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1.
  • 2019
  • Tidskriftsartikel (refereegranskat)
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2.
  • Naghavi, Mohsen, et al. (författare)
  • Global, regional, and national age-sex specific all-cause and cause-specific mortality for 240 causes of death, 1990-2013: a systematic analysis for the Global Burden of Disease Study 2013
  • 2015
  • Ingår i: The Lancet. - 1474-547X .- 0140-6736. ; 385:9963, s. 117-171
  • Tidskriftsartikel (refereegranskat)abstract
    • Background Up-to-date evidence on levels and trends for age-sex-specifi c all-cause and cause-specifi c mortality is essential for the formation of global, regional, and national health policies. In the Global Burden of Disease Study 2013 (GBD 2013) we estimated yearly deaths for 188 countries between 1990, and 2013. We used the results to assess whether there is epidemiological convergence across countries. Methods We estimated age-sex-specifi c all-cause mortality using the GBD 2010 methods with some refinements to improve accuracy applied to an updated database of vital registration, survey, and census data. We generally estimated cause of death as in the GBD 2010. Key improvements included the addition of more recent vital registration data for 72 countries, an updated verbal autopsy literature review, two new and detailed data systems for China, and more detail for Mexico, UK, Turkey, and Russia. We improved statistical models for garbage code redistribution. We used six different modelling strategies across the 240 causes; cause of death ensemble modelling (CODEm) was the dominant strategy for causes with sufficient information. Trends for Alzheimer's disease and other dementias were informed by meta-regression of prevalence studies. For pathogen-specifi c causes of diarrhoea and lower respiratory infections we used a counterfactual approach. We computed two measures of convergence (inequality) across countries: the average relative difference across all pairs of countries (Gini coefficient) and the average absolute difference across countries. To summarise broad findings, we used multiple decrement life-tables to decompose probabilities of death from birth to exact age 15 years, from exact age 15 years to exact age 50 years, and from exact age 50 years to exact age 75 years, and life expectancy at birth into major causes. For all quantities reported, we computed 95% uncertainty intervals (UIs). We constrained cause-specific fractions within each age-sex-country-year group to sum to all-cause mortality based on draws from the uncertainty distributions. Findings Global life expectancy for both sexes increased from 65.3 years (UI 65.0-65.6) in 1990, to 71.5 years (UI 71.0-71.9) in 2013, while the number of deaths increased from 47.5 million (UI 46.8-48.2) to 54.9 million (UI 53.6-56.3) over the same interval. Global progress masked variation by age and sex: for children, average absolute diff erences between countries decreased but relative diff erences increased. For women aged 25-39 years and older than 75 years and for men aged 20-49 years and 65 years and older, both absolute and relative diff erences increased. Decomposition of global and regional life expectancy showed the prominent role of reductions in age-standardised death rates for cardiovascular diseases and cancers in high-income regions, and reductions in child deaths from diarrhoea, lower respiratory infections, and neonatal causes in low-income regions. HIV/AIDS reduced life expectancy in southern sub-Saharan Africa. For most communicable causes of death both numbers of deaths and age-standardised death rates fell whereas for most non-communicable causes, demographic shifts have increased numbers of deaths but decreased age-standardised death rates. Global deaths from injury increased by 10.7%, from 4.3 million deaths in 1990 to 4.8 million in 2013; but age-standardised rates declined over the same period by 21%. For some causes of more than 100 000 deaths per year in 2013, age-standardised death rates increased between 1990 and 2013, including HIV/AIDS, pancreatic cancer, atrial fibrillation and flutter, drug use disorders, diabetes, chronic kidney disease, and sickle-cell anaemias. Diarrhoeal diseases, lower respiratory infections, neonatal causes, and malaria are still in the top five causes of death in children younger than 5 years. The most important pathogens are rotavirus for diarrhoea and pneumococcus for lower respiratory infections. Country-specific probabilities of death over three phases of life were substantially varied between and within regions. Interpretation For most countries, the general pattern of reductions in age-sex specifi c mortality has been associated with a progressive shift towards a larger share of the remaining deaths caused by non-communicable disease and injuries. Assessing epidemiological convergence across countries depends on whether an absolute or relative measure of inequality is used. Nevertheless, age-standardised death rates for seven substantial causes are increasing, suggesting the potential for reversals in some countries. Important gaps exist in the empirical data for cause of death estimates for some countries; for example, no national data for India are available for the past decade.
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3.
  • Lozano, Rafael, et al. (författare)
  • Measuring progress from 1990 to 2017 and projecting attainment to 2030 of the health-related Sustainable Development Goals for 195 countries and territories: a systematic analysis for the Global Burden of Disease Study 2017
  • 2018
  • Ingår i: The Lancet. - : Elsevier. - 1474-547X .- 0140-6736. ; 392:10159, s. 2091-2138
  • Tidskriftsartikel (refereegranskat)abstract
    • Background: Efforts to establish the 2015 baseline and monitor early implementation of the UN Sustainable Development Goals (SDGs) highlight both great potential for and threats to improving health by 2030. To fully deliver on the SDG aim of “leaving no one behind”, it is increasingly important to examine the health-related SDGs beyond national-level estimates. As part of the Global Burden of Diseases, Injuries, and Risk Factors Study 2017 (GBD 2017), we measured progress on 41 of 52 health-related SDG indicators and estimated the health-related SDG index for 195 countries and territories for the period 1990–2017, projected indicators to 2030, and analysed global attainment. Methods: We measured progress on 41 health-related SDG indicators from 1990 to 2017, an increase of four indicators since GBD 2016 (new indicators were health worker density, sexual violence by non-intimate partners, population census status, and prevalence of physical and sexual violence [reported separately]). We also improved the measurement of several previously reported indicators. We constructed national-level estimates and, for a subset of health-related SDGs, examined indicator-level differences by sex and Socio-demographic Index (SDI) quintile. We also did subnational assessments of performance for selected countries. To construct the health-related SDG index, we transformed the value for each indicator on a scale of 0–100, with 0 as the 2·5th percentile and 100 as the 97·5th percentile of 1000 draws calculated from 1990 to 2030, and took the geometric mean of the scaled indicators by target. To generate projections through 2030, we used a forecasting framework that drew estimates from the broader GBD study and used weighted averages of indicator-specific and country-specific annualised rates of change from 1990 to 2017 to inform future estimates. We assessed attainment of indicators with defined targets in two ways: first, using mean values projected for 2030, and then using the probability of attainment in 2030 calculated from 1000 draws. We also did a global attainment analysis of the feasibility of attaining SDG targets on the basis of past trends. Using 2015 global averages of indicators with defined SDG targets, we calculated the global annualised rates of change required from 2015 to 2030 to meet these targets, and then identified in what percentiles the required global annualised rates of change fell in the distribution of country-level rates of change from 1990 to 2015. We took the mean of these global percentile values across indicators and applied the past rate of change at this mean global percentile to all health-related SDG indicators, irrespective of target definition, to estimate the equivalent 2030 global average value and percentage change from 2015 to 2030 for each indicator. Findings: The global median health-related SDG index in 2017 was 59·4 (IQR 35·4–67·3), ranging from a low of 11·6 (95% uncertainty interval 9·6–14·0) to a high of 84·9 (83·1–86·7). SDG index values in countries assessed at the subnational level varied substantially, particularly in China and India, although scores in Japan and the UK were more homogeneous. Indicators also varied by SDI quintile and sex, with males having worse outcomes than females for non-communicable disease (NCD) mortality, alcohol use, and smoking, among others. Most countries were projected to have a higher health-related SDG index in 2030 than in 2017, while country-level probabilities of attainment by 2030 varied widely by indicator. Under-5 mortality, neonatal mortality, maternal mortality ratio, and malaria indicators had the most countries with at least 95% probability of target attainment. Other indicators, including NCD mortality and suicide mortality, had no countries projected to meet corresponding SDG targets on the basis of projected mean values for 2030 but showed some probability of attainment by 2030. For some indicators, including child malnutrition, several infectious diseases, and most violence measures, the annualised rates of change required to meet SDG targets far exceeded the pace of progress achieved by any country in the recent past. We found that applying the mean global annualised rate of change to indicators without defined targets would equate to about 19% and 22% reductions in global smoking and alcohol consumption, respectively; a 47% decline in adolescent birth rates; and a more than 85% increase in health worker density per 1000 population by 2030. Interpretation: The GBD study offers a unique, robust platform for monitoring the health-related SDGs across demographic and geographic dimensions. Our findings underscore the importance of increased collection and analysis of disaggregated data and highlight where more deliberate design or targeting of interventions could accelerate progress in attaining the SDGs. Current projections show that many health-related SDG indicators, NCDs, NCD-related risks, and violence-related indicators will require a concerted shift away from what might have driven past gains—curative interventions in the case of NCDs—towards multisectoral, prevention-oriented policy action and investments to achieve SDG aims. Notably, several targets, if they are to be met by 2030, demand a pace of progress that no country has achieved in the recent past. The future is fundamentally uncertain, and no model can fully predict what breakthroughs or events might alter the course of the SDGs. What is clear is that our actions—or inaction—today will ultimately dictate how close the world, collectively, can get to leaving no one behind by 2030.
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4.
  • Stanaway, Jeffrey D., et al. (författare)
  • Global, regional, and national comparative risk assessment of 84 behavioural, environmental and occupational, and metabolic risks or clusters of risks for 195 countries and territories, 1990-2017: A systematic analysis for the Global Burden of Disease Study 2017
  • 2018
  • Ingår i: The Lancet. - 1474-547X .- 0140-6736. ; 392:10159, s. 1923-1994
  • Tidskriftsartikel (refereegranskat)abstract
    • Background The Global Burden of Diseases, Injuries, and Risk Factors Study (GBD) 2017 comparative risk assessment (CRA) is a comprehensive approach to risk factor quantification that offers a useful tool for synthesising evidence on risks and risk-outcome associations. With each annual GBD study, we update the GBD CRA to incorporate improved methods, new risks and risk-outcome pairs, and new data on risk exposure levels and risk- outcome associations. Methods We used the CRA framework developed for previous iterations of GBD to estimate levels and trends in exposure, attributable deaths, and attributable disability-adjusted life-years (DALYs), by age group, sex, year, and location for 84 behavioural, environmental and occupational, and metabolic risks or groups of risks from 1990 to 2017. This study included 476 risk-outcome pairs that met the GBD study criteria for convincing or probable evidence of causation. We extracted relative risk and exposure estimates from 46 749 randomised controlled trials, cohort studies, household surveys, census data, satellite data, and other sources. We used statistical models to pool data, adjust for bias, and incorporate covariates. Using the counterfactual scenario of theoretical minimum risk exposure level (TMREL), we estimated the portion of deaths and DALYs that could be attributed to a given risk. We explored the relationship between development and risk exposure by modelling the relationship between the Socio-demographic Index (SDI) and risk-weighted exposure prevalence and estimated expected levels of exposure and risk-attributable burden by SDI. Finally, we explored temporal changes in risk-attributable DALYs by decomposing those changes into six main component drivers of change as follows: (1) population growth; (2) changes in population age structures; (3) changes in exposure to environmental and occupational risks; (4) changes in exposure to behavioural risks; (5) changes in exposure to metabolic risks; and (6) changes due to all other factors, approximated as the risk-deleted death and DALY rates, where the risk-deleted rate is the rate that would be observed had we reduced the exposure levels to the TMREL for all risk factors included in GBD 2017.
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  • Murray, Christopher J. L., et al. (författare)
  • Population and fertility by age and sex for 195 countries and territories, 1950–2017: a systematic analysis for the Global Burden of Disease Study 2017
  • 2018
  • Ingår i: The Lancet. - 1474-547X .- 0140-6736. ; 392:10159, s. 1995-2051
  • Tidskriftsartikel (refereegranskat)abstract
    • Background: Population estimates underpin demographic and epidemiological research and are used to track progress on numerous international indicators of health and development. To date, internationally available estimates of population and fertility, although useful, have not been produced with transparent and replicable methods and do not use standardised estimates of mortality. We present single-calendar year and single-year of age estimates of fertility and population by sex with standardised and replicable methods. Methods: We estimated population in 195 locations by single year of age and single calendar year from 1950 to 2017 with standardised and replicable methods. We based the estimates on the demographic balancing equation, with inputs of fertility, mortality, population, and migration data. Fertility data came from 7817 location-years of vital registration data, 429 surveys reporting complete birth histories, and 977 surveys and censuses reporting summary birth histories. We estimated age-specific fertility rates (ASFRs; the annual number of livebirths to women of a specified age group per 1000 women in that age group) by use of spatiotemporal Gaussian process regression and used the ASFRs to estimate total fertility rates (TFRs; the average number of children a woman would bear if she survived through the end of the reproductive age span [age 10–54 years] and experienced at each age a particular set of ASFRs observed in the year of interest). Because of sparse data, fertility at ages 10–14 years and 50–54 years was estimated from data on fertility in women aged 15–19 years and 45–49 years, through use of linear regression. Age-specific mortality data came from the Global Burden of Diseases, Injuries, and Risk Factors Study (GBD) 2017 estimates. Data on population came from 1257 censuses and 761 population registry location-years and were adjusted for underenumeration and age misreporting with standard demographic methods. Migration was estimated with the GBD Bayesian demographic balancing model, after incorporating information about refugee migration into the model prior. Final population estimates used the cohort-component method of population projection, with inputs of fertility, mortality, and migration data. Population uncertainty was estimated by use of out-of-sample predictive validity testing. With these data, we estimated the trends in population by age and sex and in fertility by age between 1950 and 2017 in 195 countries and territories. Findings: From 1950 to 2017, TFRs decreased by 49·4% (95% uncertainty interval [UI] 46·4–52·0). The TFR decreased from 4·7 livebirths (4·5–4·9) to 2·4 livebirths (2·2–2·5), and the ASFR of mothers aged 10–19 years decreased from 37 livebirths (34–40) to 22 livebirths (19–24) per 1000 women. Despite reductions in the TFR, the global population has been increasing by an average of 83·8 million people per year since 1985. The global population increased by 197·2% (193·3–200·8) since 1950, from 2·6 billion (2·5–2·6) to 7·6 billion (7·4–7·9) people in 2017; much of this increase was in the proportion of the global population in south Asia and sub-Saharan Africa. The global annual rate of population growth increased between 1950 and 1964, when it peaked at 2·0%; this rate then remained nearly constant until 1970 and then decreased to 1·1% in 2017. Population growth rates in the southeast Asia, east Asia, and Oceania GBD super-region decreased from 2·5% in 1963 to 0·7% in 2017, whereas in sub-Saharan Africa, population growth rates were almost at the highest reported levels ever in 2017, when they were at 2·7%. The global average age increased from 26·6 years in 1950 to 32·1 years in 2017, and the proportion of the population that is of working age (age 15–64 years) increased from 59·9% to 65·3%. At the national level, the TFR decreased in all countries and territories between 1950 and 2017; in 2017, TFRs ranged from a low of 1·0 livebirths (95% UI 0·9–1·2) in Cyprus to a high of 7·1 livebirths (6·8–7·4) in Niger. The TFR under age 25 years (TFU25; number of livebirths expected by age 25 years for a hypothetical woman who survived the age group and was exposed to current ASFRs) in 2017 ranged from 0·08 livebirths (0·07–0·09) in South Korea to 2·4 livebirths (2·2–2·6) in Niger, and the TFR over age 30 years (TFO30; number of livebirths expected for a hypothetical woman ageing from 30 to 54 years who survived the age group and was exposed to current ASFRs) ranged from a low of 0·3 livebirths (0·3–0·4) in Puerto Rico to a high of 3·1 livebirths (3·0–3·2) in Niger. TFO30 was higher than TFU25 in 145 countries and territories in 2017. 33 countries had a negative population growth rate from 2010 to 2017, most of which were located in central, eastern, and western Europe, whereas population growth rates of more than 2·0% were seen in 33 of 46 countries in sub-Saharan Africa. In 2017, less than 65% of the national population was of working age in 12 of 34 high-income countries, and less than 50% of the national population was of working age in Mali, Chad, and Niger. Interpretation: Population trends create demographic dividends and headwinds (ie, economic benefits and detriments) that affect national economies and determine national planning needs. Although TFRs are decreasing, the global population continues to grow as mortality declines, with diverse patterns at the national level and across age groups. To our knowledge, this is the first study to provide transparent and replicable estimates of population and fertility, which can be used to inform decision making and to monitor progress. Funding: Bill & Melinda Gates Foundation.
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8.
  • Feigin, Valery L, et al. (författare)
  • Global, Regional, and Country-Specific Lifetime Risks of Stroke, 1990 and 2016.
  • 2018
  • Ingår i: The New England journal of medicine. - 1533-4406 .- 0028-4793. ; 379:25, s. 2429-2437
  • Tidskriftsartikel (refereegranskat)abstract
    • The lifetime risk of stroke has been calculated in a limited number of selected populations. We sought to estimate the lifetime risk of stroke at the regional, country, and global level using data from a comprehensive study of the prevalence of major diseases.We used the Global Burden of Disease (GBD) Study 2016 estimates of stroke incidence and the competing risks of death from any cause other than stroke to calculate the cumulative lifetime risks of first stroke, ischemic stroke, or hemorrhagic stroke among adults 25 years of age or older. Estimates of the lifetime risks in the years 1990 and 2016 were compared. Countries were categorized into quintiles of the sociodemographic index (SDI) used in the GBD Study, and the risks were compared across quintiles. Comparisons were made with the use of point estimates and uncertainty intervals representing the 2.5th and 97.5th percentiles around the estimate.The estimated global lifetime risk of stroke from the age of 25 years onward was 24.9% (95% uncertainty interval, 23.5 to 26.2); the risk among men was 24.7% (95% uncertainty interval, 23.3 to 26.0), and the risk among women was 25.1% (95% uncertainty interval, 23.7 to 26.5). The risk of ischemic stroke was 18.3%, and the risk of hemorrhagic stroke was 8.2%. In high-SDI, high-middle-SDI, and low-SDI countries, the estimated lifetime risk of stroke was 23.5%, 31.1% (highest risk), and 13.2% (lowest risk), respectively; the 95% uncertainty intervals did not overlap between these categories. The highest estimated lifetime risks of stroke according to GBD region were in East Asia (38.8%), Central Europe (31.7%), and Eastern Europe (31.6%), and the lowest risk was in eastern sub-Saharan Africa (11.8%). The mean global lifetime risk of stroke increased from 22.8% in 1990 to 24.9% in 2016, a relative increase of 8.9% (95% uncertainty interval, 6.2 to 11.5); the competing risk of death from any cause other than stroke was considered in this calculation.In 2016, the global lifetime risk of stroke from the age of 25 years onward was approximately 25% among both men and women. There was geographic variation in the lifetime risk of stroke, with the highest risks in East Asia, Central Europe, and Eastern Europe. (Funded by the Bill and Melinda Gates Foundation.).
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  • Afshin, Ashkan, et al. (författare)
  • Health effects of dietary risks in 195 countries, 1990-2017 : a systematic analysis for the Global Burden of Disease Study 2017
  • 2019
  • Ingår i: The Lancet. - : Elsevier. - 0140-6736 .- 1474-547X. ; 393:10184, s. 1958-1972
  • Tidskriftsartikel (refereegranskat)abstract
    • Background: Suboptimal diet is an important preventable risk factor for non-communicable diseases (NCDs); however, its impact on the burden of NCDs has not been systematically evaluated. This study aimed to evaluate the consumption of major foods and nutrients across 195 countries and to quantify the impact of their suboptimal intake on NCD mortality and morbidity.Methods: By use of a comparative risk assessment approach, we estimated the proportion of disease-specific burden attributable to each dietary risk factor (also referred to as population attributable fraction) among adults aged 25 years or older. The main inputs to this analysis included the intake of each dietary factor, the effect size of the dietary factor on disease endpoint, and the level of intake associated with the lowest risk of mortality. Then, by use of diseasespecific population attributable fractions, mortality, and disability-adjusted life-years (DALYs), we calculated the number of deaths and DALYs attributable to diet for each disease outcome.Findings: In 2017, 11 million (95% uncertainty interval [UI] 10-12) deaths and 255 million (234-274) DALYs were attributable to dietary risk factors. High intake of sodium (3 million [1-5] deaths and 70 million [34-118] DALYs), low intake of whole grains (3 million [2-4] deaths and 82 million [59-109] DALYs), and low intake of fruits (2 million [1-4] deaths and 65 million [41-92] DALYs) were the leading dietary risk factors for deaths and DALYs globally and in many countries. Dietary data were from mixed sources and were not available for all countries, increasing the statistical uncertainty of our estimates.Interpretation: This study provides a comprehensive picture of the potential impact of suboptimal diet on NCD mortality and morbidity, highlighting the need for improving diet across nations. Our findings will inform implementation of evidence-based dietary interventions and provide a platform for evaluation of their impact on human health annually.
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  • Feigin, Valery L., et al. (författare)
  • Global, regional, and national burden of neurological disorders, 1990–2016 : a systematic analysis for the Global Burden of Disease Study 2016
  • 2019
  • Ingår i: Lancet Neurology. - : Elsevier. - 1474-4422 .- 1474-4465. ; 18:5, s. 459-480
  • Tidskriftsartikel (refereegranskat)abstract
    • Background: Neurological disorders are increasingly recognised as major causes of death and disability worldwide. The aim of this analysis from the Global Burden of Diseases, Injuries, and Risk Factors Study (GBD) 2016 is to provide the most comprehensive and up-to-date estimates of the global, regional, and national burden from neurological disorders.Methods: We estimated prevalence, incidence, deaths, and disability-adjusted life-years (DALYs; the sum of years of life lost [YLLs] and years lived with disability [YLDs]) by age and sex for 15 neurological disorder categories (tetanus, meningitis, encephalitis, stroke, brain and other CNS cancers, traumatic brain injury, spinal cord injury, Alzheimer's disease and other dementias, Parkinson's disease, multiple sclerosis, motor neuron diseases, idiopathic epilepsy, migraine, tension-type headache, and a residual category for other less common neurological disorders) in 195 countries from 1990 to 2016. DisMod-MR 2.1, a Bayesian meta-regression tool, was the main method of estimation of prevalence and incidence, and the Cause of Death Ensemble model (CODEm) was used for mortality estimation. We quantified the contribution of 84 risks and combinations of risk to the disease estimates for the 15 neurological disorder categories using the GBD comparative risk assessment approach.Findings: Globally, in 2016, neurological disorders were the leading cause of DALYs (276 million [95% UI 247–308]) and second leading cause of deaths (9·0 million [8·8–9·4]). The absolute number of deaths and DALYs from all neurological disorders combined increased (deaths by 39% [34–44] and DALYs by 15% [9–21]) whereas their age-standardised rates decreased (deaths by 28% [26–30] and DALYs by 27% [24–31]) between 1990 and 2016. The only neurological disorders that had a decrease in rates and absolute numbers of deaths and DALYs were tetanus, meningitis, and encephalitis. The four largest contributors of neurological DALYs were stroke (42·2% [38·6–46·1]), migraine (16·3% [11·7–20·8]), Alzheimer's and other dementias (10·4% [9·0–12·1]), and meningitis (7·9% [6·6–10·4]). For the combined neurological disorders, age-standardised DALY rates were significantly higher in males than in females (male-to-female ratio 1·12 [1·05–1·20]), but migraine, multiple sclerosis, and tension-type headache were more common and caused more burden in females, with male-to-female ratios of less than 0·7. The 84 risks quantified in GBD explain less than 10% of neurological disorder DALY burdens, except stroke, for which 88·8% (86·5–90·9) of DALYs are attributable to risk factors, and to a lesser extent Alzheimer's disease and other dementias (22·3% [11·8–35·1] of DALYs are risk attributable) and idiopathic epilepsy (14·1% [10·8–17·5] of DALYs are risk attributable).Interpretation: Globally, the burden of neurological disorders, as measured by the absolute number of DALYs, continues to increase. As populations are growing and ageing, and the prevalence of major disabling neurological disorders steeply increases with age, governments will face increasing demand for treatment, rehabilitation, and support services for neurological disorders. The scarcity of established modifiable risks for most of the neurological burden demonstrates that new knowledge is required to develop effective prevention and treatment strategies.Funding: Bill & Melinda Gates Foundation.
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  • Afshin, Ashkan, et al. (författare)
  • Health Effects of Overweight and Obesity in 195 Countries over 25 Years
  • 2017
  • Ingår i: New England Journal of Medicine. - : MASSACHUSETTS MEDICAL SOC. - 0028-4793 .- 1533-4406. ; 377:1, s. 13-27
  • Tidskriftsartikel (refereegranskat)abstract
    • BACKGROUND Although the rising pandemic of obesity has received major attention in many countries, the effects of this attention on trends and the disease burden of obesity remain uncertain. METHODS We analyzed data from 68.5 million persons to assess the trends in the prevalence of overweight and obesity among children and adults between 1980 and 2015. Using the Global Burden of Disease study data and methods, we also quantified the burden of disease related to high body-mass index (BMI), according to age, sex, cause, and BMI in 195 countries between 1990 and 2015. RESULTS In 2015, a total of 107.7 million children and 603.7 million adults were obese. Since 1980, the prevalence of obesity has doubled in more than 70 countries and has continuously increased in most other countries. Although the prevalence of obesity among children has been lower than that among adults, the rate of increase in childhood obesity in many countries has been greater than the rate of increase in adult obesity. High BMI accounted for 4.0 million deaths globally, nearly 40% of which occurred in persons who were not obese. More than two thirds of deaths related to high BMI were due to cardiovascular disease. The disease burden related to high BMI has increased since 1990; however, the rate of this increase has been attenuated owing to decreases in underlying rates of death from cardiovascular disease. CONCLUSIONS The rapid increase in the prevalence and disease burden of elevated BMI highlights the need for continued focus on surveillance of BMI and identification, implementation, and evaluation of evidence-based interventions to address this problem. 
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13.
  • Huang, L. -T, et al. (författare)
  • WeNA : Deterministic Run-time Task Mapping for Performance Improvement in Many-core Embedded Systems
  • 2015
  • Ingår i: IEEE Embedded Systems Letters. - : Institute of Electrical and Electronics Engineers (IEEE). - 1943-0663. ; 7:4, s. 93-96
  • Tidskriftsartikel (refereegranskat)abstract
    • Many-core embedded systems will feature an extremely dynamic workload distribution where massive applications arranged as an unpredictable sequence enter and leave the system at run-time. Efficient mapping strategy is required to allocate system resources to the incoming application. Noncontiguous mapping improves system throughput by utilizing disjoint nodes, however, the increasing communication distance and external congestion lead to high power consumption and network delay. This paper thus presents an enhanced noncontiguous dynamic mapping algorithm, aiming at decreasing interprocessor communication overhead and improving both network and application performance. Communication volumes are utilized to arrange the mapping order of tasks belong to the same application. Moreover, expanding parameter of each task is developed which directs the optimized mapping decision comparing to the current neighborhood and occupancy information. Experimental results show that our modified mapping algorithm Weighted-based Neighborhood Allocation (WeNA) makes considerable improvements on Average Weighted Manhattan Distance (8.06%) and network latency (9.8%) in comparison with the state-of-the-art algorithm.
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  • Jafri, Syed M. A. H., et al. (författare)
  • TEA : Timing and Energy Aware compression architecture for Efficient Configuration in CGRAs
  • 2015
  • Ingår i: Microprocessors and microsystems. - : Elsevier. - 0141-9331 .- 1872-9436.
  • Tidskriftsartikel (refereegranskat)abstract
    • Coarse Grained Reconfigurable Architectures (CGRAs) are emerging as enabling platforms to meet the high performance demanded by modern applications (e.g. 4G, CDMA, etc.). Recently proposed CGRAs offer time-multiplexing and dynamic applications parallelism to enhance device utilization and reduce energy consumption at the cost of additional memory (up to 50% area of the overall platform). To reduce the memory overheads, novel CGRAs employ either statistical compression, intermediate compact representation, or multicasting. Each compaction technique has different properties (i.e. compression ratio, decompression time and decompression energy) and is best suited for a particular class of applications. However, existing research only deals with these methods separately. Moreover, they only analyze the compaction ratio and do not evaluate the associated energy overheads. To tackle these issues, we propose a polymorphic compression architecture that interleaves these techniques in a unique platform. The proposed architecture allows each application to take advantage of a separate compression/decompression hierarchy (consisting of various types and implementations of hardware/software decoders) tailored to its needs. Simulation results, using different applications (FFT, Matrix multiplication, and WLAN), reveal that the choice of compression hierarchy has a significant impact on compression ratio (up to 52%), decompression energy (up to 4 orders of magnitude), and configuration time (from 33. n to 1.5. s) for the tested applications. Synthesis results reveal that introducing adaptivity incurs negligible additional overheads (1%) compared to the overall platform area.
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  • Jafri, Syed M. A. H., et al. (författare)
  • TransMap : Transformation Based Remapping and Parallelism for High Utilization and Energy Efficiency in CGRAs
  • 2016
  • Ingår i: IEEE Transactions on Computers. - : IEEE. - 0018-9340 .- 1557-9956. ; 65:11, s. 3456-3469
  • Tidskriftsartikel (refereegranskat)abstract
    • In the era of platforms hosting multiple applications with arbitrary inter application communication and computation patterns, compile time mapping decisions are neither optimal nor desirable. As a solution to this problem, recently proposed architectures offer run-time remapping-. The run-time remapping techniques displace or parallelize/serialize an application to optimize different parameters (e.g., utilization and energy). To implement the dynamic remapping, reconfigurable architectures commonly store multiple (compile-time generated) implementations of an application. Each implementation represents a different platform location and/or degree of parallelism. The optimal implementation is selected at run-time. However, the compile-time binding either incurs excessive configuration memory overheads and/or is unable to map/parallelize an application even when sufficient resources are available. As a solution to this problem, we present Transformation based reMapping and parallelism (TransMap). TransMap stores only a single implementation and applies a series for transformations to the stored bitstream for remapping or parallelizing an application. Compared to state of the art, in addition to simple relocation in horizontal/vertical directions, TransMap also allows to rotate an application for mapping or parallelizing an application in resource constrained scenarios. By storing only a single implementation, TransMap offers significant reductions in configuration memory requirements (up to 73 percent for the tested applications), compared to state of the art compaction techniques. Simulation results reveal that the additional flexibility reduces the energy requirements by 33 percent and enhances the device utilization by 50 percent for the tested applications. Gate level analysis reveals that TransMap incurs negligible silicon (0.2 percent of the platform) and timing (6 additional cycles per application) penalty.
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16.
  • Kakakhel, S. R. U., et al. (författare)
  • A qualitative comparison model for application layer IoT protocols
  • 2019
  • Ingår i: 2019 4th International Conference on Fog and Mobile Edge Computing, FMEC 2019. - : Institute of Electrical and Electronics Engineers Inc.. - 9781728117966 ; , s. 210-215
  • Konferensbidrag (refereegranskat)abstract
    • Protocols enable things to connect and communicate, thus making the Internet of Things possible. The performance aspect of the Internet of Things protocols, vital to its widespread utilization, have received much attention. However, one aspect of IoT protocols, essential to its adoption in the real world, is a protocols' feature set. Comparative analysis based on competing features and properties are rarely if ever, discussed in the literature. In this paper, we define 19 attributes in 5 categories that are essential for IoT stakeholders to consider. These attributes are then used to contrast four IoT protocols, MQTT, HTTP, CoAP and XMPP. Furthermore, we discuss scenarios where an assessment based on comparative strengths and weaknesses would be beneficial. The provided comparison model can be easily extended to include protocols like MQTT-SN, AMQP and DDS. 
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17.
  • Kamali, Masoud, 1956-, et al. (författare)
  • Conclusion : Current and future challenges for Nordic welfare states and social work
  • 2018
  • Ingår i: Neoliberalism, Nordic Welfare States and Social Work. - New York : Routledge. - 9781351620222 ; , s. 249-269
  • Bokkapitel (refereegranskat)abstract
    • How have three decades of neoliberalism affected the Nordic welfare states as well as the organisation, education and practices of social work in those countries?During recent decades the welfare states of Denmark, Finland, Norway and Sweden have gone through dramatic changes infl uenced by the political triumph of neoliberalism. This has led to both the electoral success of extreme right and mainstream neoliberal parties, and to the neoliberal ideological transformations of social democratic parties. The neoliberal doctrine of making governance cheaper has thus been made the focus of governance and has led to increased marginalisation and social problems.This is the first book to comparatively explore the role of neoliberal reforms on social work and social policy across the Nordic welfare states. The richly theoretical and empirical chapters explore and illustrate the consequences of the dominance of neoliberal policies and provide an analysis of the effects of globalisation, glocalisation, welfare nationalism, symbolic violence and forced migration. The book provides valuable insights into the shortcomings of retreating welfare states in a time of increasing glocal social problems.Neoliberalism, Nordic Welfare States and Social Work should be considered essential reading for critical social work education. Students, scholars, educators and researchers of Nordic countries and beyond have much to learn from this book.
  •  
18.
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19.
  • Kamali, Masoud, 1956-, et al. (författare)
  • Introduction : Neoliberalism and social work in the Nordic welfare states
  • 2018
  • Ingår i: Neoliberalism, Nordic Welfare States and Social Work. - New York : Routledge. - 9780367152154 ; , s. 1-22
  • Bokkapitel (refereegranskat)abstract
    • How have three decades of neoliberalism affected the Nordic welfare states as well as the organisation, education and practices of social work in those countries?During recent decades the welfare states of Denmark, Finland, Norway and Sweden have gone through dramatic changes infl uenced by the political triumph of neoliberalism. This has led to both the electoral success of extreme right and mainstream neoliberal parties, and to the neoliberal ideological transformations of social democratic parties. The neoliberal doctrine of making governance cheaper has thus been made the focus of governance and has led to increased marginalisation and social problems.This is the first book to comparatively explore the role of neoliberal reforms on social work and social policy across the Nordic welfare states. The richly theoretical and empirical chapters explore and illustrate the consequences of the dominance of neoliberal policies and provide an analysis of the effects of globalisation, glocalisation, welfare nationalism, symbolic violence and forced migration. The book provides valuable insights into the shortcomings of retreating welfare states in a time of increasing glocal social problems.Neoliberalism, Nordic Welfare States and Social Work should be considered essential reading for critical social work education. Students, scholars, educators and researchers of Nordic countries and beyond have much to learn from this book.
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20.
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21.
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22.
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23.
  • Liu, Dongming, et al. (författare)
  • Cavitation in strained polyethylene/aluminium oxide nanocomposites
  • 2017
  • Ingår i: European Polymer Journal. - : Elsevier. - 0014-3057 .- 1873-1945. ; 87, s. 255-265
  • Tidskriftsartikel (refereegranskat)abstract
    • The incorporation of metal oxide (e.g. Al2O3) nanoparticles has a pronounced positive effect on low-density polyethylene (LDPE) as an insulating material for high-voltage direct-current (HVDC) cables, the electrical conductivity being decreased by one to two orders of magnitude and charge species being trapped by the nanoparticles. The risk of debonding between the nanoparticles and the polymer matrix leading to electrical treeing via electrical discharges in the formed cavities was the motivation for this study. Scanning electron microscope (SEM), small-angle X-ray scattering (SAXS) and X-ray ptychographic tomography were used to study a series of LDPE nanocomposites which contained Al2O3 nanoparticles treated with silanes having terminal alkyl groups of different lengths (methyl, octyl and octadecyl). When specimens were subjected to a tensile strain (a typical specimen stretched beyond the onset of necking consisted of three zones according to SEM of specimens that were studied after removal of the external force: an essentially cavitation-free zone with low local plastic strain, a transitional zone in which local plastic strain showed a marked increase and the revealed concentration of permanent cavities increased with increasing plastic strain and a highly strained zone with extensive cavitation), the cavitation occurred mainly at the polymer-nanoparticle interface according to SEM and X-ray ptychographic tomography and according to SEM progressed with increasing plastic strain through an initial phase with no detectable formation of permanent cavities to a period of very fast cavitation and finally almost an order of magnitude slower cavitation. The polymer/nanoparticle interface was fractal before deformation, as revealed by the profile of the Porod region in SAXS, presumably due to the existence of bound polymers at the nanoparticle surface. A pronounced decrease in the interface fractal dimension was observed when the strain exceeded a critical value; a phenomenon attributed to the stress-induced de-bonding of nanoparticles. The strain-dependence of the interface fractal dimension value at low strain levels between composites containing differently treated nanoparticles seems to be an indicator of the strength of the nanoparticle-polymer interface.
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24.
  • Liu, Dongming, 1987-, et al. (författare)
  • Influence of Nanoparticle Surface Coating on Electrical Conductivity of LDPE/Al2O3 Nanocomposites for HVDC Cable Insulations
  • 2017
  • Ingår i: IEEE transactions on dielectrics and electrical insulation. - : IEEE. - 1070-9878 .- 1558-4135. ; 24:3, s. 1396-1404
  • Tidskriftsartikel (refereegranskat)abstract
    • LDPE/metal oxide nanocomposites are promising materials for future high-voltage DC cable insulation. This paper presents data on the influence of the structure of the nanoparticle coating on the electrical conductivity of LDPE/Al2O3 nanocomposites. Al2O3 nanoparticles, 50 nm in size, were coated with a series of silanes with terminal alkyl groups of different lengths (methyl, n-octyl and n-octadecyl groups). The density of the coatings in vacuum was between 200 and 515 kg m(-3,) indicating substantial porosity in the coating. The dispersion of the nanoparticles in the LDPE matrix was assessed based on statistics for the nearest-neighbor particle distance. The electrical conductivity of the nanocomposites was determined at both 40 and 60 degrees C. The results show that an appropriate surface coating on the nanoparticles allowed uniform particle dispersion up to a filler loading of 10 wt.%, with a maximum reduction in the electrical conductivity by a factor of 35. The composites based on the most porous octyl-coated nanoparticles showed the greatest reduction in electrical conductivity and the lowest temperature coefficient of electrical conductivity of the composites studied.
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25.
  • Liu, Dongming, et al. (författare)
  • Interactions between a phenolic antioxidant, moisture, peroxide and crosslinking by-products with metal oxide nanoparticles in branched polyethylene
  • 2016
  • Ingår i: Polymer degradation and stability. - : Elsevier. - 0141-3910 .- 1873-2321. ; 125, s. 21-32
  • Tidskriftsartikel (refereegranskat)abstract
    • Polyethylene composites based on metal oxide nanoparticles are emerging materials for use in the insulation of extruded HVDC cables. The short-term electrical performance of these materials is adequate, but their stability for extended service needs to be assessed. This study is focussed on the capacity of the nanoparticles to adsorb polar species (water, dicumyl peroxide and byproducts from peroxide-vulcanisation, acetophenone and cumyl alcohol) that have an impact on the electrical conductivity of nanocomposites, the oxidative stability by adsorption of phenolic antioxidants on the nanoparticles and the potential transfer of catalytic impurities from the nanoparticles to the polymer. The adsorption of water, dicumyl peroxide, acetophenone, cumyl alcohol and Irganox 1076 (phenolic antioxidant) on pristine and coated (hydrophobic silanes and poly(lauryl methacrylate)) Al2O3, MgO and ZnO particles ranging from 25 nm to 2 gm was assessed. Composites based on low-density polyethylene and the particles mentioned (<= 12 wt.%) were prepared, the degree of adsorption of Irganox 1076 onto the particles was assessed by OIT measurements, and the release of volatile species at elevated temperature was assessed by TG. The concentration of moisture adsorbed on the particles at 25 degrees C increased linearly with both increasing hydroxyl group concentration on the particle surfaces and increasing relative humidity. Dicumyl peroxide showed no adsorption on any of the nanoparticles. Acetophenone and cumyl alcohol showed a linear increase in adsorption with increasing concentration of hydroxyl groups, but the quantities were much smaller than those of water. Irganox 1076 adsorbed only onto the uncoated nanoparticles. Uncoated ZnO nanoparticles that contained ionic species promoted radical formation and a lowering of the OIT. This study showed that carefully coated pure metal oxide nano particles are not likely to adsorb phenolic antioxidants or dicumyl peroxide, but that they have the capacity to adsorb moisture and polar byproducts from peroxide vulcanisation, and that they will not introduce destabilizing ionic species into the polymer matrix. Low contents of dry, equiaxed ZnO and MgO particles strongly retarded the release of volatile species at temperatures above 300 degrees C.
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26.
  • Liu, Dongming, et al. (författare)
  • Morphology and properties of silica-based coatings with different functionalities for Fe3O4, ZnO and Al2O3 nanoparticles
  • 2015
  • Ingår i: RSC Advances. - 2046-2069. ; 5:59, s. 48094-48103
  • Tidskriftsartikel (refereegranskat)abstract
    • A facile single-step method for obtaining 2–3 nm thick silsesquioxane coatings on metal oxide nanoparticles using different carbon-functional silane precursors is presented. Iron oxide nanoparticles 8.5 nm in diameter were used as a model to evaluate the possibilities of forming different uniform carbon-functional coatings, ranging from hydrophobic to hydrophilic in character. Electron microscopy showed that all the coated nanoparticles could be described as core-shell nanoparticles with single Fe3O4 cores and carbon-functional silsesquioxane shells, without any core-free silicone oxide phase. Steric factors strongly influenced the deposited silicon oxide precursors with octyl-, methyl- or aminopropyl functionalities, resulting in coating densities ranging from 260 to 560 kg/m3. The methyl-functional coatings required several layers of silsesquioxane, 3–4, to build up the 2 nm structures, whereas only 1-2 layers were required for silsesquioxane with octyl groups. Pure silica coatings from tetraethoxysilanes were however considerably thicker due to the absence of steric hindrance during deposition, allowing the formation of 5–7 nm coatings of ca. 10 layers. The coating method developed for the iron oxide nanoparticles was generic and successfully transferred and up–scaled 30 and 325 times (by volume) to be applicable to 25 nm ZnO and 45 nm Al2O3 nanoparticles.
  •  
27.
  • Majd, A., et al. (författare)
  • Hierarchal Placement of Smart Mobile Access Points in Wireless Sensor Networks Using Fog Computing
  • 2017
  • Ingår i: Proceedings - 2017 25th Euromicro International Conference on Parallel, Distributed and Network-Based Processing, PDP 2017. - : Institute of Electrical and Electronics Engineers Inc.. - 9781509060580 ; , s. 176-180
  • Konferensbidrag (refereegranskat)abstract
    • Recent advances in computing and sensor technologies have facilitated the emergence of increasingly sophisticated and complex cyber-physical systems and wireless sensor networks. Moreover, integration of cyber-physical systems and wireless sensor networks with other contemporary technologies, such as unmanned aerial vehicles (i.e. drones) and fog computing, enables the creation of completely new smart solutions. By building upon the concept of a Smart Mobile Access Point (SMAP), which is a key element for a smart network, we propose a novel hierarchical placement strategy for SMAPs to improve scalability of SMAP based monitoring systems. SMAPs predict communication behavior based on information collected from the network, and select the best approach to support the network at any given time. In order to improve the network performance, they can autonomously change their positions. Therefore, placement of SMAPs has an important role in such systems. Initial placement of SMAPs is an NP problem. We solve it using a parallel implementation of the genetic algorithm with an efficient evaluation phase. The adopted hierarchical placement approach is scalable, it enables construction of arbitrarily large SMAP based systems.
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28.
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29.
  • Pallon, Love K. H., et al. (författare)
  • Formation and the structure of freeze-dried MgO nanoparticle foams and their electrical behaviour in polyethylene
  • 2015
  • Ingår i: Journal of Materials Chemistry A. - : Royal Society of Chemistry (RSC). - 2050-7488 .- 2050-7496. ; 3:14, s. 7523-7534
  • Tidskriftsartikel (refereegranskat)abstract
    • Electrically insulating low-density polyethylene (LDPE) nanocomposites based on dispersed MgO nanoparticle foams are reported. The foams were obtained via freeze-drying aqueous suspensions of precipitated ca. 40 nm wide and 10 nm thick Mg(OH)(2) nanoparticles and dewatering (calcining) at 400 degrees C, resulting in a 25 times more voluminous powder compared to conventionally dried nanoparticles. This powder handling prior to extrusion melt-processing greatly facilitated the nanocomposite preparation since no particle grinding was necessary. Large quantities of particles were prepared (>5 g), and the nanoparticle foams showed improved dispersion in the LDPE matrix with 70% smaller aggregate sizes compared to the conventionally dried and ground nanopowders. The nature of the nanoparticle foams was evaluated in terms of their dispersion on Si-wafers using ultrasonication as a dispersing aid, which showed to be detrimental for the nanoparticle separation into solitary particles and induced severe aggregation of the calcined nanoparticles. The grind-free MgO nanoparticles/LDPE-composite was evaluated by electrical measurement. The prepared composite showed an initial ca. 1.5 orders of magnitude lower charging current at 10(2) s, and a 4.2 times lower charging current after 16 hours compared to unfilled LDPE. The results open a way for improved insulation to be implemented in the future high-voltage cable system and present a new promising nanoparticle powder handling technique that can be used on a large scale.
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30.
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31.
  • Pourrahimi, Amir Masoud, et al. (författare)
  • Polyethylene nanocomposites for the next generation of ultra-low transmission-loss HVDC cables: insulations containing moisture-resistant MgO nanoparticles
  • 2016
  • Ingår i: ACS Applied Materials & Interfaces. - : American Chemical Society (ACS). - 1944-8252 .- 1944-8244. ; 8:23, s. 14824-14835
  • Tidskriftsartikel (refereegranskat)abstract
    • The use of MgO nanoparticles in polyethylene for cable insulation has attracted considerable interest, although in humid media the surface regions of the nanoparticles undergo a conversion to a hydroxide phase. A facile method to obtain MgO nanoparticles with a large surface area and remarkable inertness to humidity is presented. The method involves (a) low temperature (400 °C) thermal decomposition of Mg(OH)2, (b) a silicone oxide coating to conceal the nanoparticles and prevent interparticle sintering upon exposure to high temperatures, and (c) heat treatment at 1000 °C. The formation of the hydroxide phase on these silicone oxide-coated MgO nanoparticles after extended exposure to humid air was assessed by thermogravimetry, infrared spectroscopy, and X-ray diffraction. The nanoparticles showed essentially no sign of any hydroxide phase compared to particles prepared by the conventional single-step thermal decomposition of Mg(OH)2. The moisture-resistant MgO nanoparticles showed improved dispersion and interfacial adhesion in the LDPE matrix with smaller nanosized particle clusters compared with conventionally prepared MgO. The addition of 1 wt % moisture-resistant MgO nanoparticles was sufficient to decrease the conductivity of polyethylene 30 times. The reduction in conductivity is discussed in terms of defect concentration on the surface of the moisture-resistant MgO nanoparticles at the polymer/nanoparticle interface.
  •  
32.
  • Rezaei, A., et al. (författare)
  • Multi-objective Task Mapping Approach for Wireless NoC in Dark Silicon Age
  • 2017
  • Ingår i: Proceedings - 2017 25th Euromicro International Conference on Parallel, Distributed and Network-Based Processing, PDP 2017. - : Institute of Electrical and Electronics Engineers Inc.. - 9781509060580 ; , s. 589-592
  • Konferensbidrag (refereegranskat)abstract
    • Hybrid Wireless Network-on-Chip (HWNoC) provides high bandwidth, low latency and flexible topology configurations, making this emerging technology a scalable communication fabric for future Many-Core System-on-Chips (MCSoCs). On the other hand, dark silicon is dominating the chip footage of upcoming MCSoCs since Dennard scaling fails due to the voltage scaling problem that results in higher power densities. Moreover, congestion avoidance and hot-spot prevention are two important challenges of HWNoC-based MCSoCs in dark silicon age, Therefore, in this paper, a novel task mapping approach for HWNoC is introduced in order to first balance the usage of wireless links by avoiding congestion over wireless routers and second spread temperature across the whole chip by utilizing dark silicon. Simulation results show significant improvement in both congestion and temperature control of the system, compared to state-of-The-Art works.
  •  
33.
  • Rezaei, A., et al. (författare)
  • Multiobjectivism in Dark Silicon Age
  • 2018
  • Ingår i: Advances in Computers, vol. 110. - : Academic Press Inc.. - 9780128153581 ; , s. 83-126
  • Bokkapitel (refereegranskat)abstract
    • MCSoCs, with their scalability and parallel computation power, provide an ideal implementation base for modern embedded systems. However, chip designers are facing a design challenge wherein shrinking component sizes though have improved density but started stressing energy budget. This phenomenon, that is called utilization wall, has revolutionized the semiconductor industry by shifting the main purpose of chip design from a performance-driven approach to a complex multiobjective one. The area of the chip which cannot be powered is known as dark silicon. In this chapter, we address the multiobjectivism in dark silicon age. First, we overview state-of-the-art works in a categorized manner. Second, we introduce a NoC-based MCSoC architecture, named shift sprinting, in order to increase overall reliability as well as gain high performance. Third, we explain an application mapping approach, called round rotary mapping, for HWNoC-based MCSoC in order to first balance the usage of wireless links by avoiding congestion over wireless routers and second spread temperature across the whole chip by utilizing dark silicon. Finally, we conclude the chapter by providing a future outlook of dark silicon research trend. 
  •  
34.
  • Rezaei, A., et al. (författare)
  • Shift sprinting : Fine-grained temperature-aware NoC-based MCSoC architecture in dark silicon age
  • 2016
  • Ingår i: Proceedings - Design Automation Conference. - New York, NY, USA : Institute of Electrical and Electronics Engineers (IEEE).
  • Konferensbidrag (refereegranskat)abstract
    • Reliability is a critical feature of chip integration and unreliability can lead to performance, cost, and time-to-market penalties. Moreover, upcoming Many-Core System-on-Chips (MCSoCs), notably future generations of mobile devices, will suffer from high power densities due to the dark silicon problem. Thus, in this paper, a novel NoC-based MCSoC architecture, called Shift Sprinting, is introduced in order to reliably utilize dark silicon under the power budget constraint. By employing the concept of distributional sprinting, our proposed architecture provides Quality of Service (QoS) to efficiently run real-time streaming applications in mobile devices. Simulation results show meaningful gain in performance and reliability of the system compared to state-of-the-art works.
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35.
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36.
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37.
  • Yasoubi, A., et al. (författare)
  • CuPAN - high throughput on-chip interconnection for neural networks
  • 2015
  • Ingår i: 22nd International Conference on Neural Information Processing, ICONIP 2015. - Cham : Springer. - 9783319265544 ; , s. 559-566
  • Konferensbidrag (refereegranskat)abstract
    • In this paper, we present a Custom Parallel Architecture for Neural networks (CuPAN). CuPAN consists of streamlined nodes that each node is able to integrate a single or a group of neurons. It relies on a high-throughput and low-cost Clos on-chip interconnection network in order to efficiently handle inter-neuron communication. We show that the similarity between the traffic pattern of neural networks (multicast-based multi-stage traffic) and topological characteristics of multi-stage interconnection networks (MINs) makes neural networks naturally suited to the MINs. The Clos network, as one of the most important classes of MINs, provide scalable low-cost interconnection fabric composed of several stages of switches to connect two groups of nodes and interestingly, can support multicast in an efficient manner. Our evaluation results show that CuPAN can manage the multicast-based traffic of neural networks better than the mesh-based topologies used in many parallel neural network implementations and gives lower average message latency, which directly translates to faster neural processing.
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38.
  • Östman, Caroline (författare)
  • Unaccompanied refugee minors and political responses in Sweden: Challenges for social work
  • 2019
  • Doktorsavhandling (övrigt vetenskapligt/konstnärligt)abstract
    • Currently, there are 68.5 million people forcibly displaced around the world, which is the highest figure since World War II. The affected individuals have fled their homes to seek protection elsewhere, either within their own country or across national borders. Approximately 16.2 million people were newly displaced during the year 2017 as a result of conflict, persecution, generalised violence and human rights violations. Against this backdrop of increased displacement, it is worthy of note that 52 per cent of the world’s refugee population is comprised of children under 18 years of age, which is the greatest number in a decade. Within this particular group, the number of unaccompanied refugee minors (URMs) seeking asylum has increased significantly and has today reached its highest level since the United Nations Higher Commissioner for Refugees (UNHCR) began collecting such systematic data in 2006 (UNHCR, 2018). Although statistics show that the number of URMs seeking asylum in Sweden has steadily increased since 2006, the sudden increase of this group in 2015 in particular was considerable and both caused a poisonous political debate concerning the country’s immigration policy and created a major challenge for Swedish reception and integration policy. This study is focused on the case of unaccompanied minors from Afghanistan who immigrated to Sweden in 2015.The main objective of this study is to examine how the Swedish reception system and social work institutions meet the needs and ambitions of URMs. The study seeks to answer the following research questions: how has the increase in immigration in 2015 influenced Swedish political parties’ programmes and policies?; how does the municipal receiving system for unaccompanied refugee minors in Sweden function according to the experiences of minors and their carers?; what are some of the possibilities and hindrances that exist in respect of unaccompanied refugee minors’ integration into Swedish society?; and how well-informed and prepared are Swedish social workers and the ‘staff from family-homes’ in meeting the needs and ambitions of unaccompanied refugee minors? The methodology used in this study is qualitative content analysis based on the Swedish political debate regarding migration and integration between 2014–2018, and the result of 29 interviews with 12 URMs, nine carers, three persons from ‘family-homes’, three municipal social workers and two legal guardians.The theoretical framework used to analyse the data in this study is postcolonial theory and critical intersectionalism. Given the fact that Afghanistan has, during the course of its modern history, been subjected to the colonial and imperialist politics of European countries, the recent increase of Afghan URM migration to Sweden cannot be separated from this: that is, foreign direct intervention in the home country of these refugees in the form of Western countries’ postcolonial political and economic policies. When used critically, an intersectional perspective helps us to avoid unqualified generalisations, which is often interwoven in the concept of ‘immigrants’ in general and URMs in particular.The analysis suggests that the political debate influencing Swedish migration and integration policies almost totally ignores the role of Western countries in the war and violence created in countries such Syria, Iraq, Libya and Afghanistan, which is one of the major reasons behind increasing migration from those countries. It also suggests that there are many shortcomings and problems in the Swedish reception system, such as social authorities’, and carers’ lack of adequate knowledge about migration and integration in general and in relation to the life conditions of URMs and their personal histories and ambitions in particular. There is also evidence of a strong West-centrism in how reception staff work with URMs. Together, these factors harm URM’s future integration in society. It is argued that social work needs critical knowledge in the education of social workers, and adequate training in skills for working with transnational families and new global family formations and relations. Also important for progressive social policy and social work are special individual-adjusted education programmes for URMs, and educating the teachers and carers who work with URMs, in critical knowledge and skills and socio-political mobilisation against racism and xenophobia. The topics of the study are important in a time of increasing racism and right-wing populism in mainstream politics, trends which risk negatively influencing public policy and social work research, education and practices.
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