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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
191

"Han slog och slog tills hon blev helt apatisk av chocken." : En kvalitativ innehållsanalys av Expressens gestaltning av våldtäktsfall med okänd gärningsman.

Westerling, Moa, Omer, Elise January 2020 (has links)
Följande studie undersöker hur Expressen har gestaltat våldtäktsfall med okänd gärningsman. Sex artiklar publicerade mellan 90-talet och 10-talet analyseras med syfte att undersöka om gestaltningen har förändrats över tid i en av Sveriges största kvällstidningar. På så sätt kan studien bidra till ökad förståelse för huruvida svensk kvällspress förstärker eller utmanar samhällsuppfattningar om vem som är en potentiell gärningsman och vem som får status som offer. Som metod tillämpas en kvalitativ innehållsanalys som genomförs med utgångspunkt i gestaltningsteorin, teorin om nyhetsvärdering, det ideala offret och medielogikens dramaturgi. Artiklarna analyseras utefter fem teman: rubrik, ingress, miljö, gärningsman och offer. Studiens resultat visar att en förändring har skett från ett subjektivt och väl detaljerat narrativ till ett mer objektivt och aktsamt narrativ i Expressens nyhetsrapportering. Studien visar även att Expressen på 90-talet har gestaltat ideala gärningsmän genom monstruösa beskrivningar. Gradvis har en förändring skett, där gärningsmannen på senare år gestaltas som gemene man. Förändringarna i Expressens gestaltning tyder på att dagens gestaltning förmedlar en bred bild av vem som kan bli ett offer och vem som är benägen att utföra en våldtäkt.
192

Modélisation de la structure de dépendance d'extrêmes multivariés et spatiaux / Modelling the dependence structure of multivariate and spatial extremes

Béranger, Boris 18 January 2016 (has links)
La prédiction de futurs évènements extrêmes est d’un grand intérêt dans de nombreux domaines tels que l’environnement ou la gestion des risques. Alors que la théorie des valeurs extrêmes univariées est bien connue, la complexité s’accroît lorsque l’on s’intéresse au comportement joint d’extrêmes de plusieurs variables. Un intérêt particulier est porté aux évènements de nature spatiale, définissant le cadre d’un nombre infini de dimensions. Sous l’hypothèse que ces évènements soient marginalement extrêmes, nous focalisons sur la structure de dépendance qui les lie. Dans un premier temps, nous faisons une revue des modèles paramétriques de dépendance dans le cadre multivarié et présentons différentes méthodes d’estimation. Les processus maxstables permettent l’extension au contexte spatial. Nous dérivons la loi en dimension finie du célèbre modèle de Brown- Resnick, permettant de faire de l’inférence par des méthodes de vraisemblance ou de vraisemblance composée. Nous utilisons ensuite des lois asymétriques afin de définir la représentation spectrale d’un modèle plus large : le modèle Extremal Skew-t, généralisant la plupart des modèles présents dans la littérature. Ce modèle a l’agréable propriété d’être asymétrique et non-stationnaire, deux notions présentées par les évènements environnementaux spatiaux. Ce dernier permet un large spectre de structures de dépendance. Les indicateurs de dépendance sont obtenus en utilisant la loi en dimension finie.Enfin, nous présentons une méthode d’estimation non-paramétrique par noyau pour les queues de distributions et l’appliquons à la sélection de modèles. Nous illustrons notre méthode à partir de l’exemple de modèles climatiques. / Projection of future extreme events is a major issue in a large number of areas including the environment and risk management. Although univariate extreme value theory is well understood, there is an increase in complexity when trying to understand the joint extreme behavior between two or more variables. Particular interest is given to events that are spatial by nature and which define the context of infinite dimensions. Under the assumption that events correspond marginally to univariate extremes, the main focus is then on the dependence structure that links them. First, we provide a review of parametric dependence models in the multivariate framework and illustrate different estimation strategies. The spatial extension of multivariate extremes is introduced through max-stable processes. We derive the finite-dimensional distribution of the widely used Brown-Resnick model which permits inference via full and composite likelihood methods. We then use Skew-symmetric distributions to develop a spectral representation of a wider max-stable model: the extremal Skew-t model from which most models available in the literature can be recovered. This model has the nice advantages of exhibiting skewness and nonstationarity, two properties often held by environmental spatial events. The latter enables a larger spectrum of dependence structures. Indicators of extremal dependence can be calculated using its finite-dimensional distribution. Finally, we introduce a kernel based non-parametric estimation procedure for univariate and multivariate tail density and apply it for model selection. Our method is illustrated by the example of selection of physical climate models.
193

Modèle de mélange et modèles linéaires généralisés, application aux données de co-infection (arbovirus & paludisme) / Mixture model and generalized linear models, application to co-infection data (arbovirus & malaria)

Loum, Mor Absa 28 August 2018 (has links)
Nous nous intéressons, dans cette thèse, à l'étude des modèles de mélange et des modèles linéaires généralisés, avec une application aux données de co-infection entre les arbovirus et les parasites du paludisme. Après une première partie consacrée à l'étude de la co-infection par un modèle logistique multinomial, nous proposons dans une deuxième partie l'étude des mélanges de modèles linéaires généralisés. La méthode proposée pour estimer les paramètres du mélange est une combinaison d'une méthode des moments et d'une méthode spectrale. Nous proposons à la fin une dernière partie consacrée aux mélanges de valeurs extrêmes en présence de censure. La méthode d'estimation proposée dans cette partie se fait en deux étapes basées sur la maximisation d'une vraisemblance. / We are interested, in this thesis, to the study of mixture models and generalized linear models, with an application to co-infection data between arboviruses and malaria parasites. After a first part dedicated to the study of co-infection using a multinomial logistic model, we propose in a second part to study the mixtures of generalized linear models. The proposed method to estimate the parameters of the mixture is a combination of a moment method and a spectral method. Finally, we propose a final section for studing extreme value mixtures under random censoring. The estimation method proposed in this section is done in two steps based on the maximization of a likelihood.
194

Variability and long-term trends of climate extremes over the Limpopo, South Africa

Sikhwari, Thendo 20 September 2019 (has links)
MENVSC / Department of Geography and Geo-Information Sciences / Climate change has a crucial impact on livelihoods, economy, and water resources due to the occurrence of weather and climate extreme events such as floods, droughts and heat waves. Extreme weather has been increasing worldwide, hence the need to understand their nature and trends. The aim of this study was to analyse the spatial variability and long-term trends of climate extremes over the Limpopo in South Africa from 1960 to 2014. Rainfall, temperature, and circulation fields were analysed to understand the extent, nature of climate extremes over the Limpopo. Extreme value theory (EVT) is a powerful method that was also employed in this study to provide statistical models for events rarely observed. R statistical software was used for clustering analysis which has a variety of functions for cluster analysis. Any station whose value is larger than 95th for any day of the season was considered as a widespread extreme event. The results show that the study area is highly vulnerable to extreme events due to its latitudinal location and low altitude. Anomalous cut-off lows, tropical cyclones and tropical storms are the major extreme producing systems affecting the Limpopo province whilst the Botswana High becomes dominant during heat waves and drought. Extreme weather events are common in Limpopo during summertime and often coincide with mature phases of the El Nino Southern Oscillation. In this study, after the suitable model for data was chosen, the interest was in deriving return levels of extreme maximum rainfall. The computed data for return levels predicted that the 5-year return period’s return level is approximately 223.89 mm, which suggests that rainfall of 223.89 mm or more per month should occur at that station or location on the average of once every five years. / NRF / http://hdl.handle.net/11602/1485
195

Échantillonnage et inférence dans réseaux complexes / Sampling and inference in complex networks

Kazhuthuveettil Sreedharan, Jithin 02 December 2016 (has links)
L’émergence récente de grands réseaux, surtout réseaux sociaux en ligne (OSN), a révélé la difficulté de crawler le réseau complet et a déclenché le développement de nouvelles techniques distribuées. Dans cette thèse, nous concevons et analysons des algorithmes basés sur les marches aléatoires et la diffusion pour l'échantillonnage, l'estimation et l'inférence des fonctions des réseaux. La thèse commence par le problème classique de trouver les valeurs propres dominants et leurs vecteurs propres de matrices de graphe symétriques, comme la matrice Laplacienne de graphes non orientés. En utilisant le fait que le spectre est associé à une équation de type différentiel Schrödinger, nous développons des techniques évolutives à l’aide de la diffusion sur le graphe. Ensuite, nous considérons l’échantillonnage des fonctions de réseau (comme somme et moyenne) en utilisant les marches aléatoires sur le graphe. Afin d'éviter le temps «burn-in» de marche aléatoire, avec l'idée de régénération à un nœud fixe, nous développons un estimateur de la fonction de somme qui est non asymptotiquement non-biaisé et dérivons une approximation à la postérieure Bayésienne. La dernière partie de la thèse étudie l'application de la théorie des valeurs extrêmes pour faire une inférence sur les événements extrêmes à partir des échantillons stationnaires des différentes marches aléatoires pour l’échantillonnage de réseau / The recent emergence of large networks, mainly due to the rise of online social networks, brought out the difficulty to gather a complete picture of a network and it prompted the development of new distributed techniques. In this thesis, we design and analyze algorithms based on random walks and diffusion for sampling, estimation and inference of the network functions, and for approximating the spectrum of graph matrices. The thesis starts with the classical problem of finding the dominant eigenvalues and the eigenvectors of symmetric graph matrices like Laplacian of undirected graphs. Using the fact that the eigenspectrum is associated with a Schrödinger-type differential equation, we develop scalable techniques with diffusion over the graph and with gossiping algorithms. They are also adaptable to a simple algorithm based on quantum computing. Next, we consider sampling and estimation of network functions (sum and average) using random walks on graph. In order to avoid the burn-in time of random walks, with the idea of regeneration at its revisits to a fixed node, we develop an estimator for the aggregate function which is non-asymptotically unbiased and derive an approximation to its Bayesian posterior. An estimator based on reinforcement learning is also developed making use of regeneration. The final part of the thesis deals with the use of extreme value theory to make inference from the stationary samples of the random walks. Extremal events such as first hitting time of a large degree node, order statistics and mean cluster size are well captured in the parameter “extremal index”. We theoretically study and estimate extremal index of different random walk sampling techniques
196

Role estetické hodnoty v obecné teorii hodnot Ralpha B. Perryho / Role of Aesthetic Value in Ralph B. Perry's General Theory of Value

Hlávka, Jan January 2020 (has links)
IN ENGLISH Ralph B. Perry's general theory of value was the most extensive and influential axiological project undertaken in the USA prior to WWII. While Perry's main goal is to provide a general definition of value and to describe the means of its criticism, the project also deals with the nature of special values, including aesthetic value. This dissertation thesis traces the aesthetic vein in Perry's theory, which is concentrated on the terms of aesthetic interest and its passive correlate, the aesthetic object. These are also the centerpieces of the definition of aesthetic value. First, interest and its object are defined in their general sense; next, they are defined in their specific aesthetic sense. Perry defines aesthetic interest as the interest in apprehension, and the object of this interest as a problematic intentional object with an index-predicate structure: its index is the localizable source of stimulus, and its predicate, the reflected act of apprehension. The final chapter is devoted to the forms of interplay between aesthetic interest and other interests, and the criticism of aesthetic interest from the aesthetic and moral standpoint. In Perry's theory, the aesthetic value belongs among the trinity of universal values. It is considered autonomous as long as the aesthetic interest...
197

Sex sells - does child sexual abuse? : A quantitative study examining the history ofevocative language use in Swedish newspapersregarding child sexual abuse

Orneklint, Sanna January 2021 (has links)
The aim of this master’s thesis is to examine and analyze the news valuetheory and framing of news regarding child sexual abuse. The researchquestions for this study were:What changes can be found in the use of evocative language in crimejournalism regarding cases of sexual abuse towards children?Are there any clear differences in the language used when investigating theperspectives of objective, sensational and local journalism?The study has been conducted via a quantitative analysis, analyzing 1460articles, from three different newspapers archives. From 1994 up until 2020.The newspapers in the analysis are three Swedish newspapers, Aftonbladet,Dagens Nyheter and Barometern. To arrive at my conclusion, I measured thefrequency of a selected group of evocative words, measuring across the threenewspapers how often the words occurred as well as during what timeperiods.Through the analysis I found that Swedish newspapers, no matter theirdirection towards sensationalism, kept a neutral and objective tone regardingchild sexual abuse in most cases. With not so many cases of purely evocativewords.
198

Detekce kauzality v časových řadách pomocí extrémních hodnot / Detection of causality in time series using extreme values

Bodík, Juraj January 2021 (has links)
Juraj Bodík Abstract This thesis is dealing with the following problem: Let us have two stationary time series with heavy- tailed marginal distributions. We want to detect whether they have a causal relation, i.e. if a change in one of them causes a change in the other. The question of distinguishing between causality and correlation is essential in many different science fields. Usual methods for causality detection are not well suited if the causal mechanisms only manifest themselves in extremes. In this thesis, we propose a new method that can help us in such a nontraditional case distinguish between correlation and causality. We define the so-called causal tail coefficient for time series, which, under some assumptions, correctly detects the asymmetrical causal relations between different time series. We will rigorously prove this claim, and we also propose a method on how to statistically estimate the causal tail coefficient from a finite number of data. The advantage is that this method works even if nonlinear relations and common ancestors are present. Moreover, we will mention how our method can help detect a time delay between the two time series. We will show how our method performs on some simulations. Finally, we will show on a real dataset how this method works, discussing a cause of...
199

Gymnasieelevers motivation att använda GeoGebra i matematiken / High school students' motivation to use GeoGebra in mathematics

Nordström, Viktor January 2021 (has links)
Denna undersökning syftar till att belysa vad som motiverar gymnasieelever att använda GeoGebra i matematiken. Vidare undersöktes även eventuella skillnader i motivation, både typ och grad, hos gymnasieelever som använder GeoGebra ofta respektive sällan i matematiken. Undersökningen grundar sig i motivationsteori och specifikt förväntan-värde teorin och utfördes med kvantitativa- och kvalitativa metoder. Datainsamlingen skedde med en enkät vilken besvarades av 72 gymnasieelever från fyra skolor i Norrbottens län, Stockholms län och Västra Götalands län. Resultatet från undersökningen visar att gymnasieelever främst motiveras av nytto- och kostnadsvärdet som GeoGebra medför. Med andra ord, att GeoGebra ger dem fördelar i matematiken genom att göra det enklare och mer tidseffektiv att hantera matematikproblem med hjälp av GeoGebra. Vidare så visade även resultatet att gymnasieelever som använder GeoGebra ofta motiverades mer av nyttan som verktyget medförde, än gymnasieelever som använder GeoGebra sällan motiverades av det. / The focus of this research was to enlighten what motivates high school students to make use of GeoGebra in mathematics studies. The research also aimed at finding out if there were any differences in motivation, both type and degree, between high school students who used GeoGebra frequently or rarely in mathematics studies. The study was based on motivational theory and more specific expectancy-value theory and used quantitative- and qualitative methods. The data collection was through a survey in which 72 high school students from four schools in Norrbottens county, Stockholms county and Västra Götalands county participated. The result from this study showed that the main reason why high school students are motivated to use GeoGebra in their mathematics studies is because of the utility and cost value the instrument entails. In other means, high school students use the programme because it's easier and more time efficient to solve mathematical problems with it. The study also showed that high school students who use GeoGebra more frequently in mathematics studies are more motivated by the utility value that the instrument brings, than high school students who only use GeoGebra sometimes were.
200

Fitting extreme value distributions to the Zambezi River flood water levels recorded at Katima Mulilo in Namibia (1965-2003)

Kamwi, Innocent Silibelo January 2005 (has links)
>Magister Scientiae - MSc / This study sought to identify and fit the appropriate extreme value distribution to flood data, using the method of maximum likelihood. To examine the uncertainty of the estimated parameters and evaluate the goodness of fit of the model identified. The study revealed that the three parameter Weibull and the generalised extreme value (GEV) distributions fit the data very well. Standard errors for the estimated parameters were calculated from the empirical information matrix. An upper limit to the flood levels followed from the fitted distribution.

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