절역할 외에, 지각된 혼잡이 쇼핑만족에 직접영향을 줄 것으로 가정하고 이를 WarpPLS 3.0에 의해 분석한 결과, 두 변수 간에는 비선형 관계(non-linear)가 있음이 밝혀졌다. 즉 점포혼잡을 크게 지각할수록 쇼핑만족은 더 크게 증가하는 것으로 나타났다. 본 연구가 기존의 연구와 다른 차별점은 이들 간의 관계에서 지각된 혼잡의 역할을 중점적으로 분석하였다는 점이다. 본 연구는 점포이미지가 쇼핑만족에 미치는 직접효과도 분석하였다. 즉 소비자가 지각하는 점포에 대한 이미지가 쇼핑가치를 매개하지 않고 쇼핑만족에 직접 영향을 주는가를 분석하였다. 분석결과, 점포분위기와 판매원서비스가 쇼핑만족에 직접 영향을 주는 것으로 나타났다. 이러한 연구결과를 토대로 실무적 시사점, 연구의 한계 및 향후의 연구방향 등에 대해 기술하였다.

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