The management of technical debt ultimately requires decision making - about incurring, paying off, or deferring technical debt instances. This position paper discusses several existing approaches to complex decision making, and suggests that exploring their applicability to technical debt decision making would be a worthwhile subject for further research
To date, several methods and tools for detecting source code and design anomalies have been developed. While each method focuses on identifying certain classes of source code anomalies that potentially relate to technical debt (TD), the overlaps and gaps among these classes and TD have not been rigorously demonstrated. We propose to construct a seminal technical debt landscape as a way to visualize and organize research on the subject
The technical debt (TD) metaphor describes a tradeoff between short-term and long-term goals in software development. Developers, in such situations, accept compromises in one dimension (e.g. maintainability) to meet an urgent demand in another dimension (e.g. delivering a release on time). Since TD produces interests in terms of time spent to correct the code and accomplish quality goals, accumulation of TD in software systems is dangerous because it could lead to more difficult and expensive maintenance. The research presented in this paper is focused on the usage of automatic static analysis to identify Technical Debt at code level with respect to different quality dimensions. The methodological approach is that of Empirical Software Engineering and both past and current achieved results are presented, focusing on functionality, efficiency and maintainability
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