960 resultados para Homogenization Schemes


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Tässä työssä käsitellään muutoksia, joita EGPRS-standardi aiheuttaa matkapuhelimen fyysiselle signalointiprotokollatasolle. EGPRS on laajennus normaaliin GPRS-verkkoon ja se mahdollistaa yhteistoiminnan Yhdysvalloissa käytetyn TDMA-matkapuhelinstandardin kanssa. EGPRS-puhelimessa puhelut hoidetaan TDMA-verkon kautta ja datan siirto GPRS-verkon kautta. EGPRS operoi GSM850 ja GSM1900 taajuusalueilla. EGPRS:n merkittävimpiä uusia ominaisuuksia ovat modulointimenetelmä EDGE ja kompaktit kontrollikanavat. Uudella modulointimenetelmällä saavutetaan kolminkertainen tiedonsiirtonopeus vanhaan modulointimenetelmään verrattuna. Kompaktien kontrollikanavien avulla voidaan tukiaseman taajuuskaistan tarvetta pienentää huomattavasti. Tukiasema voi käyttää vanhaa ja uutta modulointimenetelmää yhtä aikaa. EGPRS-verkko voi sisältää sekä kompakteja että normaaleja tukiasemia.

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Mobiiliviestintään käytetystä lyhytsanomapalvelusta (Short Messaging Service, SMS) on tullut ilmiömäinen menestys. SMS-palvelulle on tulossa seuraaja, jota kutsutaan monimediaviestipalveluksi (Multimedia Messaging Service, MMS). MMS-viestit voivat sisältää useita erilaisia kuva-, ääni- ja videoformaatteja. Vaikka yhteensopimattomia SMS-keskuksia yhdistämään tarvitaan Intellitel Messaging Gatewayn kaltaisia sanomanvälitystuotteita, ei tällainen SMS-keskeinen lähestyminen sanomanvälitykseen ole MMS-kykyisen sanomanvälittimen kannalta järkevä ratkaisu. MMS-kykyisen sanomanvälittimen täytyy lisätä arvoa itse sanomanvälitysprosessiin, jotta tuotteesta tulisi menestyksekäs. Tässä työssä käsitellään MMS-sanomanvälityksen ongelmallisuuksia. Erityisesti painotetaan MMS-kykyisen sanomanvälittimen kehittämistä olemassaolevasta SMS-sanomanvälitintuotteesta, sekä selvitetään syitä arvonlisäyksen välttämättömyydelle. Työssä esitetään myös erilaisia arvonlisäystapoja MMS-sanomanvälitykseen. Eräitä esitetyistä arvonlisäystavoista käytetään käytännön osassa toteutetussa Nokian MMS-keskuksen MM7/VAS-rajapintaan kytkeytymään kykenevässä sanomanvälityskomponentissa.

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Suunniteltiin ja rakennettiin suoraa vääntömomenttisäätöä soveltava taajuudenmuuttajakäyttö oikosulkumoottorin ohjaukseen korvaamaan passiivinen jarrukäyttö. Laite on kuntoutuslaite, jolla tehdään lihasvoiman mittauksia ja voimaharjoituksia. Selvitettiin kaupallisten moottoreiden ja taajuudenmuuttajien suoritusominaisuuksia ja tämän perusteella valittiin käyttöön sopivat laitteet. Työssä esitetään kaksi oikosulkumoottorin ohjaustapaa: vektorisäätö ja suora vääntömomenttisäätö. Merkittävin osa tästä työstä käsittelee - tarkan turvallisuussuunnitelman lisäksi - kuntoutuslaitteen prototyypin komponentteja, kokoamista ja suoritustestien tuloksia.

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Avoin globaali liiketoimintaympäristö tuo jatkuvasti uusia haasteita metsäteollisuudelle ja sitä kautta koko metsäklusterille, ja kilpailussa menestyminen edellyttää proaktiivista lähestymistapaa. Diplomityön tarkoituksena on kartoittaa metsäklusterin tulevaisuudennäkymiä sekä esittää näkemyksiä ja ajatuksia siitä, miten Kaakkois-Suomen osaamiskeskus (Koske) voisi jatkossa omalta osaltaan edesauttaa Kaakkois-Suomen metsäklusterin edellytyksiä menestyä globaalissa kilpailussa. Työssä on hyödynnetty skenaariomenetelmää, jonka tuloksena syntyi metsäklusterin skenaarionelikenttä. Tutkimus toi esille myös näkemyksiä siitä, mitä skenaarionelikentän skenaarioista Kaakkois-Suomessa tulisi lähteä aktiivisesti tavoittelemaan, ja millaisia toimenpiteitä tämä edellyttää. Kun perinteiset kilpailuedun lähteet murentuvat, ja tuotanto sekä kysyntä siirtyvät yhä enemmän nouseville talousalueille, on toimintatavoissa tapahduttava merkittäviä muutoksia. Tavoiteltava skenaario mahdollistaa pääsyn uusille kasvumarkkinoille innovatiivisuuden ja asiakaslähtöisyyden kautta sekä edellyttää tehokkaamman metsäklusteria tukevan innovaatioketjun rakentamista, eli panostusta alueelliseen innovaatioympäristöön. Mallissa tuetaan pienten, innovatiivisten, yritysten alkutaivalta tarjoamalla niille tukea, osaamista ja rahoitusta. Innovaatioympäristön kehittäminen voisi tapahtua laajan alueellisen ohjelman avulla. Kuitenkin myös pienemmillä kehityshankkeilla on tärkeä merkitys päämäärien saavuttamisessa.

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The purpose of this PhD thesis is to investigate a semantic relation present in the connection of sentences (more specifically: propositional units). This relation, which we refer to as contrast, includes the traditional categories of adversatives - predominantly represented by the connector but in English and pero in Modern Spanish - and concessives, prototypically verbalised through although / aunque. The aim is to describe, analyse and - as far as possible - to explain the emergence and evolution of different syntactic schemes marking contrast during the first three centuries of Spanish (also referred to as Castilian) as a literary language, i.e., from the 13th to the 15th century. The starting point of this question is a commonplace in syntax, whereby the semantic and syntactic complexity of clause linkage correlates with the degree of textual elaboration. In historical linguistics, i.e., applied to the phylogeny of a language, it is commonly referred to as the parataxis hypothesis A crucial part of the thesis is dedicated by the definition of contrast as a semantic relation. Although the label contrast has been used in this sense, mainly in functional grammar and text linguistics, mainstream grammaticography and linguistics remain attached to the traditional categories adversatives and concessives. In opposition to this traditional view, we present our own model of contrast, based on a pragma-semantic description proposed for the analysis of adversatives by Oswald Ducrot and subsequently adopted by Ekkehard König for the analysis of concessives. We refine and further develop this model in order for it to accommodate all, not just the prototypical instances of contrast in Spanish, arguing that the relationship between adversatives and concessives is a marked opposition, i.e., that the higher degree of semantic and syntactic integration of concessives restricts some possible readings that the adversatives may have, but that this difference is almost systematically neutralised by contextual factors, thus justifying the assumption of contrast as a comprehensive onomasiological category. This theoretical focus is completed by a state-of-the-question overview attempting to account for all relevant forms in which contrast is expressed in Medieval Spanish, with the aid of lexicographic and grammaticographical sources, and an empirical study investigating the expression of corpus in a corpus study on the textual functions of contrast in nine Medieval Spanish texts: Cantar de Mio Cid, Libro de Alexandre, Milagros de Nuestra Sehora, Estoria de Espana, Primera Partida, Lapidario, Libro de buen amor, Conde Lucanor, and Corbacho. This corpus is analysed using quantitative and qualitative tools, and the study is accompanied by a series of methodological remarks on how to investigate a pragma-semantic category in historical linguistics. The corpus study shows that the parataxis hypothesis fails to prove from a statistical viewpoint, although a qualitative analysis shows that the use of subordination does increase over time in some particular contexts.

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Tutkielman tavoitteena on selvittää miten hallituksen tulisi johtaa ja valvoa yritystä ja palkita sen ylintä johtoa, jotta yritykselle asetetut tavoitteet saavutetaan ja omistajien edut varmistetaan. Tutkimus on käsiteanalyyttinen ja perustuu olemassa olevaan doktriiniin. Omistajien aktivoituminen ilmenee heidän lisääntyneenä kiinnostuksena hallitustyöskentelystä. Hallituksissa on yhä enemmän omistajien edustajia, jotka johtavat yritystä siten, että sen omistaja-arvo nousee ja omistajat vaurastuvat. Corporate governance -suositukset antavat ohjeita yrityksen hallituksen kokoonpanosta, jäsenten ominaisuuksista ja hallituksen tehtävistä. Hallituksen jäsenillä tulee olla taitoa ja kokemusta ajaa omistajien etuja. Hallituksen alaisuuteen suositellaan perustettavaksi palkitsemiskomitea ulkopuolisista hallituksen jäsenistä. Palkitsemiskomitean tehtävänä on määrittää palkitsemisjärjestelmät, joilla yrityksen johto saadaan työskentelemään omistajien etujen mukaisesti.

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Tutkielman päätavoitteena oli selvittää, miten Monte Carlo –simulointi soveltuu strategisten reaalioptioiden arvonmääritykseen. Tutkielman teoriaosuudessa käytiin läpi reaalioptioteoriaa ja Monte Carlo –simulointimenetelmää toiminta-analyyttisella tutkimusotteella. Tuloksena todettiin, että simulointimenetelmää on reaalioptioiden yhteydessä yleensä käytetty, kun muu menetelmä ei ole ollut mahdollinen. Tutkielman pääpaino on tapaustutkimukseen pohjautuvassa empiriaosuudessa, jossa rakennettiin päätöksentekometodologista tutkimusotetta seuraten simulointimalli, jolla tutkittiin Voest Alpine Stahl Ag:n vaihtoehtoisten hinnoittelustrategioiden taloudellista vaikutusta. Mallin rakentaminen perustui yrityksen tilinpäätösaineistoon. Havaittiin, ettei yritys ole valitsemansa strategian vuoksi juurikaan menettänyt tuottoja, mutta toisaalta pelkkä tilinpäätösaineisto ei riitä kovin luotettavaan tarkasteluun. Vuosikertomusten antaman tiedon pohjalta analysoitiin lisäksi yrityksen toiminnassa havaittuja reaalioptioita. Monte Carlo –simulointimenetelmä sopii reaalioptioiden arvonmääritykseen, mutta kriittisiä tekijöitä ovat mallin rakentaminen ja lähtötietojen oikeellisuus. Numeerisen mallin rinnalla on siksi aiheellista suorittaa myös laadullista reaalioptioanalyysia.

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There is growing interest in the association of radiotherapy and immunotherapy for the treatment of solid tumors. Here, we report an extremely effective combination of local irradiation (IR) and Shiga Toxin B (STxB)-based human papillomavirus (HPV) vaccination for the treatment of HPV-associated head and neck squamous cell carcinoma (HNSCC). The efficacy of the irradiation and vaccine association was tested using a model of HNSCC obtained by grafting TC-1/luciferase cells at a submucosal site of the inner lip of immunocompetent mice. Irradiation and the STxB-E7 vaccine acted synergistically with both single and fractionated irradiation schemes, resulting in complete tumor clearance in the majority of the treated mice. A dose threshold of 7.5 Gy was required to elicit the dramatic antitumor response. The combined treatment induced high levels of tumor-infiltrating, antigen-specific CD8(+) T cells, which were required to trigger the antitumor activity. Treatment with STxB-E7 and irradiation induced CD8(+) T-cell memory, which was sufficient to exert complete antitumor responses in both local recurrences and distant metastases. We also report for the first time that a combination therapy based on local irradiation and vaccination induces an increased pericyte coverage (as shown by αSMA and NG2 staining) and ICAM-1 expression on vessels. This was associated with enhanced intratumor vascular permeability that correlated with the antitumor response, suggesting that the combination therapy could also act through an increased accessibility for immune cells. The combination strategy proposed here offers a promising approach that could potentially be transferred into early-phase clinical trials.

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Chemical analysis is a well-established procedure for the provenancing of archaeological ceramics. Various analytical techniques are routinely used and large amounts of data have been accumulated so far in data banks. However, in order to exchange results obtained by different laboratories, the respective analytical procedures need to be tested in terms of their inter-comparability. In this study, the schemes of analysis used in four laboratories that are involved in archaeological pottery studies on a routine basis were compared. The techniques investigated were neutron activation analysis (NAA), X-ray fluorescence analysis (XRF), inductively coupled plasma optical emission spectrometry (ICP-OES) and inductively coupled plasma mass spectrometry (ICP-MS). For this comparison series of measurements on different geological standard reference materials (SRM) were carried out and the results were statistically evaluated. An attempt was also made towards the establishment of calibration factors between pairs of analytical setups in order to smooth the systematic differences among the results.

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Internationalization and the following rapid growth have created the need to concentrate the IT systems of many small-to-medium-sized production companies. Enterprise Resource Planning systems are a common solution for such companies. Deployment of these ERP systems consists of many steps, one of which is the implementation of the same shared system at all international subsidiaries. This is also one of the most important steps in the internationalization strategy of the company from the IT point of view. The mechanical process of creating the required connections for the off-shore sites is the easiest and most well-documented step along the way, but the actual value of the system, once operational, is perceived in its operational reliability. The operational reliability of an ERP system is a combination of many factors. These factors vary from hardware- and connectivity-related issues to administrative tasks and communication between decentralized administrative units and sites. To accurately analyze the operational reliability of such system, one must take into consideration the full functionality of the system. This includes not only the mechanical and systematic processes but also the users and their administration. All operational reliability in an international environment relies heavily on hardware and telecommunication adequacy so it is imperative to have resources dimensioned with regard to planned usage. Still with poorly maintained communication/administration schemes no amount of bandwidth or memory will be enough to maintain a productive level of reliability. This thesis work analyzes the implementation of a shared ERP system to an international subsidiary of a Finnish production company. The system is Microsoft Dynamics Ax, currently being introduced to a Slovakian facility, a subsidiary of Peikko Finland Oy. The primary task is to create a feasible base of analysis against which the operational reliability of the system can be evaluated precisely. With a solid analysis the aim is to give recommendations on how future implementations are to be managed.

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After the restructuring process of the power supply industry, which for instance in Finland took place in the mid-1990s, free competition was introduced for the production and sale of electricity. Nevertheless, natural monopolies are found to be the most efficient form of production in the transmission and distribution of electricity, and therefore such companies remained franchised monopolies. To prevent the misuse of the monopoly position and to guarantee the rights of the customers, regulation of these monopoly companies is required. One of the main objectives of the restructuring process has been to increase the cost efficiency of the industry. Simultaneously, demands for the service quality are increasing. Therefore, many regulatory frameworks are being, or have been, reshaped so that companies are provided with stronger incentives for efficiency and quality improvements. Performance benchmarking has in many cases a central role in the practical implementation of such incentive schemes. Economic regulation with performance benchmarking attached to it provides companies with directing signals that tend to affect their investment and maintenance strategies. Since the asset lifetimes in the electricity distribution are typically many decades, investment decisions have far-reaching technical and economic effects. This doctoral thesis addresses the directing signals of incentive regulation and performance benchmarking in the field of electricity distribution. The theory of efficiency measurement and the most common regulation models are presented. The chief contributions of this work are (1) a new kind of analysis of the regulatory framework, so that the actual directing signals of the regulation and benchmarking for the electricity distribution companies are evaluated, (2) developing the methodology and a software tool for analysing the directing signals of the regulation and benchmarking in the electricity distribution sector, and (3) analysing the real-life regulatory frameworks by the developed methodology and further develop regulation model from the viewpoint of the directing signals. The results of this study have played a key role in the development of the Finnish regulatory model.

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Following protection measures implemented since the 1970s, large carnivores are currently increasing in number and returning to areas from which they were absent for decades or even centuries. Monitoring programmes for these species rely extensively on non-invasive sampling and genotyping. However, attempts to connect results of such studies at larger spatial or temporal scales often suffer from the incompatibility of genetic markers implemented by researchers in different laboratories. This is particularly critical for long-distance dispersers, revealing the need for harmonized monitoring schemes that would enable the understanding of gene flow and dispersal dynamics. Based on a review of genetic studies on grey wolves Canis lupus from Europe, we provide an overview of the genetic markers currently in use, and identify opportunities and hurdles for studies based on continent-scale datasets. Our results highlight an urgent need for harmonization of methods to enable transnational research based on data that have already been collected, and to allow these data to be linked to material collected in the future. We suggest timely standardization of newly developed genotyping approaches, and propose that action is directed towards the establishment of shared single nucleotide polymorphism panels, next-generation sequencing of microsatellites, a common reference sample collection and an online database for data exchange. Enhanced cooperation among genetic researchers dealing with large carnivores in consortia would facilitate streamlining of methods, their faster and wider adoption, and production of results at the large spatial scales that ultimately matter for the conservation of these charismatic species.

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An increasing number of studies in recent years have sought to identify individual inventors from patent data. A variety of heuristics have been proposed for using the names and other information disclosed in patent documents to establish who is who in patents. This paper contributes to this literature by describing a methodology for identifying inventors using patents applied to the European Patent Office, EPO hereafter. As in much of this literature, we basically follow a threestep procedure : 1- the parsing stage, aimed at reducing the noise in the inventor’s name and other fields of the patent; 2- the matching stage, where name matching algorithms are used to group similar names; and 3- the filtering stage, where additional information and various scoring schemes are used to filter out these similarlynamed inventors. The paper presents the results obtained by using the algorithms with the set of European inventors applying to the EPO over a long period of time.

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The antifungal "paradoxical effect" has been described as the reversal of growth inhibition at high doses of echinocandins, most usually caspofungin. This microbiological effect appears to be a cellular compensatory response to cell wall damage, resulting in alteration of cell wall content and structure as well as fungal morphology and growth. In vitro studies demonstrate this reproducible effect in a certain percentage of fungal isolates, but animal model and clinical studies are less consistent. The calcineurin and Hsp90 cell signaling pathways appear to play a major role in regulating these cellular and structural changes. Regardless of the clinical relevance of this paradoxical growth effect, understanding the specific actions of echinocandins is paramount to optimizing their use at either standard or higher dosing schemes, as well as developing future improvements in our antifungal arsenal.

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We present a model for transport in multiply scattering media based on a three-dimensional generalization of the persistent random walk. The model assumes that photons move along directions that are parallel to the axes. Although this hypothesis is not realistic, it allows us to solve exactly the problem of multiple scattering propagation in a thin slab. Among other quantities, the transmission probability and the mean transmission time can be calculated exactly. Besides being completely solvable, the model could be used as a benchmark for approximation schemes to multiple light scattering.