Academic literature on the topic 'Systemic indicators'

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Journal articles on the topic "Systemic indicators"

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Hartwig, Benny, Christoph Meinerding, and Yves S. Schüler. "Identifying indicators of systemic risk." Journal of International Economics 132 (September 2021): 103512. http://dx.doi.org/10.1016/j.jinteco.2021.103512.

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Hristov, Nikolay, and Markus Roth. "Uncertainty shocks and systemic-risk indicators." Journal of International Money and Finance 122 (April 2022): 102573. http://dx.doi.org/10.1016/j.jimonfin.2021.102573.

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Arsov, Ivailo, Elie Canetti, Laura E. Kodres, and Srobona Mitra. "Near-Coincident Indicators of Systemic Stress." IMF Working Papers 13, no. 115 (2013): 1. http://dx.doi.org/10.5089/9781484343784.001.

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Gradojevic, Nikola, and Marko Caric. "Predicting Systemic Risk with Entropic Indicators." Journal of Forecasting 36, no. 1 (March 21, 2016): 16–25. http://dx.doi.org/10.1002/for.2411.

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Bezrodna, Olena, Zoia Ivanova, Yulia Onyshchenko, Volodymyr Lypchanskyi, and Serhii Rymar. "Systemic risk in the banking system: measuring and interpreting the results." Banks and Bank Systems 14, no. 3 (August 7, 2019): 34–47. http://dx.doi.org/10.21511/bbs.14(3).2019.04.

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Highly concentrated banking system risks and the cumulative effect due to their accumulation act as a driver for improving the macro-prudential policy implemented by central banks. For this reason, an effectively and comprehensively assessed systemic risk in the banking system is declared an express condition for the early detection of its production sources and blocking of potential spreading channels, reducing the possible implementation. In light of this, the article develops an approach to the aggregated systemic risk assessment and interpretation of its results. The proposed approach is based on the considered influence exerted by financial risks of systemically important banks on the destabilized banking system and interconnections between banks in the context of the possible crisis impulse spreading. The following steps should be accomplished to form an aggregated systemic risk indicator in the banking system. Firstly, the differentiation of systemically important banks by the degree of their systemic importance; secondly, an integral assessment of the bank operation riskiness within certain bank groups; thirdly, the cumulative composition of the corresponding integral indicators, taking into account their weighting coefficients based on two criteria, namely values of the systemic importance indicator differentiating the bank groups, and the correlation of their risks. Interpreting the quantitative measurement results with regard to the systemic risk in the banking system is followed by the recommendations below: the systemic risk grading into high, medium and low levels and the respective definition of the threshold aggregated systemic risk indicator value which informs about the possible systemic crisis when approached; justification of the selected supervision regime types (strengthened, moderate or weakened) for systemically important banks, depending on the riskiness level specific for their operation and the systemic importance degree. The developed approach to measuring the systemic risk by means of constructing an aggregated indicator and interpreting the obtained results was being tested considering the financial risk indicators of the systemically important banks in Ukraine during 2009–2018.
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Ye, Xingxing, and Raphael Douady. "Systemic Risk Indicators Based on Nonlinear PolyModel." Journal of Risk and Financial Management 12, no. 1 (December 20, 2018): 2. http://dx.doi.org/10.3390/jrfm12010002.

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The global financial market has become extremely interconnected as it demonstrates strong nonlinear contagion in times of crisis. As a result, it is necessary to measure financial systemic risk in a comprehensive and nonlinear approach. By establishing a large set of risk factors as the main bones of the financial market network and applying nonlinear factor analysis in the form of so-called PolyModel, this paper proposes two systemic risk indicators that can prognosticate the advent and trace the development of financial crises. Through financial network analysis, theoretical simulation, empirical data analysis and final validation, we argue that the indicators suggested in this paper are proved to be very effective in forecasting and tracing the financial crises from 1998 to 2017. The economic benefit of the indicator is evidenced by the enhancement of a protective put/covered call strategy on major stock markets.
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Fay, Gavin, Scott I. Large, Jason S. Link, and Robert J. Gamble. "Testing systemic fishing responses with ecosystem indicators." Ecological Modelling 265 (September 2013): 45–55. http://dx.doi.org/10.1016/j.ecolmodel.2013.05.016.

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Dumičić, Mirna. "Financial Stability Indicators – The Case of Croatia." Journal of Central Banking Theory and Practice 5, no. 1 (January 1, 2016): 113–40. http://dx.doi.org/10.1515/jcbtp-2016-0006.

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Abstract This paper considers financial stability through the processes of accumulation and materialisation of systemic risks. To this end, the method of principal component analysis on the example of Croatia has been used to construct two composite indicators – a systemic risk accumulation index and an index reflecting the consequences of systemic risk materialisation. In the construction of the indices, the features and risks specific to small open economies were considered. Such an approach to systemic risk analysis facilitates the monitoring and understanding of the degree of financial stability and communication of macroprudential policy makers with the public.
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Qi, Yuqing. "Financial Market and Inflation." International Journal of Economics and Finance 12, no. 6 (May 28, 2020): 90. http://dx.doi.org/10.5539/ijef.v12n6p90.

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Based on two dimensions of system risk, this paper studies the changes in the future inflation risk level, and uses the out-of-sample quantile R2  to further evaluate the predictive accuracy of different systemic risk indicators on inflation risk. Firstly, we compute two systemic risk indicators, MES and volatility, with data of Chinese financial institutions. And then we explore the amplification effect of these indicators on future inflation risk, under the framework of quantile regression. We find that systematic risk indicators have a strong predictive ability for the inflation level at various quantiles. MES indicator that reflects individual risk can better predict future deflation risk, while volatility index has a stronger ability to predict inflation risk. We also find that systemic risk indicators of different dimensions have different effects on inflation risk and deflation risk. In general, the MES index, which captures the individual risk of the organization, have a greater impact on the future inflation risk. While indicator that measures volatility in financial markets has more influence on the extreme lower tail of inflation rates. Finally, we predict the distribution of inflation in China from March 2020 to June 2021, and visually show the distribution trend of future inflation with forecast fan charts.
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Parfenova, M. V., and N. A. L'vova. "Assessment of Russian non-financial companies' systemic risk in financial stability monitoring." Finance and Credit 26, no. 4 (April 28, 2020): 724–43. http://dx.doi.org/10.24891/fc.26.4.724.

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Subject. The article addresses the issues of financial stability monitoring as part of macroprudental supervision and regulation. The study concerns non-financial companies as a source of systemic risk for the national financial system. There are a lot of discussions about monitoring of systemically important borrowers under the auspices of the Russian Regulator. Objectives. Research is aimed at developing a methodology for assessing the systemic risk of Russian non-financial companies. Methods. We propose a set of indicators to assess the systemic risk derived from non-financial companies in Russia. The sample of indicators corresponds with the leading international practice and available data. The dynamic analysis of the sampled indicators should be conducted. We should focus on separate indicators and for a comprehensive view using a new composite indicator of systemic risk. Results. We devised a methodology for assessing the systemic risk of Russian non-financial companies. The relevance of the methodology was proved with empirical data. The sample includes 3,766 companies per year. The proposed indicators were proved to reflect an adequate change in the tested period (the year before, during and after financial instability). Conclusions and Relevance. Our methodology contributes to the current scientific discussion on new directions for assessing the financial stability. The results can be applied to the analytical practice, including the macroprudential supervision and regulation.
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Dissertations / Theses on the topic "Systemic indicators"

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Eilaghi, Sina Fazlollahzadeh. "Systemic risk indicators : the case of Portugal." Master's thesis, Instituto Superior de Economia e Gestão, 2020. http://hdl.handle.net/10400.5/19925.

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Mestrado em Economia Monetária e Financeira
This dissertation is an effort to shed more light upon systemic risk of Portuguese financial systems. At first, companies listed in Portuguese stock market index (PSI-20) is considered, and then, the attention is shifted to banking system. Considering the first part, the PSI-20 index is considered as financial system index, and spillover effect and marginal risk contribution of companies to the system is detected. CoVaR and ΔCoVaR are the risk indicators used for this purpose. CoVaR shows the spillover effect of a company or system being distressed to another, and ΔCoVaR measures the contribution of a firm or system to another one if its state changes from median to distressed situation. Secondly, banking system of Portugal is considered separately, and the same indicators are used to quantify the linkage of banks and the system. It is concluded that BCP is adding less risk to other banks and the system compared to the risk contributed to it. Thirdly, the spillover effect and risk contribution of major international banks on Portuguese banking system and vice versa are analysed to figure out which banks affect Portuguese financial system more in case of being distressed, and the other way around. Lastly, we estimated CoVaR and ΔCoVaR for BES. Since BES was resolved in 2014, it sounded interesting to detect which international banks were more affected by the event, and which one contributed more risk to it. The conclusion was that the Portuguese banking system and BES is more linked to European banks that others.
info:eu-repo/semantics/publishedVersion
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Mitchell, Roger Dale 1955. "Systemic indicators of inorganic arsenic toxicity in several species." Thesis, The University of Arizona, 1988. http://hdl.handle.net/10150/276678.

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Seven prospective biological indicators of systemic toxicity were examined at time points ranging from 15 minutes to 24 hours using male Sprague-Dawley rats, B6C3F1 mice, Golden-Syrian hamsters and Hartley guinea pigs following intraperitoneal dosing with 0.1 mg/kg and 1.0 mg/kg sodium arsenite. Rats and mice were also dosed with 1.0 mg/kg sodium arsenate. Pyruvate dehydrogenase (PDH) activity was significantly depressed at early time points in mice, hamsters and guinea pigs and at later time points in rats dosed with arsenic (III). Rats and mice dosed with arsenic (V) also exhibited PDH depression at early time points. Uroporphyrin and coproporphyrin excretion was elevated in mice following arsenic (III) dosing. Coproporphyrin excretion was elevated in rats following arsenic (V) dosing. Blood glucose, creatinine, urea nitrogen and creatinine were unchanged by arsenic dosing. Based upon the amount and types of biological responses observed, the mouse appears to be the most sensitive animal model for the further study of arsenic toxicity.
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Wyatt, Tim, of Western Sydney Nepean University, and Faculty of Education. "Rationality, reporting and indicators : improving school and systemic effectiveness through better information management." THESIS_FE_XXX_Wyatt_T.xml, 1997. http://handle.uws.edu.au:8081/1959.7/700.

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The papers in this portfolio are part of the author's efforts to 'make things better' in education, and are the products of over a decade's thinking and research. While most of the papers are written from within the context of the state school system in NSW, their messages apply equally well to school systems elsewhere. The papers reflect an eclectic mix of research perspectives and methodological paradigms. It is suggested that student learning outcomes may be improved if schools specify goals and objectives, make the necessary resources available and establish accountability mechanisms for monitoring and measuring performance. The analysis and synthesis generates critical knowledge, that is, knowledge which is explanatory and interpretive. The desire to assist schools to achieve a position where they are able to (firstly) assemble their own data systems, and secondly to conduct their own analysis of this data and report this to the school community has been the common theme underpinning all the professional work of the author. The works evolved in this portfolio document an evolving process, and one which is far from concluded. There is much further work that could be done. An analysis of the macro and micro-politics of school improvement processes, for example, would be a useful contribution to the literature. For the present purposes, there is a practical need to limit the scope and number of the works presented. The works included all address, in some way, the common theme of improving school and systemic effectiveness through better information management. Hopefully, they have made some small contribution to better understanding the phenomenon, and will in turn positively impact on the performance of schools and school systems
Doctor of Education
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Mercadier, Mathieu. "Banking risk indicators, machine learning and one-sided concentration inequalities." Thesis, Limoges, 2020. http://aurore.unilim.fr/theses/nxfile/default/a5bdd121-a1a2-434e-b7f9-598508c52104/blobholder:0/2020LIMO0001.pdf.

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Cette thèse de doctorat comprend trois essais portant sur la mise en œuvre, et le cas échéant l'amélioration, de mesures de risques financiers et l'évaluation des risques bancaires, basée sur des méthodes issues de l'apprentissage machine. Le premier chapitre élabore une formule élémentaire, appelée E2C, d'estimation des primes de risque de crédit inspirée de CreditGrades, et en améliore la précision avec un algorithme de forêts d'arbres décisionnels. Nos résultats soulignent le rôle prépondérant tenu par cet estimateur et l'apport additionnel de la notation financière et de la taille de l'entreprise considérée. Le deuxième chapitre infère une version unilatérale de l'inégalité bornant la probabilité d'une variable aléatoire distribuée unimodalement. Nos résultats montrent que l'hypothèse d'unimodalité des rendements d'actions est généralement admissible, nous permettant ainsi d'affiner les bornes de mesures de risques individuels, de commenter les implications pour des multiplicateurs de risques extrêmes, et d'en déduire des versions simplifiées des bornes de mesures de risques systémiques. Le troisième chapitre fournit un outil d'aide à la décision regroupant les banques cotées par niveau de risque en s'appuyant sur une version ajustée de l'algorithme des k-moyennes. Ce processus entièrement automatisé s'appuie sur un très large univers d'indicateurs de risques individuels et systémiques synthétisés en un sous-ensemble de facteurs représentatifs. Les résultats obtenus sont agrégés par pays et région, offrant la possibilité d'étudier des zones de fragilité. Ils soulignent l'importance d'accorder une attention particulière à l'impact ambigu de la taille des banques sur les mesures de risques systémiques
This doctoral thesis is a collection of three essays aiming to implement, and if necessary to improve, financial risk measures and to assess banking risks, using machine learning methods. The first chapter offers an elementary formula inspired by CreditGrades, called E2C, estimating CDS spreads, whose accuracy is improved by a random forest algorithm. Our results emphasize the E2C's key role and the additional contribution of a specific company's debt rating and size. The second chapter infers a one-sided version of the inequality bounding the probability of a unimodal random variable. Our results show that the unimodal assumption for stock returns is generally accepted, allowing us to refine individual risk measures' bounds, to discuss implications for tail risk multipliers, and to infer simple versions of bounds of systemic measures. The third chapter provides a decision support tool clustering listed banks depending on their riskiness using an adjusted version of the k-means algorithm. This entirely automatic process is based on a very large set of stand-alone and systemic risk indicators reduced to representative factors. The obtained results are aggregated per country and region, offering the opportunity to study zones of fragility. They underline the importance of paying a particular attention to the ambiguous impact of banks' size on systemic measures
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Povar, M. A. "Features of the reaction of systemic indicators of prooxidative-antioxidant homeostasis to cerebral ischemia-reperfusion in rats with diabetes mellitus." Thesis, БДМУ, 2022. http://dspace.bsmu.edu.ua:8080/xmlui/handle/123456789/19366.

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Mariger, Heather Ann. "The Social Validation of Institutional Indicators to Promote System-Wide Web Accessibility in Postsecondary Institutions." DigitalCommons@USU, 2011. https://digitalcommons.usu.edu/etd/903.

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The Internet is an integral part of higher education today. Students, faculty, and staff must have access to the institutional web for essential activities. For persons with disabilities, the web is a double-edged sword. While an accessibly designed website can mitigate or remove barriers, an inaccessible one can make access impossible. If websites that provide necessary information are not accessible, those with disabilities will be unable to independently complete their daily tasks or compete in the modern world. Project GOALS (Gaining Online Accessible Learning through Self-Study) has developed a document outlining a set of four institutional indicators of Web accessibility. Postsecondary institutions can use this document in their efforts to ensure that online content is accessible to all users. This dissertation evaluated the social validity of the document to determine if it was appropriate, understandable, usable, and satisfactory to provide a framework for implementing and promoting institution-wide web accessibility across a variety of demographic markers including job type (administrator, faculty, and technology specialist) and institution type (2- and 4-year). Ninety-seven participants reviewed the document and completed an online survey. All four indicators with their subsequent benchmarks were found to be "good" or "very good" based on the evaluation criteria. Administrators rated the document somewhat lower than faculty or technology specialists. Participants from 2-year schools consistently rated the document higher than their 4-year counterparts. In general, the longer participants had been in their positions, the less favorably they rated the document. The median ratings for all questions of appropriateness, understandability, usefulness, and satisfaction were a 6 or 7 on a 7-point scale across the board. This result would indicate that while different aspects of the indicator document may appeal to different groups, participant ratings across job and institution type show that these criteria achieve acceptable levels that validate the use of the indicators as a tool to assist institutions in their web accessibility efforts. This dissertation utilized the multiple-paper format recommended by the committee.
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Ivashchuk, S. I. "Influence of genes IL-4 (C-590T), TNF-α (G-308A), PRSS1 (R122H), SPINK1 (N34S) AND CFTR (delF508C) polymorphism on systemic inflammatory response indicators in patients with edematous pancreatitis." Thesis, БДМУ, 2017. http://dspace.bsmu.edu.ua:8080/xmlui/handle/123456789/16903.

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Gouveia, José Mariano Caccia. "A métrica da sustentabilidade na perspectiva da geografia: aplicação e avaliação do Painel da Sustentabilidade (Dashboard of Sustainability) na comunidade quilombola do Mandira - Cananéia/SP." Universidade de São Paulo, 2010. http://www.teses.usp.br/teses/disponiveis/8/8135/tde-08122010-160733/.

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A transgressão de determinados limites na apropriação da natureza pela sociedade vem explicitando o impasse na forma como se dá essa relação, levando pesquisadores de diversas áreas do conhecimento a centrar atenção sobre o problema. A diversidade de métodos, correntes ideológicas e pressupostos teóricos que definem tais pesquisas, levam a uma realidade em que, um dos raros pontos de consenso está na necessidade fundamental de uma abordagem interdisciplinar. Dentre todas as ciências, a Geografia, em função das características de seus objetos e métodos específicos, é aquela que reúne os melhores recursos teórico-metodológicos para abordar a questão de uma forma mais abrangente e integrada. Um dos conceitos fundamentais na análise das intervenções humanas, e das conseqüências destas sobre o ambiente é sustentabilidade. Diante da ampla gama e diversidade de abordagens sobre o tema, torna-se necessário definir critérios a partir dos quais seja possível mensurar a dimensão da relação custo/benefício das diferentes formas de intervenções humanas sobre o ambiente, sob as perspectivas sociais, econômicas e ambientais. Neste sentido, configura-se como fundamental a definição de indicadores de sustentabilidade e de métodos de avaliação desses indicadores, de forma a permitir estabelecer análises comparativas que possibilitem gerar subsídios para tomadas de decisões e, com isto, conduzir a uma relação mais equilibrada entre sociedade e natureza. O trabalho objetivou, através de uma abordagem sistêmica, verificar de que maneira a Geografia pode contribuir na busca de soluções para esses problemas. Buscou-se como objetivo principal, aplicar uma metodologia para a mensuração da sustentabilidade sócio-ambiental, dentro de uma perspectiva sistêmica, através de um modelo de avaliação e integração de indicadores de sustentabilidade. A premissa central em que se apoiou a pesquisa consistiu na concepção de que as análises sócio-ambientais e, portanto, as relações sociedade-natureza sejam elas sustentáveis ou não -, podem ter sua funcionalidade apreendida e até mensurada na perspectiva sistêmica. Procurou-se, como hipótese central, responder à questão: É possível mensurar a sustentabilidade sócio ambiental de uma comunidade tradicional, aplicando variáveis e parâmetros utilizados em metodologias de avaliação de sustentabilidade propostos internacionalmente, a serem aplicados no âmbito das nações? Na busca de respostas a essa questão, optou-se pela aplicação do modelo para a métrica de sustentabilidade denominado Painel da Sustentabilidade (Dashboard of Sustainability) na Comunidade Quilombola da Reserva Extrativista do Mandira, localizada no Baixo Vale do Ribeira do Iguape, com baixa densidade de ocupação e no entorno de diversas unidades de conservação. Tal opção deu-se pelas características peculiares da área, cuja comunidade, apresenta um histórico recente de organização e luta, que resultou, entre outras conquistas, na criação da Reserva Extrativista do Mandira, única Unidade de Conservação Federal com esse diploma legal no estado de São Paulo. O trabalho demonstrou diversas limitações do modelo utilizado quando aplicado à comunidades tradicionais, levando a indagações que resultaram na proposição, em caráter exploratório, de possíveis critérios para a métrica da sustentabilidade, sob a perspectiva geográfica.
The transgression of certain limits on the appropriation of nature by society is explaining the impasse in how this relationship occurs, leading researchers from different fields of knowledge to focus attention on the problem. The diversity of methods, theoretical and ideological currents that define such research lead to a situation where one of the rare points of consensus is the fundamental need for an interdisciplinary approach. Among all the sciences, geography, depending on the characteristics of their objects and methods, is the one that brings together the best theoretical and methodological resources to address in a more comprehensive and integrated way. One of the fundamental concepts in the analysis of human interventions, and its consequences on the environment is \"sustainability.\" Given the wide range and diversity of approaches to the topic, it is necessary to set criteria from which to measure the extent of cost-effectiveness of different forms of human interventions on the environment, under the social, economic and environmental perspectives. In this sense, appears as basic the definition of sustainability indicators and assessment methods of these indicators in order to allow comparative analysis to generate information to enable decision making and, thus, lead to a more balanced relationship between society and nature. The study aimed, through a systemic approach, at verifying how Geography can contribute to finding solutions to these problems. We sought the main objective, to apply a methodology for measuring social and environmental sustainability, within a systemic perspective, using a model of evaluation and integration of sustainability indicators. The central premise on which the research was supported was the conception that the socio-environmental analysis and therefore the relationship between society and nature - whether or not sustainable - may have withdrawn its functionality - and even measured - in the systemic perspective. It was, as central hypothesis, to answer the question: Is it possible to measure the environmental and social sustainability of a traditional community, using variables and parameters used in assessment of sustainability methodologies proposed internationally, to be applied within nations? In seeking answers to this question, we chose to apply the model to measure sustainability called \"Dashboard of Sustainability\" in the Quilombo Community in the Mandira Extractive Reserve, located in the Lower Valley of Ribeira do Iguape River, with low density of occupation and surroundings of various conservation units. This option was given by the peculiar characteristics of the area, whose community has a recent history of organization and struggle, which resulted, among other achievements, in creation of the Mandira Extractive Reserve, the only Federal Conservation Unit with this statute in the state of São Paulo. The study demonstrated several limitations in the model when applied to traditional communities, leading to questions that resulted in the proposition, in an exploratory, of possible criteria for the metric of sustainability, in the geographical perspective.
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Gonçalves, Diego Lustre. "Monitoramento de áreas de proteção ambiental através de indicadores de sustentabilidade." Universidade de São Paulo, 2014. http://www.teses.usp.br/teses/disponiveis/8/8135/tde-20052015-150145/.

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O sucesso da gestão de uma Área de Proteção Ambiental é algo impreciso e de difícil classificação. APAs são Unidades de Conservação de Uso Sustentável que integram tanto áreas públicas quanto privadas em seu território. Visam tanto à conservação e manejo de seus recursos naturais como melhoria da qualidade de vida da população que ali vive. Além disso, trata-se de UCs carentes de mecanismos de monitoramento e relativamente desvalorizadas no âmbito científico e da gestão pública. Entendendo que as APAs seguem os pressupostos do conceito de Desenvolvimento Sustentável (DS), buscamos nos chamados indicadores de sustentabilidade uma possibilidade de mensuração de sua gestão. Tendo a Teoria Geral dos Sistemas como principal embasamento teórico, procuramos analisar as APAs sob um olhar sistêmico. Utilizando como procedimentos metodológicos a pesquisa bibliográfica e a pesquisa experimental, buscamos exemplos sobre modelos existentes e integração destes com as características singulares às APAs. Assim, foram obtidas variáveis de análise sistêmicas e estruturais com as quais foi possível definir forma, estrutura e processos do Sistema APA. Como resultado, construímos um modelo prévio ou esboço metodológico para o monitoramento da gestão de APAs com vistas em atingir o DS. Esse modelo faz uso de indicadores de sustentabilidade que abrangem as dimensões ambiental, econômica, social e de gestão. Através de pesquisa empírica procuramos testar o modelo na APA Capivari-Monos, localizada no extremo sul da Cidade de São Paulo, na qual foram construídos indicadores de forma participativa através do Conselho Gestor da APA. Os resultados obtidos, embora com certa carga de subjetividade, apontam tendência preocupante, cujas causas extrapolam a própria gestão recaindo sobre as responsabilidades dos órgãos públicos executores de políticas públicas. Espera-se que o modelo proposto possa ser testado em outras condições e reproduzido em outras APAs.
The successful management of an Environmental Protection Area is somewhat unclear and difficult to classify. APAs are Conservation Units of Sustainable Use comprising both public and private areas in their territory. Target both the conservation and management of natural resources such as improving the quality of life of people living there. Furthermore, it is deprived of CUs monitoring mechanisms and relatively undervalued in the scientific and public management. Understanding that EPAs follow the assumptions of the concept of Sustainable Development (SD), we seek the one called sustainability indicators measurability of its management. Having the General Systems Theory as a primary theoretical basis, we analyzed the EPAs under a systemic perspective. Using as methodological instruments the literature and experimental research, we seek examples of existing models and integrating these with the unique characteristics to EPAs. Thus, systemic and structural variables were obtained in which was possible to define the form, structure and processes of the \"EPA System\". As a result, we construct a prior model or methodological outline for monitoring the management of APAs with a view to achieving the SD. This model makes use of sustainability indicators covering environmental, economic, social and manegement dimensions. Through empirical research attempted to test the model in EPA Capivari- Monos, located at the southern end of the City of São Paulo, in which indicators were constructed in a participatory manner through the Management Council of the EPA. The results, though with a certain load of subjectivity, point worrying trend, the causes go beyond the management itself falling on the responsibilities of public agencies executing public policy. It is expected that the proposed model can be tested in other conditions and reproduced other EPAs.
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Bakhit, Salma. "Le pouvoir des banques centrales face aux défis des marchés financiers." Thesis, Aix-Marseille, 2014. http://www.theses.fr/2014AIXM2006.

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La thèse se propose, dans une première partie, de décrire l'origine des débats sur la nécessité d'une banque centrale jusqu'aux formulations actuelles. Sont examinés les éléments qui ont posé les bases d'un prêteur ultime et favorisé la maturation de ce métier, de même que sont mis en relief les résultats accumulés depuis deux siècles. Notre attention porte sur la Réserve Fédérale des Etats-Unis. Les économistes sont en quête de solutions afin de prévenir les crises financières. Ainsi a été proposé un élargissement du tableau de bord de manière à contenir les prix d'actif dans une approche macro et micro-prudentielle. Parallèlement, sont analysés les canaux par lesquels la politique monétaire influence les variables réelles et financières de l'économie, et qui attestent alors du rôle pouvant être théoriquement assumé par la banque centrale sur les marchés financiers. La deuxième partie concentre le propos sur les ressorts des crises financières. Nous nous intéressons au paradoxe de la surliquidité et du surendettement, en insistant sur les particularités des marchés financiers devenant plus vulnérables. La contribution de la thèse dans cette étape consiste à vérifier si la banque centrale contribue à la manifestation de comportements abusifs et excessifs sur les marchés financiers par l'abondante création de liquidité. Notre étude empirique devrait permettre de répondre à cette question à travers une modélisation économétrique et des tests statistiques (dont le test de Chow) appliqués à une politique monétaire active (type règle de Taylor). En ce sens, cette recherche sur les actions de la Fed vise à forger une opinion sur le métier de banquier central et sur son devenir
The thesis proposes, in a first part, to describe the origin of the debate on the need for a central bank up until the recent formulations. They were examined the elements which have posed the bases of an "ultimate lender" and promoted the maturation of this function, as were highlighted the results accumulated over two centuries. Our attention is drawn to the Federal Reserve of the United States. The economists are always in search for solutions to prevent financial crises. It has thus been proposed to extend the dashboard of central banks as to contain asset prices in a macro and micro-prudential approach. In parallel, in order to support this debate, we analyze the mechanisms by which the monetary policy affects the real and financial variables of the economy, which also affirm the role that can be assumed in theory by a central bank on financial markets. The second part focuses on the recurrence and intensity of financial crises. We consider the paradox of excess liquidity and over-indebtedness, with an emphasis on properties of financial markets becoming more vulnerable and their recent development. The contribution of the thesis in this stage consists of checking whether the central bank is responsible of abusive and excessive behavior on the financial markets by the abundant creation of liquidity. Our empirical study should help to answer this question through an econometric modeling and statistical tests (including the Chow test) applied to an active monetary policy (type Taylor rule). In this way, our research on the actions of the Fed aims to forge an opinion on the profession of modern central bankers, and perhaps on the future of central banks themselves
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Books on the topic "Systemic indicators"

1

Johnson, Leonard. Aging management indicators. [Washington, D.C: Administration on Aging, Office of Human Development Services, Dept. of Health and Human Services, 1985.

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Chung, Mei. Vitamin D and calcium: A systematic review of health outcomes. Rockville, MD: Agency for Healthcare Research and Quality, 2009.

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Chung, Mei. Vitamin D and calcium: A systematic review of health outcomes. Rockville, MD: Agency for Healthcare Research and Quality, 2009.

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1937-, Schmidek Henry H., and Sweet William Herbert 1910-, eds. Operative neurosurgical techniques: Indications, methods, and results. 3rd ed. Philadelphia: Saunders, 1995.

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Dixon, Tracy. National indicators for monitoring osteoarthritis, rheumatoid arthritis, and osteoporosis. Canberra: Australian Institute of Health and Welfare, 2006.

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Dixon, Tracy. National indicators for monitoring osteoarthritis, rheumatoid arthritis, and osteoporosis. Canberra: Australian Institute of Health and Welfare, 2006.

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Bishop, Peter C. Exploratory study on performance measures as indicators of IS effectiveness: Interim report. [Houston, Tex.]: Research Institute for Computing and Information Systems, University of Houston-Clear Lake, 1992.

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João, Elsa M. Displacement as the most powerful indicator of map generalisation. London: London School of Economics, Department of Geography, 1996.

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Terehin, Valeriy, and Viktor Chernyshov. Efficiency and effectiveness of the penitentiary system: assessment and planning. ru: INFRA-M Academic Publishing LLC., 2021. http://dx.doi.org/10.12737/1079434.

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The issues of setting goals, planning and forming a system of indicators of the effectiveness and efficiency of the penal system are considered. The criteria for determining the goals-tasks that are adequate to the public goals of the system are justified. Quantitative indicators corresponding to the criteria were developed, based on the contribution of the criminal justice System to reducing the socio-economic losses of society from recidivism. The contribution of the system is determined by changes in the criminal potential of convicted persons during the period of serving a sentence under a court sentence. Criminal potentials are estimated by predictive values of the aggregate of three groups of characteristics of the criminal potential of convicts, determined by the stages of the cycle of recidivism. The practical results of the use of sound methods and developed tools are based on the use of a significant amount of empirical data on the institutions of the criminal justice system and its systematic expert and statistical analysis. The monograph is a generalization and development of the works carried out by the authors during 2012-2017 in the process of preparing masters of Management for the penal system. It is intended for managers and specialists of the bodies and institutions of the Criminal Justice System, researchers, teachers of higher educational institutions who train specialists for law enforcement agencies.
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Division, Oregon Audits. State of Oregon, Oregon University System, review of selected performance indicators. Salem, Or.]: Secretary of State, Audits Division, 2001.

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Book chapters on the topic "Systemic indicators"

1

Bernardes, Marciele Berger, Francisco Pacheco de Andrade, and Paulo Novais. "Indicators for Smart Cities: Bibliometric and Systemic Search." In Advances in Intelligent Systems and Computing, 98–105. Cham: Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-56535-4_10.

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Walther, Andreas, Barbara Stauber, and Axel Pohl. "Support and Success in Youth Transitions: A Comparative Analysis on the Relation Between Subjective and Systemic Factors." In Social Indicators Research Series, 225–41. Dordrecht: Springer Netherlands, 2012. http://dx.doi.org/10.1007/978-94-007-4354-0_11.

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Patil, Ganapati P., and S. W. Joshi. "Comparative Knowledge Discovery with Partial Orders and Composite Indicators: Multi-indicator Systemic Ranking, Advocacy, and Reconciliation." In Multi-indicator Systems and Modelling in Partial Order, 107–46. New York, NY: Springer New York, 2013. http://dx.doi.org/10.1007/978-1-4614-8223-9_6.

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Oliveira, Carlos Sousa, Mónica A. Ferreira, and F. Mota Sá. "Earthquake Risk Reduction: From Scenario Simulators Including Systemic Interdependency to Impact Indicators." In Perspectives on European Earthquake Engineering and Seismology, 309–30. Cham: Springer International Publishing, 2014. http://dx.doi.org/10.1007/978-3-319-07118-3_9.

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Martínez-Fernández, Julia, Miguel Ángel Esteve-Selma, Isabel Banos-Gonzalez, Carolina Sampedro, Carlos Mena, and Jorge Carrión-Tacuri. "Managing the Galapagos National Park: A Systemic Approach Based on Socio-ecological Modeling and Sustainability Indicators." In Socio-ecological Studies in Natural Protected Areas, 187–214. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-47264-1_11.

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Blinov, S., and V. Blinova. "A Systemic Approach to Development and Implementation of Key Performance Indicators in a Non-government Healthcare Institution." In Advances in Intelligent Systems and Computing, 334–42. Cham: Springer International Publishing, 2018. http://dx.doi.org/10.1007/978-3-319-75383-6_43.

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Lombardi, Mauro. "Traiettorie tecno-economiche." In Studi e saggi, 113–32. Florence: Firenze University Press, 2021. http://dx.doi.org/10.36253/978-88-5518-310-9.08.

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Here six techno-economic trajectories are discussed in light of global challenges and the great changes that are taking place in the techno-scientific and social world: digitization of socio-economic processes, smart specialization, environmental sustainability and systemic resilience, knowledge intensive activities, health topics dealt with IA techniques, bio-economy and agri-food. For each trajectory focus area, actors and indicators are proposed.
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Nappi, Anna, Gugliemo Nasti, Alessandro Ottaiano, Antonino Cassata, Carmela Romano, Rossana Casaretti, Lucrezia Silvestro, et al. "Indications for Systemic Chemotherapy." In Updates in Surgery, 57–63. Milano: Springer Milan, 2016. http://dx.doi.org/10.1007/978-88-470-5767-8_6.

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Di Lorenzo, Renato. "Indicators." In Trading Systems, 55–61. Milano: Springer Milan, 2012. http://dx.doi.org/10.1007/978-88-470-2706-0_10.

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Lombardi, Mauro. "Ripensare gli indicatori per le politiche per l’innovazione attraverso il Design-thinking." In Studi e saggi, 149–61. Florence: Firenze University Press, 2021. http://dx.doi.org/10.36253/978-88-5518-310-9.10.

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The final chapter contains the proposal to rethink the policies for innovation based on the approach defined Design thinking. Particularly important is the introduction of concepts such as global order parameters, referring to a systemic view of the techno-economic dynamics, and of a complementary methodology, called Agile. Based on the proposed framework, the decision-making space of different actors (private, public) in pursuing objectives at different levels is then analyzed. In this way a multi-level and multi-stakeholder decision making process can be enriched through a multiplicity of indicators in order to timely verify the efficiency of implementation process.
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Conference papers on the topic "Systemic indicators"

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Winbladh, Johan. "SYSTEMIC BANKING CRISIS AND MACROECONOMIC LEADING INDICATORS." In 28th International Academic Conference, Tel Aviv. International Institute of Social and Economic Sciences, 2017. http://dx.doi.org/10.20472/iac.2017.028.020.

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Zozulya, Svetlana, Irina Otman, Igor Oleichik, Irina Anikhovskaya, Olga Yunilaynen, Mikhail Yakovlev, and Tatyana Klyushnik. "INDICATORS OF SYSTEMIC INFLAMMATION AND SYSTEMIC ENDOTOXYNEMIA IN PATIENTS WITH ENDOGENIC PSYCHOSIS (PATHOGENETIC AND THERAPEUTIC ASPECTS)." In XVII INTERNATIONAL INTERDISCIPLINARY CONGRESS NEUROSCIENCE FOR MEDICINE AND PSYCHOLOGY. LCC MAKS Press, 2021. http://dx.doi.org/10.29003/m2132.sudak.ns2021-17/156-157.

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Hernandez Gress, Eva Selene, Antonio Oswaldo Ortega Reyes, Josaine Alejandro Zarco Alarcon, Mayra Sareth Tovar Oliva, Bernardino Martinez Munoz, and Sergio Blas Ramirez Reyna. "Systemic Diagnosis and strategy-based Performance Indicators—Bamboo panel company case." In 2017 6th International Conference on Industrial Technology and Management (ICITM). IEEE, 2017. http://dx.doi.org/10.1109/icitm.2017.7917908.

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Abdullaev, Rizvan, Oksana Komissarova, Yuriy Berezovskiy, and Evgeniy Gretsov. "Indicators of systemic inflammation in critically ill patients with COVID-19." In ERS International Congress 2021 abstracts. European Respiratory Society, 2021. http://dx.doi.org/10.1183/13993003.congress-2021.pa644.

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Patil, G. P., and S. W. Joshi. "Databased Intrinsic Weights of Indicators of Multi-Indicator Systems and Performance Measures of Multivariate Rankings of Systemic Objects." In International Conference on Recent Advances in Mathematics, Statistics and Computer Science 2015. WORLD SCIENTIFIC, 2016. http://dx.doi.org/10.1142/9789814704830_0001.

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Pulselli, R. M., F. Saladini, E. Neri, and S. Bastianoni. "A comprehensive lifecycle evaluation of vertical greenery systems based on systemic indicators." In SUSTAINABLE CITY 2014. Southampton, UK: WIT Press, 2014. http://dx.doi.org/10.2495/sc140862.

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Frankenberger, Casey A., Russell O. Bainer, Daniel C. Rabe, Sadiq Saleh, Morag Park, Yoav Gilad, and Marsha R. Rosner. "Abstract A43: Systemic tumor-stroma interactions are prognostic indicators of breast tumor invasiveness." In Abstracts: AACR Special Conference on Cellular Heterogeneity in the Tumor Microenvironment; February 26 — March 1, 2014; San Diego, CA. American Association for Cancer Research, 2015. http://dx.doi.org/10.1158/1538-7445.chtme14-a43.

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Bainer, Russell, Casey Frankenberger, Daniel Rabe, Sadiq Saleh, Morag Park, Kiran Chada, Yoav Gilad, and Marsha Rosner. "Abstract LB-320: Systemic tumor-stroma interactions are prognostic indicators of breast tumor invasiveness." In Proceedings: AACR Annual Meeting 2014; April 5-9, 2014; San Diego, CA. American Association for Cancer Research, 2014. http://dx.doi.org/10.1158/1538-7445.am2014-lb-320.

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Гориков, Игорь, Igor Gorikov, Ирина Андриевская, Irina Andrievskaya, Инна Довжикова, Inna Dovzhikova, Наталия Ишутина, Nataliya Ishutina, Т. Кожевникова, and T. Kozhevnikova. "THE RELATIONSHIP OF INDICATORS OF SYSTEMIC INFLAMMATION AND FETOPLACENTAL COMPLEX AT PHYSIOLOGICAL COURSE OF PREGNANCY." In XII International Scientific Conference (correspondence, electronic) "System analysis in medicine" (SAM 2018). Far Eastern Scientific Center of Physiology and Pathology of Respiration, 2018. http://dx.doi.org/10.12737/conferencearticle_5bdaacde000b00.92301920.

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"INTEGRATED ASSESSMENT OF CLINICAL SEVERITY IN PATIENTS WITH ENDOGENOUS PSYCHOSES BY INFLAMMATORY MARKERS AND INDICATORS OF SYSTEMIC ENDOTOXEMIA." In XVI International interdisciplinary congress "Neuroscience for Medicine and Psychology". LLC MAKS Press, 2020. http://dx.doi.org/10.29003/m1059.sudak.ns2020-16/216-217.

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Reports on the topic "Systemic indicators"

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Tschoellitsch, Thomas, Martin Dünser, Matthias Noitz, and Michael Türk. Clinical indicators of systemic tissue hypoperfusion (‘shock’): A protocol for a systematic review and qualitative analysis of the literature. INPLASY - International Platform of Registered Systematic Review and Meta-analysis Protocols, December 2022. http://dx.doi.org/10.37766/inplasy2022.12.0047.

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Review question / Objective: The objective of this review is to identify the current scientific evidence on the value of clinical signs to indicate systemic tissue hypoperfusion or shock. Condition being studied: In the literature and clinical studies, shock has traditionally been defined by a drop in arterial blood pressure under a critical threshold, e.g., a systolic blood pressure of 90 mmHg, a mean arterial blood pressure <65 mmHg or a relative drop in systolic blood pressure of ≥40 mmHg. From a pathophysiologic point of view, shock relates to an imbalance between tissue oxygen delivery as well as cellular oxygen consumption and utilization. In most cases, shock results from systemic tissue hypoperfusion with consequent decreased tissue oxygen delivery (commonly referred to as circulatory shock). Impaired cellular oxygen consumption and utilization appear to play contributory roles in specific disease states (e.g., sepsis) or conditions (e.g., intoxications).
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Hermann, Ludwig, Ralf Hermann, and Oscar F. Schoumans. Application of economic key performance indicators to five centralised anaerobic digesters : a product from the H2020 project SYSTEMIC. Wageningen: Wageningen Environmental Research, 2021. http://dx.doi.org/10.18174/572619.

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Walsh, Margaret, Peter Backlund, Lawrence Buja, Arthur DeGaetano, Rachel Melnick, Linda Prokopy, Eugene Takle, Dennis Todey, and Lewis Ziska. Climate Indicators for Agriculture. United States. Department of Agriculture. Climate Change Program Office, July 2020. http://dx.doi.org/10.32747/2020.7201760.ch.

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The Climate Indicators for Agriculture report presents 20 indicators of climate change, carefully selected across multiple agricultural production types and food system elements in the United States. Together, they represent an overall view of how climate change is influencing U.S. agriculture and food systems. Individually, they provide useful information to support management decisions for a variety of crop and livestock production systems. The report includes multiple categories of indicators, including physical indicators (e.g., temperature, precipitation), crop and livestock (e.g., animal heat stress), biological indicators (e.g., pests), phenological indicators (e.g. seasonality), and socioeconomic indicators (e.g., total factor productivity).
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Black, Richard, Joshua Busby, Geoffrey D. Dabelko, Cedric de Coning, Hafsa Maalim, Claire McAllister, Melvis Ndiloseh, et al. Environment of Peace: Security in a New Era of Risk. Stockholm International Peace Research Institute, May 2022. http://dx.doi.org/10.55163/lcls7037.

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The environmental crisis is increasing risks to security and peace worldwide, notably in countries that are already fragile. Indicators of insecurity such as the number of conflicts, the number of hungry people and military expenditure are rising; so are indicators of environmental decline, in climate change, biodiversity, pollution and other areas. In combination, the security and environmental crises are creating compound, cascading, emergent, systemic and existential risks. Without profound changes of approach by institutions of authority, risks will inevitably proliferate quickly. Environment of Peace surveys the evolving risk landscape and documents a number of developments that indicate a pathway to solutions––in international law and policy, in peacekeeping operations and among non-governmental organizations. It finds that two principal avenues need to be developed: (a) combining peace-building and environmental restoration, and (b) effectively addressing the underlying environmental issues. It also analyses the potential of existing and emerging pro-environment measures for exacerbating risks to peace and security. The findings demonstrate that only just and peaceful transitions to more sustainable practices can be effective––and show that these transitions also need to be rapid.
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Noga, Edward J., Ramy R. Avtalion, and Michael Levy. Comparison of the Immune Response of Striped Bass and Hybrid Bass. United States Department of Agriculture, August 1993. http://dx.doi.org/10.32747/1993.7568749.bard.

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We developed methods for examining the pathophysical response of striped bass and hybrid bass to various forms of stress. This involved development of techniques for the measurement of lysozyme, mitogen blastogenesis, mixed lymphocyte reaction, and oxidative burst, which are important general indicators of systemic immune function. We also examined local immune defenses (epithelial integrity), as well as homeostatic indicators in blood, including osmotic balance and glucose. Acute stress resulted in significant perturbations in a number of parameters, including glucose, electrolytes, osmolarity, lysozyme, and mixed lymphocyte reaction. Most significantly, acute confinement stress resulted in severe damage to the epidermal epithelium, as indicated by the rapid (within 2 hr) development of erosions and ulcerations on various fins. There were significant differences in the resting levels of some immune functions between striped bass and hybrid bass, including response to mitogens in the leukocyte blastogenesis test. Our studies also revealed that there were significant differences in how striped bass and hybrid bass respond to stress, with striped bass being much more severely affected by stress than the hybrid. This was reflected in more severe changes in glucose, cortisol dynamics, and plasma lysozyme. Most significantly, striped bass developed more severe idiopathic skin ulceration after stress, which may be a major reason why this fish is so prone to develop opportunistic bacterial and fungal infections after stress. Hybrid bass injected with equine serum albumin developed a typical humoral immune response, with peak antibody production 28 days after primary immunization. Fish that were exposed to a chronic stress after a primary immunization showed almost complete inhibition of antibody production.
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Zenhäusern, Daniel. Key Performance Indicators for PVT Systems. IEA SHC Task 60, November 2020. http://dx.doi.org/10.18777/ieashc-task60-2020-0007.

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Report D1: The aim of this report is to provide precise definitions of useful KPI’s for PVT systems. Where possible, these definitions correspond to those used in the technology fields of solar thermal systems and photovoltaic systems. In particular, the KPI's for the thermal performance of PVT systems are to a considerable extent based on the definitions adopted in IEA SHC Task 44 (Hadorn 2015). The stipulation and use of standardized KPI’s and notations will be essential for the comparability of different research results.
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Altamirano Montoya, Álvaro, Mariano Bosch, Carolina Cabrita Felix, Rodrigo Cerda, Manuel García-Huitrón, Laura Karina Gutiérrez, and Waldo Tapia Troncoso. 2020 Pension Indicators for Latin America and the Caribbean. Inter-American Development Bank, December 2020. http://dx.doi.org/10.18235/0002967.

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The PLAC Network's Pension Indicators are a dataset containing information related to the labor markets and pension systems of the nineteen PLAC Network member countries: Argentina, Bahamas, Barbados, Brazil, Chile, Colombia, Costa Rica, Dominican Republic, El Salvador, Guyana, Haiti, Honduras, Jamaica, Mexico, Panama, Paraguay, Peru, Trinidad and Tobago, and Uruguay. The indicators are divided into five main categories: environment, performance, sustainability, society's preparedness for aging and reform, and pension system design. Each one of these categories are divided into a few subcategories as well. These indicators were constructed with the objective of becoming an important tool for the improvement of the following aspects of pension systems: coverage, sufficiency of benefits, financial sustainability, equity and social solidarity, efficiency, and institutional capacity. An important characteristic of this dataset is the comparability of these indicators since it permits the identification of areas of cooperation and knowledge exchange among countries. The dataset is accompanied by a User's Manual, which can be found in this link https://publications.iadb.org/en/users-manual-idb-plac-network-pension-indicators
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Altamirano Montoya, Álvaro, Mariano Bosch, Carolina Cabrita Felix, Rodrigo Cerda, Manuel García-Huitrón, Laura Karina Gutiérrez, and Waldo Tapia Troncoso. 2019 Pension Indicators for Latin America and the Caribbean. Inter-American Development Bank, December 2020. http://dx.doi.org/10.18235/0002966.

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The 2019 PLAC Network's Pension Indicators are a dataset containing information related to the labor markets and pension systems of the nineteen PLAC Network member countries: Argentina, Bahamas, Barbados, Brazil, Chile, Colombia, Costa Rica, Dominican Republic, El Salvador, Guyana, Haiti, Honduras, Jamaica, Mexico, Panama, Paraguay, Peru, Trinidad and Tobago, and Uruguay. The indicators are divided into five main categories: environment, performance, sustainability, society's preparedness for aging and reform, and pension system design. Each one of these categories are divided into a few subcategories as well. These indicators were constructed with the objective of becoming an important tool for the improvement of the following aspects of pension systems: coverage, sufficiency of benefits, financial sustainability, equity and social solidarity, efficiency, and institutional capacity. An important characteristic of this dataset is the comparability of these indicators since it permits the identification of areas of cooperation and knowledge exchange among countries. The dataset is accompanied by a User's Manual, which can be found in this link: https://publications.iadb.org/en/users-manual-idb-plac-network-pension-indicators
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Barben, C. A solution level indicator system. Office of Scientific and Technical Information (OSTI), April 1990. http://dx.doi.org/10.2172/7155115.

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Merkulova, Yuliya. Роль системы показателей в технологии оптимизации и баланса множества данных спроса и предложения. Yuliya Merkulova, April 2021. http://dx.doi.org/10.12731/er0431.26042021.

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Article is devoted to significant problems of creation of system of the indicators for stimulation of balance of supply and demand of products. It is very important for increase of competitiveness of products. The new methodology of calculation of target function of a product and indicators of its efficiency is offered in article. The special place in article is devoted to methodology of definition of an indicator of aggregate useful effect, which includes useful effect of the producer and consumer and promotes balance of their interests. All offered indicators of efficiency of a product are interconnected with each other and only in united system possess the stimulating mechanism of balance of supply and demand. They promote increase of effectiveness of process of planning and allow to find reserves for increase of competitiveness of products.
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