Barriers to IT Industry Success

Author(s):  
Mahesh S. Raisinghani ◽  
Mahboob Rahman

Information technology (IT), which has evolved from the merger of computers, telecommunications and office automation technologies, is one of the most rapidly growing industries in the world. In Bangladesh, IT use is still in a backward stage in terms of information generation, utilization and applications. A dependable information system has not been developed for the management and operation of the government machinery and large volume of data transactions in the public/private sector organizations. There is a lack of locally and externally generated information needed for the efficient performance of the government, production, trading, service, education, scientific research and other activities of the society. This case study of the IT scenario in Bangladesh discusses the challenges, analyzes the key issues that may be barriers to thesuccess of its IT industry and discusses the inherent strengths which can be used as the launching pad for making Bangladesh a potential offshore source of software and data processing services. Recommended actions have been proposed under ‘short term’ and ‘medium term,’ depending on the priority and importance, and categorized by the fiscal, human resource development, infrastructure and marketing functional areas. The necessary ingredients to become a potential exporter of computer software and data processing services do not currently exist in the required quantum in Bangladesh. If Bangladesh wants to enter into this market, it needs to cross a number of hurdles within a very short time span. Concerted efforts from everybody concerned have to be put in on a war-footing basis, as this sector has the potential to generate the highest revenue for the country.

Author(s):  
Phillip Ein-Dor ◽  
Michael Myers ◽  
K. S. Raman

It is generally accepted that knowledge has become a third major factor of production, in addition to the traditional factors — labor and capital. Information technology production is a significant factor in the knowledge economy both because it is a major enabler of that economy and because it is itself highly knowledge intensive. Many countries around the world are looking for ways to promote the development of the knowledge economy, and information technology industries in particular. An important question is to what extent — and how — small developed countries might succeed in this endeavor. This study suggests a modified and more comprehensive version of the Ein-Dor et al. (1997) model of IT (information technology) industry success in small developed countries. Whereas the earlier model of IT industry success was based solely on the macro-economic theory of Grossman and Helpman (1991), the revised model suggested here incorporates Romer’s (1990) work in New Growth economics. A significant advance over earlier work in this area is the use of both longitudinal and time slice data. This article provides an in-depth analysis of the IT industry in four countries over a five-year period: Finland, Israel, New Zealand and Singapore. It analyses some changes that occurred over the period 1994 through 1998 and thus provides a reasonably comprehensive picture of the factors affecting the production of IT in these small developed countries. Our study reveals that four of the five endogenous variables studied have a close relationship to the development of IT industries in small developed countries. These variables are research and development, technological infrastructure, firm strategies, and capital availability. On the other hand, domestic IT use does not seem to be a major factor in IT industry development. Our analysis thus largely supports the more comprehensive model of IT industry success. These findings should be of interest to both researchers and policy makers seeking to develop the knowledge economy and information technology industries in particular.


2021 ◽  
Vol 11 (15) ◽  
pp. 6748
Author(s):  
Hsun-Ping Hsieh ◽  
Fandel Lin ◽  
Jiawei Jiang ◽  
Tzu-Ying Kuo ◽  
Yu-En Chang

Research on flourishing public bike-sharing systems has been widely discussed in recent years. In these studies, many existing works focus on accurately predicting individual stations in a short time. This work, therefore, aims to predict long-term bike rental/drop-off demands at given bike station locations in the expansion areas. The real-world bike stations are mainly built-in batches for expansion areas. To address the problem, we propose LDA (Long-Term Demand Advisor), a framework to estimate the long-term characteristics of newly established stations. In LDA, several engineering strategies are proposed to extract discriminative and representative features for long-term demands. Moreover, for original and newly established stations, we propose several feature extraction methods and an algorithm to model the correlations between urban dynamics and long-term demands. Our work is the first to address the long-term demand of new stations, providing the government with a tool to pre-evaluate the bike flow of new stations before deployment; this can avoid wasting resources such as personnel expense or budget. We evaluate real-world data from New York City’s bike-sharing system, and show that our LDA framework outperforms baseline approaches.


2021 ◽  
Vol 7 (1) ◽  
Author(s):  
Iwona Karasek-Wojciechowicz

AbstractThis article is an attempt to reconcile the requirements of the EU General Data Protection Regulation (GDPR) and anti-money laundering and combat terrorist financing (AML/CFT) instruments used in permissionless ecosystems based on distributed ledger technology (DLT). Usually, analysis is focused only on one of these regulations. Covering by this research the interplay between both regulations reveals their incoherencies in relation to permissionless DLT. The GDPR requirements force permissionless blockchain communities to use anonymization or, at the very least, strong pseudonymization technologies to ensure compliance of data processing with the GDPR. At the same time, instruments of global AML/CFT policy that are presently being implemented in many countries following the recommendations of the Financial Action Task Force, counteract the anonymity-enhanced technologies built into blockchain protocols. Solutions suggested in this article aim to induce the shaping of permissionless DLT-based networks in ways that at the same time would secure the protection of personal data according to the GDPR rules, while also addressing the money laundering and terrorist financing risks created by transactions in anonymous blockchain spaces or those with strong pseudonyms. Searching for new policy instruments is necessary to ensure that governments do not combat the development of all privacy-blockchains so as to enable a high level of privacy protection and GDPR-compliant data processing. This article indicates two AML/CFT tools which may be helpful for shaping privacy-blockchains that can enable the feasibility of such tools. The first tool is exceptional government access to transactional data written on non-transparent ledgers, obfuscated by advanced anonymization cryptography. The tool should be optional for networks as long as another effective AML/CFT measures are accessible for the intermediaries or for the government in relation to a given network. If these other measures are not available and the network does not grant exceptional access, the regulations should allow governments to combat the development of those networks. Effective tools in that scope should target the value of privacy-cryptocurrency, not its users. Such tools could include, as a tool of last resort, state attacks which would undermine the trust of the community in a specific network.


1980 ◽  
Vol 21 (4) ◽  
pp. 515-535 ◽  
Author(s):  
Fay Gadsden

This paper discusses the African press in Kenya in the years between 1945 and 1952. The growth of an extensive vernacular press was caused by the political frustrations suffered by Kenya's Africans and the political, social and ethnic divisions which separated them. The press can be divided into three major categories: moderate nationalist, regional vernacular and populist newspapers. The moderate nationalist newspapers were edited by members of the educated elite who campaigned for constitutional change and social reforms. The regional vernacular papers were concerned more with local than national issues. The populist press was edited by semi-educated men active in politics at the grassroots level who came to reject the moderate leadership. All these papers publicized the activities of the Kenya African Union and demanded an improvement in the political and social position of Africans in Kenya. But they also expressed the ethnic, political and social hostilities which divided their editors. The decline of moderate leadership was reflected in the closure of their newspapers. The radicals who seized power in K.A.U. in 1951 were supported by the populist press and began new newspapers in 1951 and 1952.Some of the African newspapers achieved quite large circulations, were distributed by agents throughout the towns of Kenya and attracted some advertising revenue. But they all suffered from lack of money and found it difficult to find and pay a printer, and they suffered also from the lack of experience of their editors. Many newspapers lasted only a short time. But throughout these years there were always a number of newspapers published. These were widely read and were politically influential. The populist press played a direct role in stimulating militant resistance. Government attempts to curb the African press and to replace it with government newspapers were not successful. Only in 1952 when a State of Emergency had been imposed and the government had assumed powers to refuse printing licences and to suppress newspapers could the African press be silenced.


2021 ◽  
Author(s):  
Huanhuan Jia ◽  
Hairui Jiang ◽  
Jianxing Yu ◽  
Jingru Zhang ◽  
Zhou Zheng ◽  
...  

Abstract Background: The serious shortage of primary health care (PHC) providers is a common issue in the health reforms worldwide, including in China. The government of China have proposed that encouraging and guiding qualified medical personnel to work in primary medical and health care institutions (PMHCIs) is an effective way to improve the overall quality and efficiency of PHC, but it has not produced good results. The problem of insufficient human resources of PHC has not been substantially ameliorated.Methods: Based on implicit theory and lexical approach, pre-investigation was conducted to collect the items that influence the medical personnel to seek employment at PMHCIs from the perspective of guided objects. Through a three-phase investigation of 1,160 doctors in 29 public hospitals in 9 cities, the items were categorized, and a structural equation model was established and verified to explore the interrelationship of influencing factors.Results: A total of 5 factors were rotated, including Sense of Gain (SG), Internal Organization Development (IOD), Remuneration and Development (RD), Condition of the City Where the PMHCI Is Located (CCPL), Job Responsibilities (JR) and Family Support (FS). The results of the model showed that IOD, RD, JR and FS had a significantly positive effect on the SG, whereas CCPL had no significant direct effect. In addition, the FS, RD and JR significantly mediated the relationship between the internal and external environment of the institution and the willing of medical personnel to seek employment at PMHCIs. The values of fit index indicated an acceptable-fitting model.Conclusion: Family, remuneration, individual development, and job responsibility are closely related with the willingness of medical personnel to seek employment at PMHCIs, and the internal and external environment of PMHCIs is also an important factor. Based on this, targeted measures can be proposed to promote the development of PHC providers.


Author(s):  
Vladimir Karpinsky ◽  
Vladimir Asming

The infrasound array VALS developed in Kola Branch GS RAS has been installed in June 2016 on the Valaam Island in addition to the continuously operating seismic station VALR. The array consists of 3 spaced low-frequency microphones. The data with a sampling rate of 100 Hz is stored continuously at the acquisition computer; the timing is carried out using GPS. In addition to the acquisition system, an infrasound signal detector is installed on the computer. It works in near real-time mode and enables us to find signals and compute their back azimuths. At the end of 2018, a new version of the detector was developed at the Kola Branch GS RAS. The detector began to work much faster, which enabled us to carry out data processing for 2.5 years in two frequency ranges in a short time. The main task of the array is acoustic monitoring, the detection of infrasound events, the determination of their parameters, and the selection of events of natural origin. The data are also used (in combination with the VALR seismic station data) to locate near seismic events, especially weak ones. The analysis of the obtained data revealed the prevailing directions to the signal sources. The change of directions to sources in time was investigated, seasonal features were revealed. Acoustic events were detected in the frequency bands 1–5 Hz and 10–20 Hz, and a significant difference was found in the azimuthal distribution of events for these ranges. A joint analysis of acoustic and seismic data showed that the part of events with both acoustic and seismic components is low – it is almost completely exhausted by career explosions. It was also noted that in addition to explosions in nearby quarries (Kuznechnoye, Pitkäranta) located at a distance of 50–60 km, according to acoustic data, events corresponding to explosions at quarries located at a distance of 100 km or more were repeatedly identified.


2020 ◽  
Author(s):  
Mario Santana-Cibrian ◽  
Manuel Adrian Acuna-Zegarra ◽  
Jorge X. Velasco-Hernandez

On 23 and 30 March 2020 the Mexican Federal government implemented social distancing measures to mitigate the COVID-19 epidemic. We use a mathematical model to explore atypical transmission events within the confinement period, triggered by the timing and strength of short time perturbations of social distancing. We show that social distancing measures were successful in achieving a significant reduction of the effective contact rate in the early weeks of the intervention. However, "flattening the curve" had an undesirable effect, since the epidemic peak was delayed too far, almost to the government preset day for lifting restrictions (01 June 2020). If the peak indeed occurs in late May or early June, then the events of children's day and mother's day may either generate a later peak (worst case scenario), a long plateau with relatively constant but high incidence (middle case scenario) or the same peak date as in the original baseline epidemic curve, but with a post-peak interval of slower decay.


2019 ◽  
Vol 2 (2) ◽  
pp. 166
Author(s):  
Sahat Sonang ◽  
Arifin Tua Purba ◽  
Ferri Ojak Imanuel Pardede

Control of population is one of the tasks of the government in Indonesia. The increase and movement of population in each region makes a certain area to defeat changes in population surging, and this can affect the economic level of the area. This study aims to process the population of Pematangsiantar City in 2018 which is divided into age groups, namely: Toddlers, Young Children, Early Adolescents, Late Adolescents, Early Adolescents, Late Adulthood, Early Adulthood, Elderly, Late Elderly, and Upper Seniors. Data processing is done by using K-Means method clustering in accordance with the population of Pematangsiantar City per district. With this grouping, we can see that the number of population in each sub-district is based on each age group so that we can implement programs that are more appropriate in improving human resources.


2018 ◽  
Author(s):  
Robert Yawson ◽  
Bradley Greiman

<p>The world is experiencing significant, largely economic and sociotechnical, induced change. These induced changes are meaningful with a function of people taking collective actions around common beliefs. These changes are more than jargon, cliché and hyperbole, and they are effecting major transformations. These transformations will impact on how human resources are developed and we need to be able to forecast its effects. In order to produce such forecasts, HRD needs to become more predictive - to develop the ability to understand how human capital systems and organizations will behave in future. Further development of systems models is required to allow such predictions to be made. Critical to the development of such models will be to understand that linear epistemology cannot be the dominant epistemology of practice and that dynamic complexity of challenges confronted by HRD professionals in their daily research and practice requires a nonlinear epistemology of practice, rather than reductive or linear thinking or processes of normal science. Although the adoption of a systems approach to research in HRD is not novel, methodologies and conceptual approaches underlying it use are not very well developed. In this paper, a stakeholder analysis methodology that was developed as a novel method in conducting systems approach research in human resource development, public policy and agricultural education is described. </p>


2019 ◽  
pp. 283-303
Author(s):  
Florian Spohr

Germany has become one of the most competitive economies in the world. Only a decade and a half ago it was widely derided as stagnant, and ridden by political paralysis in reforming its labour market policies. However, in 2002, the discovery of manipulated statistics in the German Employment Agency opened a window of opportunity to break the stalemate in corporatist policymaking. In response, the government convened a commission to design labour market policy reforms: the Hartz Committee, named for its chair, Peter Hartz. Including experts, politicians, and members from interest groups in the commission enabled the government to promote the ‘Hartz Reforms’ on the basis of expertise and compromise. Their focus was on creating incentives for seeking employment. Job search assistance and monitoring gained importance, whereas ineffective job creation and early retirement schemes were abolished or reduced. These activating reforms successfully tackled structural unemployment and increased the overall employment rate. Their success in strengthening economic resilience was demonstrated during the 2008 economic crisis, when in combination with other measures such as the extension of short-time work, and controlled unit labour costs, they led Germany’s labour market through the deep recession.


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