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Estimating and Understanding Architectural Risk

机译:估计和理解建筑风险

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Designing a system in an era of rapidly evolving application behaviors and significant technology shifts involves taking on risk that a design will fail to meet its performance goals. While risk assessment and management are expected in both business and investment, these aspects are typically treated as independent to questions of performance and efficiency in architecture analysis. As hardware and software characteristics become uncertain (i.e., samples from a distribution), we demonstrate that the resulting performance distributions quickly grow beyond our ability to reason about with intuition alone. We further show that knowledge of the performance distribution can be used to significantly improve both the average case performance and minimize the risk of under-performance (which we term architectural risk). Our automated framework can be used to quantify the areas where trade-offs between expected performance and the “tail” of performance are most acute and provide new insights supporting architectural decision making (such as core selection) under uncertainty. Importantly it can do this even without a priori knowledge of an analytic model governing that uncertainty.
机译:在快速发展的应用行为中设计一个系统和重要的技术转变涉及承担设计将无法满足其性能目标的风险。虽然风险评估和管理预期在业务和投资方面,但这些方面通常被视为独立于架构分析中的绩效和效率问题。作为硬件和软件特性变得不确定(即,来自分布的样本),我们证明所产生的性能分布迅速增长超出了我们单独推理的推理能力。我们进一步表明,绩效分布的知识可用于显着改善平均案例性能,并最大限度地减少性能下降的风险(我们术语架构风险)。我们的自动框架可用于量化预期性能与性能“尾部”之间进行权衡的领域最令人敏锐的,并提供支持在不确定性下的建筑决策(如核心选择)的新见解。重要的是,即使没有先验到管理不确定性的分析模型的先验知识也可以这样做。

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