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Infrastructure-making in interwar India was a dynamic, multilayered process involving roads and vehicles in urban and rural sites. One of their strongest playgrounds was Bombay Presidency and the Central Provinces in central and western India. Focusing on this region in the interwar period, this paper analyzes the varied relationship between peasant households and town-centred modernizing agents in the making of road transport infrastructures. The central argument of this paper is about the persistence of bullock carts over motor cars in the region. This persistence was grounded in the specific regional environment, the effects of the 1930s economic depression, and the priorities of social classes. Pinpointing these connections, the paper highlights that “modernization” of infrastructure was not a simple, linear process of progressivist change, nor did it mean the survival of apparently “old” technologies in the modern era. Instead, the paper pays attention to conflicting social complexities, implications, and meanings of the connection between infrastructure and modernity that modernization assumptions often overlook. Here, the paper shows how technological change occurred as a result of real, material class interests pulling infrastructural technology in different directions. This was where and why arguments of road-motor lobbyists and cart advocates eventually clashed, and Gandhian social workers resisted motor transport in defense of peasant interests.
Driver assistance systems are increasingly becoming part of the standard equipment of vehicles and thus contribute to road safety. However, as they become more widespread, the requirements for cost efficiency are also increasing, and so few and inexpensive sensors are used in these systems. Especially in challenging situations, this leads to the fact that target discrimination cannot be ensured which may lead to false reactions of the driver assistance system. In this paper, the Boids flocking algorithm is used to generate semantic neighborhood information between tracked objects which in turn can significantly improve the overall performance. Two different variants were developed: First, a free-moving flock whereby a separate flock is generated per tracked object and second, a formation-controlled flock where boids of a single flock move along the future road course in a pre-defined formation. In the first approach, the interaction between the flocks as well as the interaction between the boids within a flock is used to generate additional information, which in turn can be used to improve, for example, lane change detection. For the latter approach, new behavioral rules have been developed, so that the boids can reliably identify control-relevant objects to a driver assistance system. Finally, the performance of the presented methods is verified through extensive simulations.
This paper applies the concept of Soja’s Thirdspace to the phenomenon of Lazgi dance and tourism in Uzbekistan. In doing so it analyses the different levels of perception (including Firstspace and Secondspace) of Lazgi and tourism via an autoethnographic lens. Complemented by expert interviews, the interaction of Lazgi and tourism is examined and characteristics of the Lazgisphere (world of Lazgi) in Uzbekistan are distilled. The results show that Lazgi is often directly or indirectly connected with tourism in Uzbekistan, but even more so serves to reaffirm national identity.
In order to ensure sufficient recovery of the human body and brain, healthy sleep is indispensable. For this purpose, appropriate therapy should be initiated at an early stage in the case of sleep disorders. For some sleep disorders (e.g., insomnia), a sleep diary is essential for diagnosis and therapy monitoring. However, subjective measurement with a sleep diary has several disadvantages, requiring regular action from the user and leading to decreased comfort and potential data loss. To automate sleep monitoring and increase user comfort, one could consider replacing a sleep diary with an automatic measurement, such as a smartwatch, which would not disturb sleep. To obtain accurate results on the evaluation of the possibility of such a replacement, a field study was conducted with a total of 166 overnight recordings, followed by an analysis of the results. In this evaluation, objective sleep measurement with a Samsung Galaxy Watch 4 was compared to a subjective approach with a sleep diary, which is a standard method in sleep medicine. The focus was on comparing four relevant sleep characteristics: falling asleep time, waking up time, total sleep time (TST), and sleep efficiency (SE). After evaluating the results, it was concluded that a smartwatch could replace subjective measurement to determine falling asleep and waking up time, considering some level of inaccuracy. In the case of SE, substitution was also proved to be possible. However, some individual recordings showed a higher discrepancy in results between the two approaches. For its part, the evaluation of the TST measurement currently does not allow us to recommend substituting the measurement method for this sleep parameter. The appropriateness of replacing sleep diary measurement with a smartwatch depends on the acceptable levels of discrepancy. We propose four levels of similarity of results, defining ranges of absolute differences between objective and subjective measurements. By considering the values in the provided table and knowing the required accuracy, it is possible to determine the suitability of substitution in each individual case. The introduction of a “similarity level” parameter increases the adaptability and reusability of study findings in individual practical cases.
"KI first" braucht Verlierer
(2023)
Aktuell vergeht kaum eine Woche, in der nicht ein Unternehmen den Kampf um die Vorherrschaft im Bereich der Künstlichen Intelligenz (KI) aufnimmt. Tech-Konzerne versprechen sich auch von KI-gesteuerten Bildgeneratoren satte Gewinne. Diese ahmen mit synthetischen Mischbildern stilprägende Künstler/innen nach. Dabei wird auf die Rechtslage verwiesen, die eine zustimmungs- und vergütungsfreie Vervielfältigung ihrer Kunstwerke für Trainingszwecke angeblich zulässt. Doch Widerstand von Künstlern/innen hiergegen ist gesellschaftlich dringend geboten und wäre im Übrigen auch rechtlich gedeckt.
Non-volatile NAND flash memories store information as an electrical charge. Different read reference voltages are applied to read the data. However, the threshold voltage distributions vary due to aging effects like program erase cycling and data retention time. It is necessary to adapt the read reference voltages for different life-cycle conditions to minimize the error probability during readout. In the past, methods based on pilot data or high-resolution threshold voltage histograms were proposed to estimate the changes in voltage distributions. In this work, we propose a machine learning approach with neural networks to estimate the read reference voltages. The proposed method utilizes sparse histogram data for the threshold voltage distributions. For reading the information from triple-level cell (TLC) memories, several read reference voltages are applied in sequence. We consider two histogram resolutions. The simplest histogram consists of the zero-and-one ratios for the hard decision read operation, whereas a higher resolution is obtained by considering the quantization levels for soft-input decoding. This approach does not require pilot data for the voltage adaptation. Furthermore, only a few measurements of extreme points of the threshold voltage distributions are required as training data. Measurements with different conditions verify the proposed approach. The resulting neural networks perform well under other life-cycle conditions.
Background: Polysomnography (PSG) is the gold standard for detecting obstructive sleep apnea (OSA). However, this technique has many disadvantages when using it outside the hospital or for daily use. Portable monitors (PMs) aim to streamline the OSA detection process through deep learning (DL).
Materials and methods: We studied how to detect OSA events and calculate the apnea-hypopnea index (AHI) by using deep learning models that aim to be implemented on PMs. Several deep learning models are presented after being trained on polysomnography data from the National Sleep Research Resource (NSRR) repository. The best hyperparameters for the DL architecture are presented. In addition, emphasis is focused on model explainability techniques, concretely on Gradient-weighted Class Activation Mapping (Grad-CAM).
Results: The results for the best DL model are presented and analyzed. The interpretability of the DL model is also analyzed by studying the regions of the signals that are most relevant for the model to make the decision. The model that yields the best result is a one-dimensional convolutional neural network (1D-CNN) with 84.3% accuracy.
Conclusion: The use of PMs using machine learning techniques for detecting OSA events still has a long way to go. However, our method for developing explainable DL models demonstrates that PMs appear to be a promising alternative to PSG in the future for the detection of obstructive apnea events and the automatic calculation of AHI.
Die jüngeren Entscheidungen des EuGH sowie des BAG zur Arbeitszeiterfassung haben trotz ihrer eigentlich klaren Aussagen in der betrieblichen Praxis zu teils erheblichen Verunsicherungen geführt: Müssen nun wirklich die Arbeitszeiten der Beschäftigten erfasst werden und wie wirkt sich das auf die in vielen Unternehmen gelebte „Vertrauensarbeitszeit“ aus?
Urlaub, Urlaub und kein Ende – Die aktuelle Rechtslage auf Basis der Rechtsprechung von EuGH und BAG
(2023)
Die Relevanzanalyse
(2023)
Ordnungsgemäße Unternehmensführung ohne adäquates Risiko- und Compliance-Management ist kaum noch vor- und darstellbar. Rechtsprechung, Literatur, Politik und Gesellschaft stellen (mehr oder weniger) klare Anforderungen an ordnungsgemäßes unternehmerisches Verhalten und sanktionieren tatsächliche (und vermeintliche) Regelverstöße. Um die unternehmensspezifischen Risiken zu erfassen ist die Durchführung einer Risikoanalyse (Compliance Risk Assessment – CRA) unumgänglich1. Der eigentlichen Risikoanalyse ist eine Relevanzanalyse voranzustellen, um sich der bei unternehmerischen Aktivitäten naturgemäß nahezu unüberschaubaren potenziellen Risikomenge anzunähern und diese „abarbeitbar“ zu erfassen. Wird diese Relevanzanalyse professionell und strukturiert durchgeführt und dokumentiert, so kann sie einen wertvollen Beitrag zum Schutz und zur Hilfe gegen Compliance-Verstöße und deren Sanktionierung leisten. Der nachfolgende Beitrag stellt die Grundlagen, Ziele, Anforderungen und Ansätze der Relevanzanalyse dar. In einem weiteren Beitrag (erscheint in CB 11/2023) werden sich die Autoren der Durchführung der Relevanzanalyse widmen und Hinweise zu deren Ablauf und Inhalt geben.
Sanktionen gegen Russland
(2023)
Die EU hat aufgrund des völkerrechtswidrigen Angriffskrieges auf die Ukraine umfangreiche Sanktionen gegen Russland erlassen. Die Sanktionspakete umfassen insbesondere Wirtschaftssanktionen in Form von Einfuhr- und Ausfuhrbeschränkungen, die für deutsche Unternehmen mit unmittelbaren oder mittelbaren Geschäftsbeziehungen nach Russland von Bedeutung sind. Im Vordergrund der rechtlichen Thematik steht die Frage, ob und wann deutsche Unternehmen gegen EU-Sanktionen verstoßen. Aber auch deutsche Unternehmen mit Tochtergesellschaften in Drittstaaten stehen vor der großen Herausforderung, den Regelmechanismus der diversen Sanktionspakete zu durchleuchten, um sich nicht der Gefahr des Vorwurfs einer Umgehung der Sanktionen auszusetzen.
Die Relevanzanalyse
(2023)
Um unternehmensspezifische Risiken zu erfassen ist die Risikoanalyse unumgänglich. Ihr ist wiederum eine Relevanzanalyse voranzustellen. Nachdem im Heft 10 des Compliance Berater 2023, S. 400-404 die Grundlagen, Ziele, Anforderungen und Ansätze der Relevanzanalyse dargestellt wurden, widmet sich der nachfolgende Beitrag der Durchführung der Relevanzanalyse und gibt Hinweise zu deren Ablauf und Inhalt.
Compliance meets CSR
(2023)
Was früher Gegenstand freiwilliger Selbstverpflichtung war, wird seit einiger Zeit zunehmend reguliert: die Wahrnehmung der unternehmensspezifischen Verantwortung gegenüber Umwelt und Gesellschaft, neudeutsch Corporate Social Responsibility (CSR). CSR und Compliance rücken damit näher zusammen. Vieles, was früher durch CSR-Abteilungen im besten Fall systematisch gemanagt wurde, ist nun gesetzlich vorgeschrieben und fällt damit in den Aufgabenbereich von Compliance. Liegt es da nicht nahe, die beiden Bereiche miteinander zu verschmelzen respektive CSR dem Bereich unterzuordnen, der seit den spektakulären Korruptions- und Bilanzfälschungsskandalen zu Beginn dieses Jahrtausends über die größere Management-Awareness verfügt?
Der vorliegende Beitrag versucht deutlich zu machen, wie das Verhältnis sachlich-fachlich einzuordnen ist und welche Schlussfolgerungen in der Praxis daraus gezogen werden könnten.
“Crowd contamination”?
(2023)
Misconduct allegations have been found to not only affect the alleged firm but also other, unalleged firms in form of reputational and financial spillover effects. It has remained unexplored, however, how the number of prior allegations against other firms matters for an individual firm currently facing an allegation. Building on behavioral decision theory, we argue that the relationship between allegation prevalence among other firms and investor reaction to a focal allegation is inverted U-shaped. The inverted U-shaped effect is theorized to emerge from the combination of two effects: In the absence of prior allegations against other firms, investors fail to anticipate the focal allegation, and hence react particularly negatively (“anticipation effect”). In the case of many prior allegations against other firms, investors also react particularly negatively because investors perceive the focal allegation as more warranted (“evaluation effect”). The multi-industry, empirical analysis of 8,802 misconduct allegations against US firms between 2007 and 2017 provides support for our predicted, inverted U-shaped effect. Our study complements recent misconduct research on spillover effects by highlighting that not only a current allegation against an individual firm can “contaminate” other, unalleged firms but that also prior allegations against other firms can “contaminate” investor reaction to a focal allegation against an individual firm.
Low-Code Development Plattformen (LCDPs) fördern die digitale Transformation von Organisationen, indem sie die Applikationsentwicklung durch FachbereichsmitarbeiterInnen ohne tiefgreifende Programmierkenntnisse – sogenannte Citizen Developer – ermöglichen. Marktforschungsinstitute prognostizieren, dass in den nächsten Jahren mehr als die Hälfte aller Applikationen mit LCDPs entwickelt werden. Nichtsdestotrotz stehen Organisationen vor der Herausforderung, sich für die richtigen Implementierungs- und Anwendungsansätze von LCDPs zu entscheiden. Dieser Artikel liefert daher ein umfassendes Bild über das praktische Verständnis und aktuelle Ansätze in verschiedenen Organisationen und leitet daraus Handlungsempfehlungen ab. Dafür wurden 16 Experteninterviews durchgeführt und wissenschaftlich analysiert. Die Ergebnisse zeigen, dass die Praxis grundsätzlich ein ähnliches Verständnis des Begriffs LCDP hat. Die Initiative für die Einführung kommt meist aus den Fachbereichen, die Entscheidung für oder gegen die LCDP-Implementierung wird jedoch meist von der Geschäftsführung in Kooperation mit der IT-Abteilung getroffen. Dabei unterscheiden sich die aktuellen Anwendungsansätze: Unternehmen nutzen entweder einen Self-Service-Ansatz durch die Fachbereiche oder integrieren die Entscheidung über eine potenzielle LCDP-Entwicklung durch die Citizen Developer in das bestehende Demand-Management der IT-Abteilung. Eine etablierte und adaptive Governance ist für beide Ansätze eine wichtige Voraussetzung. Die Erkenntnisse des Beitrags tragen zur wissenschaftlichen Diskussion bei, da dieser Artikel eine der ersten umfassenden und wissenschaftlich fundierten qualitativen Analysen über aktuelle praktische Adoptionsansätze der Praxis liefert. PraktikerInnen erfahren zudem, wie andere Unternehmen mit aktuellen Herausforderungen umgehen und welche Ansätze erfolgversprechend sind.
Study design:
Retrospective, mono-centric cohort research study.
Objectives:
The purpose of this study is to validate a novel artificial intelligence (AI)-based algorithm against human-generated ground truth for radiographic parameters of adolescent idiopathic scoliosis (AIS).
Methods:
An AI-algorithm was developed that is capable of detecting anatomical structures of interest (clavicles, cervical, thoracic, lumbar spine and sacrum) and calculate essential radiographic parameters in AP spine X-rays fully automatically. The evaluated parameters included T1-tilt, clavicle angle (CA), coronal balance (CB), lumbar modifier, and Cobb angles in the proximal thoracic (C-PT), thoracic, and thoracolumbar regions. Measurements from 2 experienced physicians on 100 preoperative AP full spine X-rays of AIS patients were used as ground truth and to evaluate inter-rater and intra-rater reliability. The agreement between human raters and AI was compared by means of single measure Intra-class Correlation Coefficients (ICC; absolute agreement; .75 rated as excellent), mean error and additional statistical metrics.
Results:
The comparison between human raters resulted in excellent ICC values for intra- (range: .97-1) and inter-rater (.85-.99) reliability. The algorithm was able to determine all parameters in 100% of images with excellent ICC values (.78-.98). Consistently with the human raters, ICC values were typically smallest for C-PT (eg, rater 1A vs AI: .78, mean error: 4.7°) and largest for CB (.96, -.5 mm) as well as CA (.98, .2°).
Conclusions:
The AI-algorithm shows excellent reliability and agreement with human raters for coronal parameters in preoperative full spine images. The reliability and speed offered by the AI-algorithm could contribute to the efficient analysis of large datasets (eg, registry studies) and measurements in clinical practice.
While driving, stress is caused by situations in which the driver estimates their ability to manage the driving demands as insufficient or loses the capability to handle the situation. This leads to increased numbers of driver mistakes and traffic violations. Additional stressing factors are time pressure, road conditions, or dislike for driving. Therefore, stress affects driver and road safety. Stress is classified into two categories depending on its duration and the effects on the body and psyche: short-term eustress and constantly present distress, which causes degenerative effects. In this work, we focus on distress. Wearable sensors are handy tools for collecting biosignals like heart rate, activity, etc. Easy installation and non-intrusive nature make them convenient for calculating stress. This study focuses on the investigation of stress and its implications. Specifically, the research conducts an analysis of stress within a select group of individuals from both Spain and Germany. The primary objective is to examine the influence of recognized psychological factors, including personality traits such as neuroticism, extroversion, psychoticism, stress and road safety. The estimation of stress levels was accomplished through the collection of physiological parameters (R-R intervals) using a Polar H10 chest strap. We observed that personality traits, such as extroversion, exhibited similar trends during relaxation, with an average heart rate 6% higher in Spain and 3% higher in Germany. However, while driving, introverts, on average, experienced more stress, with rates 4% and 1% lower than extroverts in Spain and Germany, respectively.
A post-growth economy is a comparatively new paradigm in the tourism discourse. The aim of this article is to find out the commonalities between this concept and Māori tourism and in which way the latter can contribute to a post-growth economy. A qualitative mixed method approach, including in-depth-interviews, participant observation, and secondary analysis is applied. The results show that there is a lot of overlap between Māori tourism and a post-growth economy. Differences are visible, as well, regarding the value approach of Māori tourism and the indicator approach of a post-growth economy. Especially the social innovation created in Aotearoa New Zealand at the instigation of Māori groups of granting legal personhood to parts of nature may serve as a driver for a form of tourism that is in line with the idea of a post-growth economy.