Federal Register 2010, 2011, 2012, 2013, 2014
2012-10-12
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2011-1106] Dynamic Positioning... ``Mobile Offshore Drilling Unit Dynamic Positioning Guidance''. The notice recommended owners and operators of Mobile Offshore Drilling Units (MODUs) follow Marine Technology Society (MTS) Dynamic Positioning...
77 FR 26562 - Mobile Offshore Drilling Unit Dynamic Positioning Guidance
Federal Register 2010, 2011, 2012, 2013, 2014
2012-05-04
... regarding a draft policy letter on Dynamic Positioning (DP) Systems, Emergency Disconnect Systems, Blowout... Coast Guard, NOSAC issued the report ``Recommendations for Dynamic Positioning System Design and... DEPARTMENT OF HOMELAND SECURITY Coast Guard [USCG-2011-1106] Mobile Offshore Drilling Unit Dynamic...
76 FR 81957 - Mobile Offshore Drilling Unit Guidance Policy
Federal Register 2010, 2011, 2012, 2013, 2014
2011-12-29
... Purpose Dynamic Positioning Systems (DPSs), Emergency Disconnect Systems (EDSs), Blowout Preventers (BOPs..., ``Dynamically Positioned Mobile Offshore Drilling Unit (MODU) Critical Systems, Personnel and Training.'' We... association, business, labor union, etc.). You may review a Privacy Act, system of records notice regarding...
NASA Astrophysics Data System (ADS)
Lynch, K.; Jackson, D.; Delgado-Fernandez, I.; Cooper, J. A.; Baas, A. C.; Beyers, M.
2010-12-01
This study examines sand transport and wind speed across a beach at Magilligan Strand, Northern Ireland, under offshore wind conditions. Traditionally the offshore component of local wind regimes has been ignored when quantifying beach-dune sediment budgets, with the sheltering effect of the foredune assumed to prohibit grain entrainment on the adjoining beach. Recent investigations of secondary airflow patterns over coastal dunes have suggested this may not be the case, that the turbulent nature of the airflow in these zones enhances sediment transport potential. Beach sediment may be delivered to the dune toe by re-circulating eddies under offshore winds in coastal areas, which may explain much of the dynamics of aeolian dunes on coasts where the dominant wind direction is offshore. The present study investigated aeolian sediment transport patterns under an offshore wind event. Empirical data were collected using load cell traps, for aeolian sediment transport, co-located with 3-D ultrasonic anemometers. The instrument positioning on the sub-aerial beach was informed by prior analysis of the airflow patterns using computational fluid dynamics. The array covered a total beach area of 90 m alongshore by 65 m cross-shore from the dune crest. Results confirm that sediment transport occurred in the ‘sheltered’ area under offshore winds. Over short time and space scales the nature of the transport is highly complex; however, preferential zones for sand entrainment may be identified. Alongshore spatial heterogeneity of sediment transport seems to show a relationship to undulations in the dune crest, while temporal and spatial variations may also be related to the position of the airflow reattachment zone. These results highlight the important feedbacks between flow characteristics and transport in a complex three dimensional surface.
Effect of DGPS failures on dynamic positioning of mobile drilling units in the North Sea.
Chen, Haibo; Moan, Torgeir; Verhoeven, Harry
2009-11-01
Basic features of differential global positioning system (DGPS), and its operational configuration on dynamically positioned (DP) mobile offshore drilling units in the North Sea are described. Generic failure modes of DGPS are discussed, and a critical DGPS failure which has the potential to cause drive-off for mobile drilling units is identified. It is the simultaneous erroneous position data from two DGPS's. Barrier method is used to analyze this critical DGPS failure. Barrier elements to prevent this failure are identified. Deficiencies of each barrier element are revealed based on the incidents and operational experiences in the North Sea. Recommendations to strengthen these barrier elements, i.e. to prevent erroneous position data from DGPS, are proposed. These recommendations contribute to the safety of DP operations of mobile offshore drilling units.
The Role of 2D Circulation in Sand Bar Migration
NASA Astrophysics Data System (ADS)
Splinter, K. D.; Holman, R. A.; Plant, N. G.; Holland, K. T.
2006-12-01
Models of bar dynamics typically involve moments of the cross-shore flow, with offshore movement associated with the strong offshore directed undertow and onshore migration related to wave asymmetry and skewness [Gallagher, et al., 1998]. Based on these hypotheses, models and laboratory studies have used the alongshore-mean bar position and alongshore-uniform wave conditions (a 1DH approach) to study bar response to varying wave conditions. Commonly, cases of offshore migration were reproduced with reasonable accuracy, but predictions of onshore migration were less successful. However, examination of time-exposure images of waves show that during periods of offshore migration, bars tend to be alongshore uniform and move rapidly offshore, but during onshore migration, sand bars are rarely straight, instead becoming very sinuous, violating the 1DH approach. We hypothesize that under milder wave conditions, the 2DH circulation associated with this alongshore-variable morphology is, in fact, largely responsible for increased onshore net sand transport and the resulting onshore bar movement. We extend the work of Plant et al. [in review] that relates bar position, sinuosity, and wave forcing within a dynamical feedback model. The model consists of coupled differential equations that govern the rates of change of cross-shore position and horizontal sinuosity as a function of the current cross-shore position and sinuosity and a proxy for wave forcing. Using a short data set from Duck, NC, they solve for the unknown coupling coefficients by doing a least-squares fit. They find that the coefficients for the self-interaction terms have a negative sign, indicating the overall system is stable. The coefficients of the cross-interaction terms (the effect of sinuosity on rate of change of bar position and visa versa), however, are non-zero and have opposite signs indicating the systems are coupled and stability is not affected by these terms. We expand this study, relating bar position, sinuosity, and incident wave conditions, over a one-year period of time-exposure images of Palm Beach, Australia. The resulting analysis produces clear links between bar sinuosity and the rate of change of mean bar position, suggesting a 2DH approach should be used when modeling bar migration. Gallagher, E. L., et al. (1998), Observations of sand bar evolution on a natural beach, Journal of Geophysical Research, 103, 3203-3215. Plant, N. G., et al. (in review), A dynamical attractor governs beach response to storms, Journal of Geophysical Research.
Lower cost offshore field development utilizing autonomous vehicles
DOE Office of Scientific and Technical Information (OSTI.GOV)
Frisbie, F.R.; Vie, K.J.; Welch, D.W.
1996-12-31
The offshore oil and gas industry has the requirement to inspect offshore oil and gas pipelines for scour, corrosion and damage as well as inspect and intervene on satellite production facilities. This task is currently performed with Remotely Operated Vehicles (ROV) operated from dynamically positioned (DP) offshore supply or diving support boats. Currently, these tasks are expensive due to the high day rates for DP ships and the slow, umbilical impeded, 1 knot inspection rates of the tethered ROVs, Emerging Autonomous Undersea Vehicle (AUV) technologies offer opportunities to perform these same inspection tasks for 50--75% lower cost, with comparable ormore » improved quality. The new generation LAPV (Linked Autonomous Power Vehicles) will operate from fixed facilities such as TLPs or FPFs and cover an operating field 10 kms in diameter.« less
NASA Astrophysics Data System (ADS)
Jackson, D.; Delgado-Fernandez, I.; Lynch, K.; Baas, A. C.; Cooper, J. A.; Beyers, M.
2010-12-01
The input of aeolian sediment into foredune systems from beaches represents a key component of sediment budget analysis along many soft sedimentary coastlines. Where there are significant offshore wind components in local wind regimes this is normally excluded from analysis. However, recent work has shown that if the topography of the foredune is favourable then this offshore component is steered or undergoes flow reversal through leeside eddying to give onshore transport events at the back beach under offshore flow conditions. At particular distances from the foredune crest flow reattaches to the surface to continue its incident offshore direction. The location of this reattachment point has important implications for aeolian transport of sand on the back beach and foredune toe locations. This study reports initial results where the positioning of the reattachment point is mobile and is driven by incident wind velocity (at the foredune crest) and the actual undulations of the foredune crest’s topography, dictating heterogeneous flow behaviour at the beach. Using detailed field measurements (25 Hz, three-dimensional sonic anemometry) and computational fluid dynamic modelling, a temporal and spatial pattern of reattachment positions are described. Implications for aeolian transport and dune evolution are also examined.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
As the search for oil and gas continues into deeper and deeper waters, semisubmersibles and dynamically positioned vessels are becoming larger and more sophisticated. Efforts to reduce downtime resulting from foul weather are apparent in some new rigs designed to have improved motion characteristics. New offshore drilling rigs described include l) a buoy-shaped semisubmersible, the Big Bouy 6000 from the Trosvik Group of Norway, 2) a dynamically positioned drillship to be operated by the Dutch firm Neddrill, 3) Parker Drilling Co.'s helicopter-transportable platform rig, rated for 20,000 ft, 4) a dynamically positioned semisubmersible developed by French drilling contractor Forex Neptune,more » and 5) a reinforced-concrete semisubmersible, the Condrill concept, developed by Norwegian contractor A/S Hoyer-Ellefsen.« less
Systems Theoretic Process Analysis Applied to an Offshore Supply Vessel Dynamic Positioning System
2016-06-01
additional safety issues that were either not identified or inadequately mitigated through the use of Fault Tree Analysis and Failure Modes and...Techniques ...................................................................................................... 15 1.3.1. Fault Tree Analysis...49 3.2. Fault Tree Analysis Comparison
30 CFR 250.432 - How do I obtain a departure to diverter design and installation requirements?
Code of Federal Regulations, 2010 CFR
2010-07-01
..., DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and Gas Drilling Operations Diverter System Requirements § 250.432 How do I obtain a departure to diverter... diverter line for floating drilling operations on a dynamically positioned drillship Maintain an...
Dynamic analysis of a 5-MW tripod offshore wind turbine by considering fluid-structure interaction
NASA Astrophysics Data System (ADS)
Zhang, Li-wei; Li, Xin
2017-10-01
Fixed offshore wind turbines usually have large underwater supporting structures. The fluid influences the dynamic characteristics of the structure system. The dynamic model of a 5-MW tripod offshore wind turbine considering the pile-soil system and fluid structure interaction (FSI) is established, and the structural modes in air and in water are obtained by use of ANSYS. By comparing low-order natural frequencies and mode shapes, the influence of sea water on the free vibration characteristics of offshore wind turbine is analyzed. On basis of the above work, seismic responses under excitation by El-Centro waves are calculated by the time-history analysis method. The results reveal that the dynamic responses such as the lateral displacement of the foundation and the section bending moment of the tubular piles increase substantially under the influence of the added-mass and hydrodynamic pressure of sea water. The method and conclusions presented in this paper can provide a theoretical reference for structure design and analysis of offshore wind turbines fixed in deep seawater.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Lunardini, V.J.; Wang, Y.S.; Ayorinde, O.A.
1986-01-01
This book presents the papers given at a symposium on offshore platforms. Topics considered at the symposium included climates, Arctic regions, hydrate formation, the buckling of heated oil pipelines in frozen ground, icebergs, concretes, air cushion vehicles, mobile offshore drilling units, tanker ships, ice-induced dynamic loads, adfreeze forces on offshore platforms, and multiyear ice floe collision with a massive offshore structure.
Study on dynamic characteristics of hydraulic pumping unit on offshore platform
NASA Astrophysics Data System (ADS)
Chang, Zong-yu; Yu, Yan-qun; Qi, Yao-guang
2017-12-01
A new technology of offshore oil rod pumping production is developed for offshore heavy oil recovery. A new type of miniature hydraulic pumping unit with long-stroke, low pumping speed and compact structure is designed based on the spatial characteristics of offshore platforms. By combining the strengths of sinusoidal velocity curve and trapezoidal velocity curve, a kinematical model of the acceleration, the velocity and displacement of the pumping unit's hanging point is established. The results show that the pumping unit has good kinematic characteristics of smooth motion and small dynamic load. The multi-degree-of-freedom dynamic model of the single-well pumping unit is established. The first and second order natural frequencies of the sucker rod string subsystem and the pumping unit subsystem are studied. The results show that the first and the second order natural frequencies among the pumping rod string, pumping unit-platform subsystem and the dynamic excitation have differences over 5 times from each other, indicating that resonance phenomenon will not appear during the operation and the dynamic requirements for field use are met in the system.
Motion performance and mooring system of a floating offshore wind turbine
NASA Astrophysics Data System (ADS)
Zhao, Jing; Zhang, Liang; Wu, Haitao
2012-09-01
The development of offshore wind farms was originally carried out in shallow water areas with fixed (seabed mounted) structures. However, countries with limited shallow water areas require innovative floating platforms to deploy wind turbines offshore in order to harness wind energy to generate electricity in deep seas. The performances of motion and mooring system dynamics are vital to designing a cost effective and durable floating platform. This paper describes a numerical model to simulate dynamic behavior of a new semi-submersible type floating offshore wind turbine (FOWT) system. The wind turbine was modeled as a wind block with a certain thrust coefficient, and the hydrodynamics and mooring system dynamics of the platform were calculated by SESAM software. The effect of change in environmental conditions on the dynamic response of the system under wave and wind loading was examined. The results indicate that the semi-submersible concept has excellent performance and SESAM could be an effective tool for floating wind turbine design and analysis.
-based and offshore wind turbines. He also guides projects aimed at verifying, validating, and applying developing, verifying, and validating simulation models for offshore wind turbines. He is the principal investigator for a DOE-funded project to improve the modeling of offshore floating wind system dynamics. He
Federal Register 2010, 2011, 2012, 2013, 2014
2012-06-21
... January 2013, and concerns global positioning systems on Mobile Offshore Drilling Units (MODUs). After a... any way. The offshore oil and gas industry will use the information to determine the safest and... to do so. Dated: June 14, 2012. Robert W. Middleton, Deputy Chief, Office of Offshore Regulatory...
validation, and data analysis. At NREL, Amy specializes in the modeling of offshore wind system dynamics. She Amy.Robertson@nrel.gov | 303-384-7157 Amy's expertise is in structural dynamics modeling, verification and of offshore wind modeling tools. Prior to joining NREL, Amy worked as an independent consultant for
DOE Office of Scientific and Technical Information (OSTI.GOV)
Strach-Sonsalla, Mareike; Stammler, Matthias; Wenske, Jan
In 1991, the Vindeby Offshore Wind Farm, the first offshore wind farm in the world, started feeding electricity to the grid off the coast of Lolland, Denmark. Since then, offshore wind energy has developed from this early experiment to a multibillion dollar market and an important pillar of worldwide renewable energy production. Unit sizes grew from 450 kW at Vindeby to the 7.5 MW-class offshore wind turbines (OWT ) that are currently (by October 2014) in the prototyping phase. This chapter gives an overview of the state of the art in offshore wind turbine (OWT) technology and introduces the principlesmore » of modeling and simulating an OWT. The OWT components -- including the rotor, nacelle, support structure, control system, and power electronics -- are introduced, and current technological challenges are presented. The OWT system dynamics and the environment (wind and ocean waves) are described from the perspective of OWT modelers and designers. Finally, an outlook on future technology is provided. The descriptions in this chapter are focused on a single OWT -- more precisely, a horizontal-axis wind turbine -- as a dynamic system. Offshore wind farms and wind farm effects are not described in detail in this chapter, but an introduction and further references are given.« less
Aeroelastic Stability Investigations for Large-scale Vertical Axis Wind Turbines
NASA Astrophysics Data System (ADS)
Owens, B. C.; Griffith, D. T.
2014-06-01
The availability of offshore wind resources in coastal regions, along with a high concentration of load centers in these areas, makes offshore wind energy an attractive opportunity for clean renewable electricity production. High infrastructure costs such as the offshore support structure and operation and maintenance costs for offshore wind technology, however, are significant obstacles that need to be overcome to make offshore wind a more cost-effective option. A vertical-axis wind turbine (VAWT) rotor configuration offers a potential transformative technology solution that significantly lowers cost of energy for offshore wind due to its inherent advantages for the offshore market. However, several potential challenges exist for VAWTs and this paper addresses one of them with an initial investigation of dynamic aeroelastic stability for large-scale, multi-megawatt VAWTs. The aeroelastic formulation and solution method from the BLade Aeroelastic STability Tool (BLAST) for HAWT blades was employed to extend the analysis capability of a newly developed structural dynamics design tool for VAWTs. This investigation considers the effect of configuration geometry, material system choice, and number of blades on the aeroelastic stability of a VAWT, and provides an initial scoping for potential aeroelastic instabilities in large-scale VAWT designs.
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-06
... Offshore Drilling Units). OMB Control Number: 1014-0013. Abstract: The Outer Continental Shelf (OCS) Lands.... The subject of this ICR is an NTL, GPS (Global Positioning System) for MODUs (Mobile Offshore Drilling... Operators (NTL)--Gulf of Mexico OCS Region--GPS (Global Positioning System) for MODUs (Mobile Offshore...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Sterndorff, M.J.; O`Brien, P.
ROLF (Retrievable Offshore Loading Facility) has been proposed as an alternative offshore oil export tanker loading system for the North Sea. The system consists of a flexible riser ascending from the seabed in a lazy wave configuration to the bow of a dynamically positioned tanker. In order to supplant and support the numerical analyses performed to design the system, an extensive model test program was carried out in a 3D offshore basin at scale 1:50. A model riser with properties equivalent to the properties of the oil filled prototype riser installed in seawater was tested in several combinations of wavesmore » and current. During the tests the forces at the bow of the tanker and at the pipeline end manifold were measured together with the motions of the tanker and the riser. The riser motions were measured by means of a video based 3D motion monitoring system. Of special importance was accurate determination of the minimum bending radius for the riser. This was derived based on the measured riser motions. The results of the model tests were compared to numerical analyses by an MCS proprietary riser analysis program.« less
Ice interaction with offshore structures
DOE Office of Scientific and Technical Information (OSTI.GOV)
Cammaert, A.B.; Muggeridge, D.B.
1988-01-01
Oil platforms and other offshore structures being built in the arctic regions must be able to withstand icebergs, ice islands, and pack ice. This reference explain the effect ice has on offshore structures and demonstrates design and construction methods that allow such structures to survive in harsh, ice-ridden environments. It analyzes the characteristics of sea ice as well as dynamic ice forces on structures. Techniques for ice modeling and field testing facilitate the design and construction of sturdy, offshore constructions. Computer programs included.
Matha, Denis; Sandner, Frank; Molins, Climent; Campos, Alexis; Cheng, Po Wen
2015-01-01
The current key challenge in the floating offshore wind turbine industry and research is on designing economic floating systems that can compete with fixed-bottom offshore turbines in terms of levelized cost of energy. The preliminary platform design, as well as early experimental design assessments, are critical elements in the overall design process. In this contribution, a brief review of current floating offshore wind turbine platform pre-design and scaled testing methodologies is provided, with a focus on their ability to accommodate the coupled dynamic behaviour of floating offshore wind systems. The exemplary design and testing methodology for a monolithic concrete spar platform as performed within the European KIC AFOSP project is presented. Results from the experimental tests compared to numerical simulations are presented and analysed and show very good agreement for relevant basic dynamic platform properties. Extreme and fatigue loads and cost analysis of the AFOSP system confirm the viability of the presented design process. In summary, the exemplary application of the reduced design and testing methodology for AFOSP confirms that it represents a viable procedure during pre-design of floating offshore wind turbine platforms. PMID:25583870
Prediction of dynamic strains on a monopile offshore wind turbine using virtual sensors
NASA Astrophysics Data System (ADS)
Iliopoulos, A. N.; Weijtjens, W.; Van Hemelrijck, D.; Devriendt, C.
2015-07-01
The monitoring of the condition of the offshore wind turbine during its operational states offers the possibility of performing accurate assessments of the remaining life-time as well as supporting maintenance decisions during its entire life. The efficacy of structural monitoring in the case of the offshore wind turbine, though, is undermined by the practical limitations connected to the measurement system in terms of cost, weight and feasibility of sensor mounting (e.g. at muddline level 30m below the water level). This limitation is overcome by reconstructing the full-field response of the structure based on the limited number of measured accelerations and a calibrated Finite Element Model of the system. A modal decomposition and expansion approach is used for reconstructing the responses at all degrees of freedom of the finite element model. The paper will demonstrate the possibility to predict dynamic strains from acceleration measurements based on the aforementioned methodology. These virtual dynamic strains will then be evaluated and validated based on actual strain measurements obtained from a monitoring campaign on an offshore Vestas V90 3 MW wind turbine on a monopile foundation.
Offshore Oil: Environmental Impacts on Land and Sea
ERIC Educational Resources Information Center
Baldwin, Pamela L.
1974-01-01
Presents a counter position to that provided in SE 512 127 in which the author emphasizes that there are too many problems yet to be solved (related to offshore oil development) to proceed with full-scale development of offshore oil drilling. (PEB)
Matha, Denis; Sandner, Frank; Molins, Climent; Campos, Alexis; Cheng, Po Wen
2015-02-28
The current key challenge in the floating offshore wind turbine industry and research is on designing economic floating systems that can compete with fixed-bottom offshore turbines in terms of levelized cost of energy. The preliminary platform design, as well as early experimental design assessments, are critical elements in the overall design process. In this contribution, a brief review of current floating offshore wind turbine platform pre-design and scaled testing methodologies is provided, with a focus on their ability to accommodate the coupled dynamic behaviour of floating offshore wind systems. The exemplary design and testing methodology for a monolithic concrete spar platform as performed within the European KIC AFOSP project is presented. Results from the experimental tests compared to numerical simulations are presented and analysed and show very good agreement for relevant basic dynamic platform properties. Extreme and fatigue loads and cost analysis of the AFOSP system confirm the viability of the presented design process. In summary, the exemplary application of the reduced design and testing methodology for AFOSP confirms that it represents a viable procedure during pre-design of floating offshore wind turbine platforms. © 2015 The Author(s) Published by the Royal Society. All rights reserved.
Sensor Measurement Strategies for Monitoring Offshore Wind and Wave Energy Devices
NASA Astrophysics Data System (ADS)
O'Donnell, Deirdre; Srbinovsky, Bruno; Murphy, Jimmy; Popovici, Emanuel; Pakrashi, Vikram
2015-07-01
While the potential of offshore wind and wave energy devices is well established and accepted, operations and maintenance issues are still not very well researched or understood. In this regard, scaled model testing has gained popularity over time for such devices at various technological readiness levels. The dynamic response of these devices are typically measured by different instruments during such scaled tests but agreed sensor choice, measurement and placement guidelines are still not in place. This paper compared the dynamic responses of some of these sensors from a scaled ocean wave testing to highlight the importance of sensor measurement strategies. The possibility of using multiple, cheaper sensors of seemingly inferior performance as opposed to the deployment of a small number of expensive and accurate sensors are also explored. An energy aware adaptive sampling theory is applied to highlight the possibility of more efficient computing when large volumes of data are available from the tested structures. Efficient sensor measurement strategies are expected to have a positive impact on the development of an device at different technological readiness levels while it is expected to be helpful in reducing operation and maintenance costs if such an approach is considered for the devices when they are in operation.
NREL Software Aids Offshore Wind Turbine Designs (Fact Sheet)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
2013-10-01
NREL researchers are supporting offshore wind power development with computer models that allow detailed analyses of both fixed and floating offshore wind turbines. While existing computer-aided engineering (CAE) models can simulate the conditions and stresses that a land-based wind turbine experiences over its lifetime, offshore turbines require the additional considerations of variations in water depth, soil type, and wind and wave severity, which also necessitate the use of a variety of support-structure types. NREL's core wind CAE tool, FAST, models the additional effects of incident waves, sea currents, and the foundation dynamics of the support structures.
Stress state reassessment of Romanian offshore structures taking into account corrosion influence
NASA Astrophysics Data System (ADS)
Joavină, R.; Zăgan, S.; Zăgan, R.; Popa, M.
2017-08-01
Progressive degradation analysis for extraction or exploration offshore structure, with appraisal of failure potential and the causes that can be correlated with the service age, depends on the various sources of uncertainty that require particular attention in design, construction and exploitation phases. Romanian self erecting platforms are spatial lattice structures consist of tubular steel joints, forming a continuous system with an infinite number of dynamic degrees of freedom. Reassessment of a structure at fixed intervals of time, recorrelation of initial design elements with the actual situation encountered in location and with structural behaviour represents a major asset in lowering vulnerabilities of offshore structure. This paper proposes a comparative reassessment of the stress state for an offshore structure Gloria type, when leaving the shipyard and at the end of that interval corresponding to capital revision, taking into account sectional changes due to marine environment corrosion. The calculation was done using Newmark integration method on a 3D model, asses of the dynamic loads was made through probabilistic spectral method.
NASA Astrophysics Data System (ADS)
Ramp, S. R.; Davis, R. E.; Leonard, N. E.; Shulman, I.; Chao, Y.; Robinson, A. R.; Marsden, J.; Lermusiaux, P. F. J.; Fratantoni, D. M.; Paduan, J. D.; Chavez, F. P.; Bahr, F. L.; Liang, S.; Leslie, W.; Li, Z.
2009-02-01
The Autonomous Ocean Sampling Network Phase Two (AOSN-II) experiment was conducted in and offshore from the Monterey Bay on the central California coast during July 23-September 6, 2003. The objective of the experiment was to learn how to apply new tools, technologies, and analysis techniques to adaptively sample the coastal ocean in a manner demonstrably superior to traditional methodologies, and to use the information gathered to improve predictive skill for quantities of interest to end-users. The scientific goal was to study the upwelling/relaxation cycle near an open coastal bay in an eastern boundary current region, particularly as it developed and spread from a coastal headland. The suite of observational tools used included a low-flying aircraft, a fleet of underwater gliders, including several under adaptive autonomous control, and propeller-driven AUVs in addition to moorings, ships, and other more traditional hardware. The data were delivered in real time and assimilated into the Harvard Ocean Prediction System (HOPS), the Navy Coastal Ocean Model (NCOM), and the Jet Propulsion Laboratory implementation of the Regional Ocean Modeling System (JPL/ROMS). Two upwelling events and one relaxation event were sampled during the experiment. The upwelling in both cases began when a pool of cold water less than 13 °C appeared near Cape Año Nuevo and subsequently spread offshore and southward across the bay as the equatorward wind stress continued. The primary difference between the events was that the first event spread offshore and southward, while the second event spread only southward and not offshore. The difference is attributed to the position and strength of meanders and eddies of the California Current System offshore, which blocked or steered the cold upwelled water. The space and time scales of the mesoscale variability were much shorter than have been previously observed in deep-water eddies offshore. Additional process studies are needed to elucidate the dynamics of the flow.
NASA Astrophysics Data System (ADS)
Splinter, Kristen D.; Gonzalez, Maria V. G.; Oltman-Shay, Joan; Rutten, Jantien; Holman, Robert
2018-05-01
This contribution describes 10 years of observed sandbar and shoreline cross-shore position variability at a meso-tidal, high energy, multiple sandbar beach. To examine relationships between the temporal variability in shoreline/sandbar position with offshore wave forcing, a simple equilibrium model is applied to these data. The analysis presented in this paper shows that the equilibrium model is skilled at predicting the alongshore-averaged, time-varying position of the shoreline (R = 0.82) and the outer sandbar position (R = 0.75), suggesting that these end members of the nearshore sediment system are most strongly influenced by offshore wave forcing in a predictable, equilibrium-forced manner. The middle and inner bars are hypothesized to act as sediment transport pathways between the shoreline and the outer bar. Prediction of these more transient features by an equilibrium model was less skilful. Model coefficients reveal that these two end members (outer bar and shoreline) in the sediment system act in opposite directions to changes in the annual offshore wave forcing. During high wave events, sediment is removed from the shoreline and deposited in the nearshore sediment system with simultaneous landward retreat of the shoreline and offshore migration of the outer sandbar. While both end member features have cycles at annual and inter-annual scales, their respective equilibrium response factor differs by almost a factor of 10, with the shoreline responding around an inter-annual mean (ϕ = 1000 days) and the outer bar responding around a seasonal mean (ϕ = 170 days). The model accurately predicts shoreline response to both mild (e.g. 2004/05, 2008/09) and extreme (e.g. 2005/06, 2009/10) winter storms, as well as their summer recovery. The more mobile and dynamic outer sandbar is well-modelled during typical winters. Summer onshore sandbar migration of the outer bar in 2005 and 2006 is under-predicted as the system transitioned between a triple (winter) and double (summer) sandbar system. The changing of the number of bars present in the system is something that this simple model cannot predict. Analysis of the data suggests that this multi-bar system adjusts its cross-shore seasonal movement when there is a significant change in the sediment supply to the system (e.g., nourishment projects, severe storms).
NASA Astrophysics Data System (ADS)
Hong, Sinpyo; Lee, Inwon; Park, Seong Hyeon; Lee, Cheolmin; Chun, Ho-Hwan; Lim, Hee Chang
2015-09-01
An experimental study of the effect of mooring systems on the dynamics of a SPAR buoy-type floating offshore wind turbine is presented. The effects of the Center of Gravity (COG), mooring line spring constant, and fair-lead location on the turbine's motion in response to regular waves are investigated. Experimental results show that for a typical mooring system of a SPAR buoy-type Floating Offshore Wind Turbine (FOWT), the effect of mooring systems on the dynamics of the turbine can be considered negligible. However, the pitch decreases notably as the COG increases. The COG and spring constant of the mooring line have a negligible effect on the fairlead displacement. Numerical simulation and sensitivity analysis show that the wind turbine motion and its sensitivity to changes in the mooring system and COG are very large near resonant frequencies. The test results can be used to validate numerical simulation tools for FOWTs.
Understanding Quality Assurance: A Cross Country Case Study
ERIC Educational Resources Information Center
Choon Boey Lim, Fion
2008-01-01
Purpose: The purpose of this paper is to examine the level of understanding between an Australian university and its offshore partner institution, on quality assurance. It attempts to highlight the dynamics of quality assurance policy implementation within and across institutions for an offshore degree. Design/methodology/approach: The study used…
Pioneering offshore excellence
DOE Office of Scientific and Technical Information (OSTI.GOV)
Kent, R.P.; Grattan, L.
1996-11-01
Hibernia Management and Development Company Ltd. (HMDC) was formed in 1990 by a consortium of oil companies to develop their interests in the Hibernia and Avalon reservoirs offshore Newfoundland in a safe and environmentally responsible manner. The reservoirs are located 315km ESE of St. John`s in the North Atlantic. The water depth is about 80m. The entire Hibernia field is estimated to contain more than three billion barrels of oil in place and the owners development plan area is estimated to contain two billion barrels. Recoverable reserves are estimated to be approximately 615 million barrels. The Hibernia reservoir, the principlemore » reservoir, is located at an average depth of 3,700m. HMDC is building a large concrete gravity based structure (GBS) that which will support the platform drilling and processing facilities and living quarters for 280 personnel. In 1997 the platform will be towed to the production site and production will commence late 1997. Oil will be exported by a 2 km long pipeline to an offshore loading system. Dynamically positioned tankers will then take the oil to market. Average daily production is expected to plateau between 125,000 and 135,000 BOPD. It will be the first major development on the east coast of Canada and is located in an area that is prone to pack ice and icebergs.« less
NASA Astrophysics Data System (ADS)
Casas, David; Pimentel, Adriano; Pacheco, José; Martorelli, Eleonora; Sposato, Andrea; Ercilla, Gemma; Alonso, Belen; Chiocci, Francesco
2018-05-01
High-resolution bathymetric data and seafloor sampling were used to characterize the most recent volcanic eruption in the Azores region, the 1998-2001 Serreta submarine eruption. The vent of the eruption is proposed to be an asymmetric topographic high, composed of two coalescing volcanic cones, underlying the location where lava balloons had been observed at the sea surface during the eruption. The volcanic products related to the 1998-2001 eruption are constrained to an area of 0.5 km2 around the proposed vent position. A submarine Strombolian-style eruption producing basaltic lava balloons, ash and coarse scoriaceous materials with limited lateral dispersion led to the buildup of the cones. The 1998-2001 Serreta eruption shares many similarities with other intermediate-depth lava balloon-forming eruptions (e.g., the 1891 eruption offshore Pantelleria and the 2011-2012 eruption south of El Hierro), revealing the particular conditions needed for the production of this unusual and scarcely documented volcanic product.
Major deepwater pipelay vessel starts work in North Sea
DOE Office of Scientific and Technical Information (OSTI.GOV)
Heerema, E.P.
1998-05-04
Industry`s deepwater pipelaying capability has received a boost this year with the entry into the world`s fleet of Solitaire, a dynamically positioned pipelay vessel of about 350 m including stinger. The converted bulk carrier, formerly the Trentwood, will arrive on station in the North Sea and begin laying pipe this month on Statoil`s Europipe II project, a 600-km, 42-in. OD gas pipeline from Norway to Germany. Next year, the vessel will install pipe for the Exxon U.S.A.`s Gulf of Mexico South Diana development (East Breaks Block 945) in a water depth of 1,643 m and for Mobil Oil Canada asmore » part of the Sable Island Offshore and Energy Project offshore Nova Scotia. Using the S-lay mode, Solitaire is particularly well-suited for laying large lines economically, including the deepwater projects anticipated for the US Gulf of Mexico. Table 1 presents Solitaire`s technical specifications. The design, construction, pipelaying, and justification for building vessels such as the Solitaire are discussed.« less
Development of structural health monitoring techniques using dynamics testing
DOE Office of Scientific and Technical Information (OSTI.GOV)
James, G.H. III
Today`s society depends upon many structures (such as aircraft, bridges, wind turbines, offshore platforms, buildings, and nuclear weapons) which are nearing the end of their design lifetime. Since these structures cannot be economically replaced, techniques for structural health monitoring must be developed and implemented. Modal and structural dynamics measurements hold promise for the global non-destructive inspection of a variety of structures since surface measurements of a vibrating structure can provide information about the health of the internal members without costly (or impossible) dismantling of the structure. In order to develop structural health monitoring for application to operational structures, developments inmore » four areas have been undertaken within this project: operational evaluation, diagnostic measurements, information condensation, and damage identification. The developments in each of these four aspects of structural health monitoring have been exercised on a broad range of experimental data. This experimental data has been extracted from structures from several application areas which include aging aircraft, wind energy, aging bridges, offshore structures, structural supports, and mechanical parts. As a result of these advances, Sandia National Laboratories is in a position to perform further advanced development, operational implementation, and technical consulting for a broad class of the nation`s aging infrastructure problems.« less
Towards a mature offshore wind energy technology - guidelines from the opti-OWECS project
NASA Astrophysics Data System (ADS)
Kühn, M.; Bierbooms, W. A. A. M.; van Bussel, G. J. W.; Cockerill, T. T.; Harrison, R.; Ferguson, M. C.; Göransson, B.; Harland, L. A.; Vugts, J. H.; Wiecherink, R.
1999-01-01
The article reviews the main results of the recent European research project Opti-OWECS (Structural and Economic Optimisation of Bottom-Mounted Offshore Wind Energy Converters'), which has significantly improved the understanding of the requirements for a large-scale utilization of offshore wind energy. An integrated design approach was demonstrated for a 300 MW offshore wind farm at a demanding North Sea site. Several viable solutions were obtained and one was elaborated to include the design of all major components. Simultaneous structural and economic optimization took place during the different design stages. An offshore wind energy converter founded on a soft-soft monopile was tailored with respect to the distinct characteristics of dynamic wind and wave loading. The operation and maintenance behaviour of the wind farm was analysed by Monte Carlo simulations. With an optimized maintenance strategy and suitable hardware a high availability was achieved. Based upon the experience from the structural design, cost models for offshore wind farms were developed and linked to a European database of the offshore wind energy potential. This enabled the first consistent estimate of cost of offshore wind energy for entire European regions.
2016 Offshore Wind Technologies Market Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walter; Beiter, Philipp; Schwabe, Paul
The 2016 Offshore Wind Technologies Market Report was developed by the National Renewable Energy Laboratory (NREL) for the U.S. Department of Energy (DOE) and is intended to provide offshore wind policymakers, regulators, developers, researchers, engineers, financiers, and supply chain participants, with quantitative information about the offshore wind market, technology, and cost trends in the United States and worldwide. In particular, this report is intended to provide detailed information on the domestic offshore wind industry to provide context to help navigate technical and market barriers and opportunities. The scope of the report covers the status of the 111 operating offshore windmore » projects in the global fleet through December 31, 2016, and provides the status and analysis on a broader pipeline of 593 projects at some stage of development. In addition, this report provides a wider assessment of domestic developments and events through the second quarter of 2017 to provide a more up-to-date discussion of this dynamically evolving industry.« less
NASA Astrophysics Data System (ADS)
Goodridge, B.
2017-12-01
Dissolved organic carbon (DOC) is the largest pool of reduced carbon in the oceans, with a reservoir equivalent to atmospheric CO2. In nearshore marine regions, DOC sources include primary production, terrestrial DOC delivered by river discharge, and/or terrestrial and marine DOC delivered via submarine groundwater discharge (SGD). While the importance of SGD to coastal carbon cycling has been implicated, the actual influence of this process on nearshore carbon dynamics and offshore export has not been explicitly identified. This study, conducted at a predominantly marine-influenced intertidal beach-nearshore ocean system along the Santa Barbara, California coastline, aimed to address this knowledge gap. I coupled dark, temperature-controlled laboratory incubations, radioisotopic (Rn-222) SGD estimates, and a DOC box model to identify the influence of pore water mixing with seawater on nearshore DOC reactivity, concentration dynamics, and offshore export. Even with a relatively low volumetric contribution, SGD pore water mixing altered nearshore DOC reactivity, and elevated the nearshore DOC concentration by 0.9 to 5.6 µmol L-1 over nearshore seawater residence times ranging from 1 to 6 days. These elevated DOC concentrations were equivalent to 1.2 to 7.5% of the mean offshore DOC concentration taken during the summer months in the Santa Barbara Channel, when the coastal water column is highly thermally stratified. Despite the challenge of assessing carbon dynamics in physically and biogeochemically complex nearshore marine regions, this study demonstrates the need for future investigations to assess and account for SGD as a non-trivial component of coastal marine carbon cycles.
On Selective Harvesting of an Inshore-Offshore Fishery: A Bioeconomic Model
ERIC Educational Resources Information Center
Purohit, D.; Chaudhuri, K. S.
2004-01-01
A bioeconomic model is developed for the selective harvesting of a single species, inshore-offshore fishery, assuming that the growth of the species is governed by the Gompertz law. The dynamical system governing the fishery is studied in depth; the local and global stability of its non-trivial steady state are examined. Existence of a bionomic…
Development and Verification of the Soil-Pile Interaction Extension for SubDyn
DOE Office of Scientific and Technical Information (OSTI.GOV)
Damiani, Rick R; Wendt, Fabian F
SubDyn is the substructure structural-dynamics module for the aero-hydro-servo-elastic tool FAST v8. SubDyn uses a finite-element model (FEM) to simulate complex multimember lattice structures connected to conventional turbines and towers, and it can make use of the Craig-Bampton model reduction. Here we describe the newly added capability to handle soil-pile stiffness and compare results for monopile and jacket-based offshore wind turbines as obtained with FAST v8, SACS, and EDP (the latter two are modeling software packages commonly used in the offshore oil and gas industry). The level of agreement in terms of modal properties and loads for the entire offshoremore » wind turbine components is excellent, thus allowing SubDyn and FAST v8 to accurately simulate offshore wind turbines on fixed-bottom structures and accounting for the effect of soil dynamics, thus reducing risk to the project.« less
Federal Register 2010, 2011, 2012, 2013, 2014
2011-06-29
... have questions on viewing the docket, call Renee V. Wright, Program Manager, Docket Operations..., located just offshore of Mar Vista Restaurant in Longboat Key at position 27[deg]26'13'' N, 82[deg]40'45..., located on the Gulf of Mexico just offshore of Sand Bar Restaurant in Anna Maria at position 27[deg]31'35...
NASA Astrophysics Data System (ADS)
Kopp, Dorothée; Lefebvre, Sébastien; Cachera, Marie; Villanueva, Maria Ching; Ernande, Bruno
2015-01-01
Recent theoretical considerations have highlighted the importance of the pelagic-benthic coupling in marine food webs. In continental shelf seas, it was hypothesized that the trophic network structure may change along an inshore-offshore gradient due to weakening of the pelagic-benthic coupling from coastal to offshore areas. We tested this assumption empirically using the eastern English Channel (EEC) as a case study. We sampled organisms from particulate organic matter to predatory fishes and used baseline-corrected carbon and nitrogen stable isotope ratios (δ13C and δ15N) to determine their trophic position. First, hierarchical clustering on δ13C and δ15N coupled to bootstrapping and estimates of the relative contribution of pelagic and benthic carbon sources to consumers' diet showed that, at mesoscale, the EEC food web forms a continuum of four trophic levels with trophic groups spread across a pelagic and a benthic trophic pathway. Second, based on the same methods, a discrete approach examined changes in the local food web structure across three depth strata in order to investigate the inshore-offshore gradient. It showed stronger pelagic-benthic coupling in shallow coastal areas mostly due to a reorganization of the upper consumers relative to the two trophic pathways, benthic carbon sources being available to pelagic consumers and, reciprocally, pelagic sources becoming accessible to benthic species. Third a continuous approach examined changes in the mean and variance of upper consumers' δ13C and δ15N with depth. It detected a significant decrease in δ13C variance and a significant increase in δ15N variance as depth increases. A theoretical two-source mixing model showed that an inshore-offshore decrease in the pelagic-benthic coupling was a sufficient condition to produce the δ13C variance pattern, thus supporting the conclusions of the discrete approach. These results suggest that environmental gradients such as the inshore-offshore one should be accounted for to better understand marine food webs dynamics.
Semi-active control of monopile offshore wind turbines under multi-hazards
NASA Astrophysics Data System (ADS)
Sun, C.
2018-01-01
The present paper studies the control of monopile offshore wind turbines subjected to multi-hazards consisting of wind, wave and earthquake. A Semi-active tuned mass damper (STMD) with tunable natural frequency and damping ratio is introduced to control the dynamic response. A new fully coupled analytical model of the monopile offshore wind turbine with an STMD is established. The aerodynamic, hydrodynamic and seismic loading models are derived. Soil effects and damage are considered. The National Renewable Energy Lab monopile 5 MW baseline wind turbine model is employed to examine the performance of the STMD. A passive tuned mass damper (TMD) is utilized for comparison. Through numerical simulation, it is found that before damage occurs, the wind and wave induced response is more dominant than the earthquake induced response. With damage presence in the tower and the foundation, the nacelle and the tower response is increased dramatically and the natural frequency is decreased considerably. As a result, the passive TMD with fixed parameters becomes off-tuned and loses its effectiveness. In comparison, the STMD retuned in real-time demonstrates consistent effectiveness in controlling the dynamic response of the monopile offshore wind turbines under multi-hazards and damage with a smaller stroke.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Kim, MooHyun
2014-08-01
This report presents the development of offshore anchor data sets which are intended to be used to develop a database that allows preliminary selection and sizing of anchors for the conceptual design of floating offshore wind turbines (FOWTs). The study is part of a project entitled “Development of Mooring-Anchor Program in Public Domain for Coupling with Floater Program for FOWTs (Floating Offshore Wind Turbines)”, under the direction of Dr. Moo-Hyun Kim at the Texas A&M University and with the sponsorship from the US Department of Energy (Contract No. DE-EE0005479, CFDA # 81.087 for DE-FOA-0000415, Topic Area 1.3: Subsurface Mooring andmore » Anchoring Dynamics Models).« less
Analysis of ship maneuvering data from simulators
NASA Astrophysics Data System (ADS)
Frette, V.; Kleppe, G.; Christensen, K.
2011-03-01
We analyze complex manuevering histories of ships obtained from training sessions on bridge simulators. Advanced ships are used in fields like offshore oil exploration: dive support vessels, supply vessels, anchor handling vessels, tugs, cable layers, and multi-purpose vessels. Due to high demands from the operations carried out, these ships need to have very high maneuverability. This is achieved through a propulsion system with several thrusters, water jets, and rudders in addition to standard propellers. For some operations, like subsea maintenance, it is crucial that the ship accurately keeps a fixed position. Therefore, bridge systems usually incorporate equipment for Dynamic Positioning (DP). DP is a method to keep ships and semi submersible rigs in a fixed position using the propulsion systems instead of anchors. It may also be used for sailing a vessel from one position to another along a predefined route. Like an autopilot on an airplane, DP may operate without human involvement. The method relies on accurate determination of position from external reference systems like GPS, as well as a continuously adjusted mathematical model of the ship and external forces from wind, waves and currents. In a specific simulator exercise for offshore crews, a ship is to be taken up to an installation consisting of three nearby oil platforms connected by bridges (Frigg field, North Sea), where a subsea inspection is to be carried out. Due to the many degrees of freedom during maneuvering, including partly or full use of DP, the chosen routes vary significantly. In this poster we report preliminary results on representations of the complex maneuvering histories; representations that allow comparison between crew groups, and, possibly, sorting of the different strategic choices behind.
NASA Astrophysics Data System (ADS)
Kubota, T.; Saito, T.; Suzuki, W.; Hino, R.
2017-12-01
When an earthquake occurs in offshore region, ocean bottom pressure gauges (OBP) observe the low-frequency (> 400s) pressure change due to tsunami and also high-frequency (< 200 s) pressure change due to seismic waves (e.g. Filloux 1983; Matsumoto et al. 2012). When the period of the seafloor motion is sufficiently long (> 20 s), the relation between seafloor dynamic pressure change p and seafloor vertical acceleration az is approximately given as p=ρ0h0az (ρ0: seawater density, h0: sea depth) (e.g., Bolshakova et al. 2011; Matsumoto et al.,2012; Saito and Tsushima, 2016, JGR; Saito, 2017, GJI). Based on this relation, it is expected that OBP can be used as vertical accelerometers. If we use OBP deployed in offshore region as seismometer, the station coverage is improved and then the accuracy of the earthquake location is also improved. In this study, we analyzed seismograms together with seafloor dynamic pressure change records to estimate the CMT of the interplate earthquakes occurred at off the coast of Tohoku on 9 March, 2011 (Mw 7.3 and 6.5) (Kubota et al., 2017, EPSL), and discussed the estimation accuracy of the centroid horizontal location. When the dynamic pressure change recorded by OBP is used in addition to the seismograms, the horizontal location of CMT was reliably constrained. The centroid was located in the center of the rupture area estimated by the tsunami inversion analysis (Kubota et al., 2017). These CMTs had reverse-fault mechanisms consistent with the interplate earthquakes and well reproduces the dynamic pressure signals in the OBP records. Meanwhile, when we used only the inland seismometers, the centroids were estimated to be outside the rupture area. This study proved that the dynamic pressure change in OBP records are available as seismic-wave records, which greatly helped to investigate the source process of offshore earthquakes far from the coast.
NASA Astrophysics Data System (ADS)
Kubota, T.; Saito, T.; Suzuki, W.; Hino, R.
2016-12-01
When an earthquake occurs in offshore region, ocean bottom pressure gauges (OBP) observe the low-frequency (> 400s) pressure change due to tsunami and also high-frequency (< 200 s) pressure change due to seismic waves (e.g. Filloux 1983; Matsumoto et al. 2012). When the period of the seafloor motion is sufficiently long (> 20 s), the relation between seafloor dynamic pressure change p and seafloor vertical acceleration az is approximately given as p=ρ0h0az (ρ0: seawater density, h0: sea depth) (e.g., Bolshakova et al. 2011; Matsumoto et al.,2012; Saito and Tsushima, 2016, JGR; Saito, 2017, GJI). Based on this relation, it is expected that OBP can be used as vertical accelerometers. If we use OBP deployed in offshore region as seismometer, the station coverage is improved and then the accuracy of the earthquake location is also improved. In this study, we analyzed seismograms together with seafloor dynamic pressure change records to estimate the CMT of the interplate earthquakes occurred at off the coast of Tohoku on 9 March, 2011 (Mw 7.3 and 6.5) (Kubota et al., 2017, EPSL), and discussed the estimation accuracy of the centroid horizontal location. When the dynamic pressure change recorded by OBP is used in addition to the seismograms, the horizontal location of CMT was reliably constrained. The centroid was located in the center of the rupture area estimated by the tsunami inversion analysis (Kubota et al., 2017). These CMTs had reverse-fault mechanisms consistent with the interplate earthquakes and well reproduces the dynamic pressure signals in the OBP records. Meanwhile, when we used only the inland seismometers, the centroids were estimated to be outside the rupture area. This study proved that the dynamic pressure change in OBP records are available as seismic-wave records, which greatly helped to investigate the source process of offshore earthquakes far from the coast.
Impact of coastal processes on resource development with an example from Icy Bay, Alaska
Molnia, Bruce F.
1978-01-01
The coastline of Alaska is dynamic and continually readjusting to changes in the many processes that operate in the coastal zone. Because of this dynamic nature, special consideration must be made in planning for development, and. caution must be exercised in site selection for facilities to be emplaced in the coastal zone. All types of coastal processes from continuously active normal processes to the low frequency-high intensity rare event must be considered. Site-specific evaluation-s considering the broad range of possible processes must precede initiation of development. An example of the relation between coastal processes and a proposed resource treatment facility is presented for Icy Bay, Alaska. Icy Bay is the only sheltered bay near many of the offshore tracts leased for petroleum exploration in the 1976 northern Gulf of Alaska OCS (Outer Continental Shelf) lease sale. Consequently, it has been selected as a primary onshore staging site for the support of offshore exploration and development. The environment of Icy Bay has many potentially hazardous features, including a submarine moraine at the bay mouth and actively calving glaciers at the bay's head which produce many icebergs. But most significant from the point of view of locating onshore facilities and pipeline corridors are the high rates of shoreline erosion and sediment deposition. If pipelines or any onshore staging facilities are to be placed in the coastal areas of Icy Bay, then the dynamic changes in shoreline position must be considered so that man-made structures will not be eroded away or be silted in before the completion of development.
NASA Astrophysics Data System (ADS)
Rohmer, Jeremy; Idier, Deborah; Bulteau, Thomas; Paris, François
2016-04-01
From a risk management perspective, it can be of high interest to identify the critical set of offshore conditions that lead to inundation on key assets for the studied territory (e.g., assembly points, evacuation routes, hospitals, etc.). This inverse approach of risk assessment (Idier et al., NHESS, 2013) can be of primary importance either for the estimation of the coastal flood hazard return period or for constraining the early warning networks based on hydro-meteorological forecast or observations. However, full-process based models for coastal flooding simulation have very large computational time cost (typically of several hours), which often limits the analysis to a few scenarios. Recently, it has been shown that meta-modelling approaches can efficiently handle this difficulty (e.g., Rohmer & Idier, NHESS, 2012). Yet, the full-process based models are expected to present strong non-linearities (non-regularities) or shocks (discontinuities), i.e. dynamics controlled by thresholds. For instance, in case of coastal defense, the dynamics is characterized first by a linear behavior of the waterline position (increase with increasing offshore conditions), as long as there is no overtopping, and then by a very strong increase (as soon as the offshore conditions are energetic enough to lead to wave overtopping, and then overflow). Such behavior might make the training phase of the meta-model very tedious. In the present study, we propose to explore the feasibility of active learning techniques, aka semi-supervised machine learning, to track the set of critical conditions with a reduced number of long-running simulations. The basic idea relies on identifying the simulation scenarios which should both reduce the meta-model error and improve the prediction of the critical contour of interest. To overcome the afore-described difficulty related to non-regularity, we rely on Support Vector Machines, which have shown very high performance for structural reliability assessment. The developments are done on a cross-shore case, using the process-based SWASH model. The related computational time is 10 hours for a single run. The dynamic forcing conditions are parametrized by several factors (storm surge S, significant wave height Hs, dephasing between tide and surge, etc.). In particular, we validated the approach with respect to a reference set of 400 long-running simulations in the domain of (S ; Hs). Our tests showed that the tracking of the critical contour can be achieved with a reasonable number of long-running simulations of a few tens.
Artificial reef effect in relation to offshore renewable energy conversion: state of the art.
Langhamer, Olivia
2012-01-01
The rapid worldwide growth of offshore renewable energy production will provide marine organisms with new hard substrate for colonization, thus acting as artificial reefs. The artificial reef effect is important when constructing, for example, scour protections since it can generate an enhanced habitat. Specifically, artificial structures can create increased heterogeneity in the area important for species diversity and density. Offshore energy installations also have the positive side effect as they are a sanctuary area for trawled organisms. Higher survival of fish and bigger fish is an expected outcome that can contribute to a spillover to outer areas. One negative side effect is that invasive species can find new habitats in artificial reefs and thus influence the native habitats and their associated environment negatively. Different scour protections in offshore wind farms can create new habitats compensating for habitat loss by offshore energy installations. These created habitats differ from the lost habitat in species composition substantially. A positive reef effect is dependent on the nature and the location of the reef and the characteristics of the native populations. An increase in surface area of scour protections by using specially designed material can also support the reef effect and its productivity.
Artificial Reef Effect in relation to Offshore Renewable Energy Conversion: State of the Art
2012-01-01
The rapid worldwide growth of offshore renewable energy production will provide marine organisms with new hard substrate for colonization, thus acting as artificial reefs. The artificial reef effect is important when constructing, for example, scour protections since it can generate an enhanced habitat. Specifically, artificial structures can create increased heterogeneity in the area important for species diversity and density. Offshore energy installations also have the positive side effect as they are a sanctuary area for trawled organisms. Higher survival of fish and bigger fish is an expected outcome that can contribute to a spillover to outer areas. One negative side effect is that invasive species can find new habitats in artificial reefs and thus influence the native habitats and their associated environment negatively. Different scour protections in offshore wind farms can create new habitats compensating for habitat loss by offshore energy installations. These created habitats differ from the lost habitat in species composition substantially. A positive reef effect is dependent on the nature and the location of the reef and the characteristics of the native populations. An increase in surface area of scour protections by using specially designed material can also support the reef effect and its productivity. PMID:23326215
NASA Astrophysics Data System (ADS)
Xie, Chi; Zhou, Yingying; Wang, Gangjin; Yan, Xinguo
We use the multifractal detrended cross-correlation analysis (MF-DCCA) method to explore the multifractal behavior of the cross-correlation between exchange rates of onshore RMB (CNY) and offshore RMB (CNH) against US dollar (USD). The empirical data are daily prices of CNY/USD and CNH/USD from May 1, 2012 to February 29, 2016. The results demonstrate that: (i) the cross-correlation between CNY/USD and CNH/USD is persistent and its fluctuation is smaller when the order of fluctuation function is negative than that when the order is positive; (ii) the multifractal behavior of the cross-correlation between CNY/USD and CNH/USD is significant during the sample period; (iii) the dynamic Hurst exponents obtained by the rolling windows analysis show that the cross-correlation is stable when the global economic situation is good and volatile in bad situation; and (iv) the non-normal distribution of original data has a greater effect on the multifractality of the cross-correlation between CNY/USD and CNH/USD than the temporary correlation.
NASA Astrophysics Data System (ADS)
Powell, Jesse R.; Ohman, Mark D.
2015-05-01
We report cross-frontal changes in the characteristics of plankton proxy variables measured by autonomous Spray ocean gliders operating within the Southern California Current System (SCCS). A comparison of conditions across the 154 positive frontal gradients (i.e., where density of the surface layer decreased in the offshore direction) identified from six years of continuous measurements showed that waters on the denser side of the fronts typically showed higher Chl-a fluorescence, shallower euphotic zones, and higher acoustic backscatter than waters on the less dense side. Transitions between these regions were relatively abrupt. For positive fronts the amplitude of Diel Vertical Migration (DVM), inferred from a 3-beam 750 kHz acoustic Doppler profiler, increased offshore of fronts and covaried with optical transparency of the water column. Average interbeam variability in acoustic backscatter also changed across many positive fronts within 3 depth strata (0-150 m, 150-400 m, and 400-500 m), revealing a front-related change in the acoustic scattering characteristics of the assemblages. The extent of vertical stratification of distinct scattering assemblages was also more pronounced offshore of positive fronts. Depth-stratified zooplankton samples collected by Mocness nets corroborated the autonomous measurements, showing copepod-dominated assemblages and decreased zooplankton body sizes offshore and euphausiid-dominated assemblages with larger median body sizes inshore of major frontal features.
Nonlinear soil parameter effects on dynamic embedment of offshore pipeline on soft clay
NASA Astrophysics Data System (ADS)
Yu, Su Young; Choi, Han Suk; Lee, Seung Keon; Park, Kyu-Sik; Kim, Do Kyun
2015-06-01
In this paper, the effects of nonlinear soft clay on dynamic embedment of offshore pipeline were investigated. Seabed embedment by pipe-soil interactions has impacts on the structural boundary conditions for various subsea structures such as pipeline, riser, pile, and many other systems. A number of studies have been performed to estimate real soil behavior, but their estimation of seabed embedment has not been fully identified and there are still many uncertainties. In this regards, comparison of embedment between field survey and existing empirical models has been performed to identify uncertainties and investigate the effect of nonlinear soil parameter on dynamic embedment. From the comparison, it is found that the dynamic embedment with installation effects based on nonlinear soil model have an influence on seabed embedment. Therefore, the pipe embedment under dynamic condition by nonlinear parameters of soil models was investigated by Dynamic Embedment Factor (DEF) concept, which is defined as the ratio of the dynamic and static embedment of pipeline, in order to overcome the gap between field embedment and currently used empirical and numerical formula. Although DEF through various researches is suggested, its range is too wide and it does not consider dynamic laying effect. It is difficult to find critical parameters that are affecting to the embedment result. Therefore, the study on dynamic embedment factor by soft clay parameters of nonlinear soil model was conducted and the sensitivity analyses about parameters of nonlinear soil model were performed as well. The tendency on dynamic embedment factor was found by conducting numerical analyses using OrcaFlex software. It is found that DEF was influenced by shear strength gradient than other factors. The obtained results will be useful to understand the pipe embedment on soft clay seabed for applying offshore pipeline designs such as on-bottom stability and free span analyses.
Dynamic Positioning System (DPS) Risk Analysis Using Probabilistic Risk Assessment (PRA)
NASA Technical Reports Server (NTRS)
Thigpen, Eric B.; Boyer, Roger L.; Stewart, Michael A.; Fougere, Pete
2017-01-01
The National Aeronautics and Space Administration (NASA) Safety & Mission Assurance (S&MA) directorate at the Johnson Space Center (JSC) has applied its knowledge and experience with Probabilistic Risk Assessment (PRA) to projects in industries ranging from spacecraft to nuclear power plants. PRA is a comprehensive and structured process for analyzing risk in complex engineered systems and/or processes. The PRA process enables the user to identify potential risk contributors such as, hardware and software failure, human error, and external events. Recent developments in the oil and gas industry have presented opportunities for NASA to lend their PRA expertise to both ongoing and developmental projects within the industry. This paper provides an overview of the PRA process and demonstrates how this process was applied in estimating the probability that a Mobile Offshore Drilling Unit (MODU) operating in the Gulf of Mexico and equipped with a generically configured Dynamic Positioning System (DPS) loses location and needs to initiate an emergency disconnect. The PRA described in this paper is intended to be generic such that the vessel meets the general requirements of an International Maritime Organization (IMO) Maritime Safety Committee (MSC)/Circ. 645 Class 3 dynamically positioned vessel. The results of this analysis are not intended to be applied to any specific drilling vessel, although provisions were made to allow the analysis to be configured to a specific vessel if required.
A framework for offshore vendor capability development
NASA Astrophysics Data System (ADS)
Yusuf Wibisono, Yogi; Govindaraju, Rajesri; Irianto, Dradjad; Sudirman, Iman
2016-02-01
Offshore outsourcing is a common practice conducted by companies, especially in developed countries, by relocating one or more their business processes to other companies abroad, especially in developing countries. This practice grows rapidly owing to the ease of accessing qualified vendors with a lower cost. Vendors in developing countries compete more intensely to acquire offshore projects. Indonesia is still below India, China, Malaysia as main global offshore destinations. Vendor capability is among other factors that contribute to the inability of Indonesian vendor in competing with other companies in the global market. Therefore, it is essential to study how to increase the vendor's capability in Indonesia, in the context of global offshore outsourcing. Previous studies on the vendor's capability mainly focus on capabilities without considering the dynamic of capabilities due to the environmental changes. In order to be able to compete with competitors and maintain the competitive advantage, it is necessary for vendors to develop their capabilities continuously. The purpose of this study is to develop a framework that describes offshore vendor capability development along the client-vendor relationship stages. The framework consists of three main components, i.e. the stages of client-vendor relationship, the success of each stage, and the capabilities of vendor at each stage.
Stenehjem, Jo S; Friesen, Melissa C; Eggen, Tone; Kjærheim, Kristina; Bråtveit, Magne; Grimsrud, Tom K
2016-01-01
The objective of this study was to examine self-reported frequency of occupational exposure reported by 28,000 Norwegian offshore oil workers in a 1998 survey. Predictors of self-reported exposure frequency were identified to aid future refinements of an expert-based job-exposure-time matrix (JEM). We focus here on reported frequencies for skin contact with oil and diesel, exposure to oil vapor from shaker, to exhaust fumes, vapor from mixing chemicals used for drilling, natural gas, chemicals used for water injection and processing, and to solvent vapor. Exposure frequency was reported by participants as the exposed proportion of the work shift, defined by six categories, in their current or last position offshore (between 1965 and 1999). Binary Poisson regression models with robust variance were used to examine the probabilities of reporting frequent exposure (≥¼ vs. <¼ of work shift) according to main activity, time period, supervisory position, type of company, type of installation, work schedule, and education. Holding a non-supervisory position, working shifts, being employed in the early period of the offshore industry, and having only compulsory education increased the probability of reporting frequent exposure. The identified predictors and group-level patterns may aid future refinement of the JEM previously developed for the present cohort. PMID:25671393
Stenehjem, Jo S; Friesen, Melissa C; Eggen, Tone; Kjærheim, Kristina; Bråtveit, Magne; Grimsrud, Tom K
2015-01-01
The objective of this study was to examine self-reported frequency of occupational exposure reported by 28,000 Norwegian offshore oil workers in a 1998 survey. Predictors of self-reported exposure frequency were identified to aid future refinements of an expert-based job-exposure-time matrix (JEM). We focus here on reported frequencies for skin contact with oil and diesel; exposure to oil vapor from shaker, to exhaust fumes, vapor from mixing chemicals used for drilling, natural gas, chemicals used for water injection and processing, and to solvent vapor. Exposure frequency was reported by participants as the exposed proportion of the work shift, defined by six categories, in their current or last position offshore (between 1965 and 1999). Binary Poisson regression models with robust variance were used to examine the probabilities of reporting frequent exposure (≥¼ vs. <¼ of work shift) according to main activity, time period, supervisory position, type of company, type of installation, work schedule, and education. Holding a non-supervisory position, working shifts, being employed in the early period of the offshore industry, and having only compulsory education increased the probability of reporting frequent exposure. The identified predictors and group-level patterns may aid future refinement of the JEM previously developed for the present cohort.
NASA Astrophysics Data System (ADS)
Kumar, M. Ajay; Srikanth, N. V.
2015-01-01
The voltage source converter (VSC) based multiterminal high voltage direct current (MTDC) transmission system is an interesting technical option to integrate offshore wind farms with the onshore grid due to its unique performance characteristics and reduced power loss via extruded DC cables. In order to enhance the reliability and stability of the MTDC system, an adaptive neuro fuzzy inference system (ANFIS) based coordinated control design has been addressed in this paper. A four terminal VSC-MTDC system which consists of an offshore wind farm and oil platform is implemented in MATLAB/ SimPowerSystems software. The proposed model is tested under different fault scenarios along with the converter outage and simulation results show that the novel coordinated control design has great dynamic stabilities and also the VSC-MTDC system can supply AC voltage of good quality to offshore loads during the disturbances.
NASA Astrophysics Data System (ADS)
McGinty, N.; Johnson, M. P.; Power, A. M.
2012-07-01
Population dynamics in open systems are complicated by the interactions of local demography and local environmental forcing with processes occurring at larger scales. A local system such as an estuary or bay may contain a zooplankton population that effectively becomes independent of regional dynamics or the local dynamics may be closely coupled to a broader scale pattern. As an alternative, the details of migration and advection may mean that dynamics in a local system are coupled to other specific areas rather than tracking the overall dynamics at a larger scale. We used a reconstructed time series (1973-1987) for copepod taxa to examine the extent to which zooplankton dynamics in Galway Bay reflect processes in broader areas of the NE Atlantic. Continuous Plankton Recorder (CPR) counts were used to establish time series for nine offshore ecoregions, with the regions themselves defined using underlying patterns of chlorophyll variability. The open nature of Galway Bay was reflected in strong associations between bay zooplankton counts and offshore CPR data in a majority of cases (7/10). For each zooplankton taxon, there were large differences among regions in the degree of association with Galway Bay time series. Akaike weights indicated that one ecoregion tended to be the dominant link for each taxon. This indicates that the zooplankton of the Bay reflect more than the local modification of a regional signal and that different zooplankton in the bay may have separate source regions. The data from Galway Bay also fall within a 'sampling shadow' of the CPR. Later years of the time series showed evidence for changes in phenology, with spring zooplankton peaks generally occurring earlier in the year for smaller species.
Satellite data lift the veil on offshore platforms in the South China Sea
NASA Astrophysics Data System (ADS)
Liu, Yongxue; Sun, Chao; Sun, Jiaqi; Li, Hongyi; Zhan, Wenfeng; Yang, Yuhao; Zhang, Siyu
2016-09-01
Oil and gas exploration in the South China Sea (SCS) has garnered global attention recently; however, uncertainty regarding the accurate number of offshore platforms in the SCS, let alone their detailed spatial distribution and dynamic change, may lead to significant misjudgment of the true status of offshore hydrocarbon production in the region. Using both fresh and archived space-borne images with multiple resolutions, we enumerated the number, distribution, and annual rate of increase of offshore platforms across the SCS. Our results show that: (1) a total of 1082 platforms are present in the SCS, mainly located in shallow-water; and (2) offshore oil/gas exploitation in the SCS is increasing in intensity and advancing from shallow to deep water, and even to ultra-deep-water. Nevertheless, our findings suggest that oil and gas exploration in the SCS may have been over-estimated by one-third in previous reports. However, this overestimation does not imply any amelioration of the potential for future maritime disputes, since the rate of increase of platforms in disputed waters is twice that in undisputed waters.
Quantifying the Benefits of Combining Offshore Wind and Wave Energy
NASA Astrophysics Data System (ADS)
Stoutenburg, E.; Jacobson, M. Z.
2009-12-01
For many locations the offshore wind resource and the wave energy resource are collocated, which suggests a natural synergy if both technologies are combined into one offshore marine renewable energy plant. Initial meteorological assessments of the western coast of the United States suggest only a weak correlation in power levels of wind and wave energy at any given hour associated with the large ocean basin wave dynamics and storm systems of the North Pacific. This finding indicates that combining the two power sources could reduce the variability in electric power output from a combined wind and wave offshore plant. A combined plant is modeled with offshore wind turbines and Pelamis wave energy converters with wind and wave data from meteorological buoys operated by the US National Buoy Data Center off the coast of California, Oregon, and Washington. This study will present results of quantifying the benefits of combining wind and wave energy for the electrical power system to facilitate increased renewable energy penetration to support reductions in greenhouse gas emissions, and air and water pollution associated with conventional fossil fuel power plants.
Satellite data lift the veil on offshore platforms in the South China Sea
Liu, Yongxue; Sun, Chao; Sun, Jiaqi; Li, Hongyi; Zhan, Wenfeng; Yang, Yuhao; Zhang, Siyu
2016-01-01
Oil and gas exploration in the South China Sea (SCS) has garnered global attention recently; however, uncertainty regarding the accurate number of offshore platforms in the SCS, let alone their detailed spatial distribution and dynamic change, may lead to significant misjudgment of the true status of offshore hydrocarbon production in the region. Using both fresh and archived space-borne images with multiple resolutions, we enumerated the number, distribution, and annual rate of increase of offshore platforms across the SCS. Our results show that: (1) a total of 1082 platforms are present in the SCS, mainly located in shallow-water; and (2) offshore oil/gas exploitation in the SCS is increasing in intensity and advancing from shallow to deep water, and even to ultra-deep-water. Nevertheless, our findings suggest that oil and gas exploration in the SCS may have been over-estimated by one-third in previous reports. However, this overestimation does not imply any amelioration of the potential for future maritime disputes, since the rate of increase of platforms in disputed waters is twice that in undisputed waters. PMID:27641542
Application of GNSS Methods for Monitoring Offshore Platform Deformation
NASA Astrophysics Data System (ADS)
Myint, Khin Cho; Nasir Matori, Abd; Gohari, Adel
2018-03-01
Global Navigation Satellite System (GNSS) has become a powerful tool for high-precision deformation monitoring application. Monitoring of deformation and subsidence of offshore platform due to factors such as shallow gas phenomena. GNSS is the technical interoperability and compatibility between various satellite navigation systems such as modernized GPS, Galileo, reconstructed GLONASS to be used by civilian users. It has been known that excessive deformation affects platform structurally, causing loss of production and affects the efficiency of the machinery on board the platform. GNSS have been proven to be one of the most precise positioning methods where by users can get accuracy to the nearest centimeter of a given position from carrier phase measurement processing of GPS signals. This research is aimed at using GNSS technique, which is one of the most standard methods to monitor the deformation of offshore platforms. Therefore, station modeling, which accounts for the spatial correlated errors, and hence speeds up the ambiguity resolution process is employed. It was found that GNSS combines the high accuracy of the results monitoring the offshore platforms deformation with the possibility of survey.
Gibson Smith, Kathrine; Paudyal, Vibhu; Klein, Susan; Stewart, Derek
2018-05-01
The high risk nature of offshore work and inherent occupational hazards necessitate that offshore workers engage in behaviours that promote health and wellbeing. The survey aimed to assess offshore workers' health, self-care, quality of life and mental wellbeing, and to identify associated areas requiring behaviour change. Offshore workers attending a course at a training facility in Scotland were invited to complete a questionnaire comprising 11 validated measures of health, self-care, quality of life and mental wellbeing. A total of 352 offshore workers responded (completion rate 45.4%). Almost three-quarters were identified as overweight/obese (n=236, 74.4%). Median scores for SF-8 quality of life (physical=56.1, interquartile range (IQR)=4.8; mental=54.7, IQR=8.1) and Warwick-Edinburgh Mental Wellbeing scales were positive (52.0, IQR=9.0). The largest proportion of participants' scores across alcohol use (n=187, 53.4%) and sleep quality (n=229, 67.0%) domains were categorised as negative. The median number of self-care domains for which offshore workers scored negatively was 3 (IQR=2.0). There are key areas relating to the health, quality of life, mental wellbeing and self-care of the offshore workforce that warrant addressing.
Browning, J. R.; Jonkman, J.; Robertson, A.; ...
2014-12-16
In this study, high-quality computer simulations are required when designing floating wind turbines because of the complex dynamic responses that are inherent with a high number of degrees of freedom and variable metocean conditions. In 2007, the FAST wind turbine simulation tool, developed and maintained by the U.S. Department of Energy's (DOE's) National Renewable Energy Laboratory (NREL), was expanded to include capabilities that are suitable for modeling floating offshore wind turbines. In an effort to validate FAST and other offshore wind energy modeling tools, DOE funded the DeepCwind project that tested three prototype floating wind turbines at 1/50 th scalemore » in a wave basin, including a semisubmersible, a tension-leg platform, and a spar buoy. This paper describes the use of the results of the spar wave basin tests to calibrate and validate the FAST offshore floating simulation tool, and presents some initial results of simulated dynamic responses of the spar to several combinations of wind and sea states. Wave basin tests with the spar attached to a scale model of the NREL 5-megawatt reference wind turbine were performed at the Maritime Research Institute Netherlands under the DeepCwind project. This project included free-decay tests, tests with steady or turbulent wind and still water (both periodic and irregular waves with no wind), and combined wind/wave tests. The resulting data from the 1/50th model was scaled using Froude scaling to full size and used to calibrate and validate a full-size simulated model in FAST. Results of the model calibration and validation include successes, subtleties, and limitations of both wave basin testing and FAST modeling capabilities.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Jeffries, H. P.
Distributions of organic constituents in marine communities should yield a worldwide classification scheme within which any localized phenomena would be immediately apparent. This idea was tested on the zooplankton along an environmental gradient extending from Rhode Island Sound, through Narragansett Bay and into its polluted tributary, the Providence River. On the basis of fatty acid composition, both the macro- and microzooplankton could be precisely classified to the habitat of origin. Biochemically the microzooplankton changed uniformly with respect to linear distance though the riverine, estuarine and offshore habitats. In macrozooplankton, the relation between biochemical change and linear distance from the rivermore » seaward was a power curve: sharply changing at first, becoming more nearly constant offshore. Particulate pollution in the river merely reinforced natural fatty acid sources in the zooplankton's food - part of a pattern in which environmentally induced effects were expressed inshore, genetic influences offshore. In each habitat species diversity was inversely related to the community's stability of fatty acid composition. These estimates revealed greatest dynamical robustness in the prolific yet simple riverine zooplankton, suggesting that the stable domain of parameter space was likewise greater here than offshore. Despite its diversity, microzooplankton was more dynamically fragile than the macrozooplankton, in agreement with current theory on the stability of communities. We conclude that monomeric composition offers a basic rationale for characterizing the sensitivities of natural communities to environmental change.« less
Observations and a model of undertow over the inner continental shelf
Lentz, Steven J.; Fewings, Melanie; Howd, Peter; Fredericks, Janet; Hathaway, Kent
2008-01-01
Onshore volume transport (Stokes drift) due to surface gravity waves propagating toward the beach can result in a compensating Eulerian offshore flow in the surf zone referred to as undertow. Observed offshore flows indicate that wave-driven undertow extends well offshore of the surf zone, over the inner shelves of Martha’s Vineyard, Massachusetts, and North Carolina. Theoretical estimates of the wave-driven offshore transport from linear wave theory and observed wave characteristics account for 50% or more of the observed offshore transport variance in water depths between 5 and 12 m, and reproduce the observed dependence on wave height and water depth.During weak winds, wave-driven cross-shelf velocity profiles over the inner shelf have maximum offshore flow (1–6 cm s−1) and vertical shear near the surface and weak flow and shear in the lower half of the water column. The observed offshore flow profiles do not resemble the parabolic profiles with maximum flow at middepth observed within the surf zone. Instead, the vertical structure is similar to the Stokes drift velocity profile but with the opposite direction. This vertical structure is consistent with a dynamical balance between the Coriolis force associated with the offshore flow and an along-shelf “Hasselmann wave stress” due to the influence of the earth’s rotation on surface gravity waves. The close agreement between the observed and modeled profiles provides compelling evidence for the importance of the Hasselmann wave stress in forcing oceanic flows. Summer profiles are more vertically sheared than either winter profiles or model profiles, for reasons that remain unclear.
Oil and gas in offshore tracts: estimates before and after drilling.
Uman, M F; James, W R; Tomlinson, H R
1979-08-03
Estimates of volumes of recoverable hydrocarbons underlying offshore tracts are made by the U.S. Geological Survey prior to the sale of leases and after drilling on those leases. Comparisons of these estimates show a moderate positive correlation and no evidence for relative bias, although the precision of the predictions is quite limnited.
Oil and gas in offshore tracts: Estimates before and after drilling
Uman, M.F.; James, W.R.; Tomlinson, H.R.
1979-01-01
Estimates of volumes of recoverable hydrocarbons underlying offshore tracts are made by the U.S. Geological Survey prior to the sale of leases and after drilling on those leases. Comparisons of these estimates show a moderate positive correlation and no evidence for relative bias, although the precision of the predictions is quite limited. Copyright ?? 1979 AAAS.
Changes in upwelling and surface productivity in the Eastern Pacific during Terminations I and II
NASA Astrophysics Data System (ADS)
Erdem, Z.; De Bar, M.; Stolwijk, D.; Schneider, R. R.; S Sinninghe Damsté, J.; Schouten, S.
2017-12-01
The Eastern Pacific coastal system is characterized by intense upwelling and consequently by an enhanced surface primary productivity. Combination of this high organic matter flux with sluggish bottom water ventilation results in one of the most pronounced oxygen minimum zones reaching from offshore California in the North to offshore Chile in the South. As a result of this process, the region is particularly interesting in view of nutrient and carbon cycling as well as ecosystem dynamics. The dynamics of the upwelling and oxygen concentrations are closely related to climatic conditions. Therefore, paleo-reconstructions of different settings are crucial in order to improve our understanding of the response of these nutrient-rich, oxygen-deficient, environments in relation to the recent global ocean warming, acidification and deoxygenation. In this study, we present downcore results from three different sites in the Eastern Pacific: offshore California (IODP site 1012), Peru (M77/2-52-2) and Chile (IODP site 1234). We applied different biomarkers as proxies to decipher changes in phytoplankton community composition, including the upwelling index based on long chain diols, and other common productivity indicators such as bulk organic carbon, carbonate and biogenic opal. In addition, application of carbon and nitrogen isotope ratios of total organic carbon and benthic foraminifera complement our multiproxy approach. Herewith we aim to compare at least two glacial-interglacial transitions with different magnitudes of deglacial warming along the Eastern Pacific upwelling systems at different latitudes. The data presented will cover the last 160 ka BP offshore California and Chile, and 30 ka BP offshore Peru enabling comparison between glacial Terminations I and II.
NASA Astrophysics Data System (ADS)
Bauer, J. R.; Rose, K.; Romeo, L.; Barkhurst, A.; Nelson, J.; Duran-Sesin, R.; Vielma, J.
2016-12-01
Efforts to prepare for and reduce the risk of hazards, from both natural and anthropogenic sources, which threaten our oceans and coasts requires an understanding of the dynamics and interactions between the physical, ecological, and socio-economic systems. Understanding these coupled dynamics are essential as offshore oil & gas exploration and production continues to push into harsher, more extreme environments where risks and uncertainty increase. However, working with these large, complex data from various sources and scales to assess risks and potential impacts associated with offshore energy exploration and production poses several challenges to research. In order to address these challenges, an integrated assessment model (IAM) was developed at the Department of Energy's (DOE) National Energy Technology Laboratory (NETL) that combines spatial data infrastructure and an online research platform to manage, process, analyze, and share these large, multidimensional datasets, research products, and the tools and models used to evaluate risk and reduce uncertainty for the entire offshore system, from the subsurface, through the water column, to coastal ecosystems and communities. Here, we will discuss the spatial data infrastructure and online research platform, NETL's Energy Data eXchange (EDX), that underpin the offshore IAM, providing information on how the framework combines multidimensional spatial data and spatio-temporal tools to evaluate risks to the complex matrix of potential environmental, social, and economic impacts stemming from modeled offshore hazard scenarios, such as oil spills or hurricanes. In addition, we will discuss the online analytics, tools, and visualization methods integrated into this framework that support availability and access to data, as well as allow for the rapid analysis and effective communication of analytical results to aid a range of decision-making needs.
NASA Astrophysics Data System (ADS)
Chouvelon, T.; Schaal, G.; Grall, J.; Pernet, F.; Perdriau, M.; A-Pernet, E. J.; Le Bris, H.
2015-11-01
Anthropogenic activities and land-based inputs into the sea may influence the trophic structure and functioning of coastal and continental shelf ecosystems, despite the numerous opportunities and services the latter offer to humans and wildlife. In addition, hydrological structures and physical dynamics potentially influence the sources of organic matter (e.g., terrestrial versus marine, or fresh material versus detrital material) entering marine food webs. Understanding the significance of the processes that influence marine food webs and ecosystems (e.g., terrestrial inputs, physical dynamics) is crucially important because trophic dynamics are a vital part of ecosystem integrity. This can be achieved by identifying organic matter sources that enter food webs along inshore-offshore transects. We hypothesised that regional hydrological structures over wide continental shelves directly control the benthic trophic functioning across the shelf. We investigated this issue along two transects in the northern ecosystem of the Bay of Biscay (north-eastern Atlantic). Carbon and nitrogen stable isotope analysis (SIA) and fatty acid analysis (FAA) were conducted on different complementary ecosystem compartments that include suspended particulate organic matter (POM), sedimentary organic matter (SOM), and benthic consumers such as bivalves, large crustaceans and demersal fish. Samples were collected from inshore shallow waters (at ∼1 m in depth) to more than 200 m in depth on the offshore shelf break. Results indicated strong discrepancies in stable isotope (SI) and fatty acid (FA) compositions in the sampled compartments between inshore and offshore areas, although nitrogen SI (δ15N) and FA trends were similar along both transects. Offshore the influence of a permanently stratified area (described previously as a ;cold pool;) was evident in both transects. The influence of this hydrological structure on benthic trophic functioning (i.e., on the food sources available for consumers) was especially apparent across the northern transect, due to unusual carbon isotope compositions (δ13C) in the compartments. At stations under the cold pool, SI and FA organism compositions indicated benthic trophic functioning based on a microbial food web, including a significant contribution of heterotrophic planktonic organisms and/or of SOM, notably in stations under the cold pool. On the contrary, inshore and shelf break areas were characterised by a microalgae-based food web (at least in part for the shelf break area, due to slope current and upwelling that can favour fresh primary production sinking on site). SIA and FAA were relevant and complementary tools, and consumers better medium- to long-term system integrators than POM samples, for depicting the trophic functioning and dynamics along inshore-offshore transects over continental shelves.
NASA Astrophysics Data System (ADS)
Wu, Yanling
2018-05-01
In this paper, the extreme waves were generated using the open source computational fluid dynamic (CFD) tools — OpenFOAM and Waves2FOAM — using linear and nonlinear NewWave input. They were used to conduct the numerical simulation of the wave impact process. Numerical tools based on first-order (with and without stretching) and second-order NewWave are investigated. The simulation to predict force loading for the offshore platform under the extreme weather condition is implemented and compared.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Barahona, B.; Jonkman, J.; Damiani, R.
2014-12-01
Coupled dynamic analysis has an important role in the design of offshore wind turbines because the systems are subject to complex operating conditions from the combined action of waves and wind. The aero-hydro-servo-elastic tool FAST v8 is framed in a novel modularization scheme that facilitates such analysis. Here, we present the verification of new capabilities of FAST v8 to model fixed-bottom offshore wind turbines. We analyze a series of load cases with both wind and wave loads and compare the results against those from the previous international code comparison projects-the International Energy Agency (IEA) Wind Task 23 Subtask 2 Offshoremore » Code Comparison Collaboration (OC3) and the IEA Wind Task 30 OC3 Continued (OC4) projects. The verification is performed using the NREL 5-MW reference turbine supported by monopile, tripod, and jacket substructures. The substructure structural-dynamics models are built within the new SubDyn module of FAST v8, which uses a linear finite-element beam model with Craig-Bampton dynamic system reduction. This allows the modal properties of the substructure to be synthesized and coupled to hydrodynamic loads and tower dynamics. The hydrodynamic loads are calculated using a new strip theory approach for multimember substructures in the updated HydroDyn module of FAST v8. These modules are linked to the rest of FAST through the new coupling scheme involving mapping between module-independent spatial discretizations and a numerically rigorous implicit solver. The results show that the new structural dynamics, hydrodynamics, and coupled solutions compare well to the results from the previous code comparison projects.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dagher, Habib; Viselli, Anthony; Goupee, Andrew
The primary goal of the basin model test program discussed herein is to properly scale and accurately capture physical data of the rigid body motions, accelerations and loads for different floating wind turbine platform technologies. The intended use for this data is for performing comparisons with predictions from various aero-hydro-servo-elastic floating wind turbine simulators for calibration and validation. Of particular interest is validating the floating offshore wind turbine simulation capabilities of NREL’s FAST open-source simulation tool. Once the validation process is complete, coupled simulators such as FAST can be used with a much greater degree of confidence in design processesmore » for commercial development of floating offshore wind turbines. The test program subsequently described in this report was performed at MARIN (Maritime Research Institute Netherlands) in Wageningen, the Netherlands. The models considered consisted of the horizontal axis, NREL 5 MW Reference Wind Turbine (Jonkman et al., 2009) with a flexible tower affixed atop three distinct platforms: a tension leg platform (TLP), a spar-buoy modeled after the OC3 Hywind (Jonkman, 2010) and a semi-submersible. The three generic platform designs were intended to cover the spectrum of currently investigated concepts, each based on proven floating offshore structure technology. The models were tested under Froude scale wind and wave loads. The high-quality wind environments, unique to these tests, were realized in the offshore basin via a novel wind machine which exhibits negligible swirl and low turbulence intensity in the flow field. Recorded data from the floating wind turbine models included rotor torque and position, tower top and base forces and moments, mooring line tensions, six-axis platform motions and accelerations at key locations on the nacelle, tower, and platform. A large number of tests were performed ranging from simple free-decay tests to complex operating conditions with irregular sea states and dynamic winds.« less
Gamble, Madilyn M.; Connelly, Kristin A.; Gardner, Jennifer R.; Chamberlin, Joshua W.; Warheit, Kenneth I.; Beauchamp, David A.
2018-01-01
In marine ecosystems, survival can be heavily influenced by size‐selective mortality during juvenile life stages. Understanding how and when size‐selective mortality operates on a population can reveal underlying growth dynamics and size‐selective ecological processes affecting the population and thus can be used to guide conservation efforts. For subyearling Chinook Salmon Oncorhynchus tshawytscha in Puget Sound, previous research reported a strong positive relationship between marine survival and body mass during midsummer in epipelagic habitats within Puget Sound, suggesting that early marine growth drives survival. However, a fine‐scale analysis of size‐selective mortality is needed to identify specific critical growth periods and habitats. The objectives of this study were to (1) describe occupancy patterns across estuarine delta, nearshore marine, and offshore epipelagic habitats in Puget Sound; (2) describe changes in FL and weight observed across habitats and time; (3) evaluate evidence for size‐selective mortality; and (4) illustrate how marine survival of the stocks studied may be affected by variation in July weight. In 2014 and 2015, we sampled FLs, weights, and scales from seven hatchery‐origin and two natural‐origin stocks of subyearling Chinook Salmon captured every 2 weeks during out‐migration and rearing in estuary, nearshore, and offshore habitats within Puget Sound. Natural‐origin stocks had more protracted habitat occupancy patterns than hatchery‐origin stocks and were smaller than hatchery‐origin stocks in both years. Regardless of origin, subyearlings were longer and heavier and grew faster in offshore habitats compared to estuary and nearshore habitats. For all stocks, we found little evidence of size‐selective mortality among habitats in Puget Sound. These patterns were consistent in both years. Finally, the weights of subyearlings sampled during July in the offshore habitat predicted Puget Sound‐wide marine survival rates of 0.4% for 2014 and 2.0% for 2015, with stock‐specific predictions ranging from 0.18% to 11.70%.
On the representation of subsea aquitards in models of offshore fresh groundwater
NASA Astrophysics Data System (ADS)
Solórzano-Rivas, S. C.; Werner, A. D.
2018-02-01
Fresh groundwater is widespread globally in offshore aquifers, and is particularly dependent on the properties of offshore aquitards, which inhibit seawater-freshwater mixing thereby allowing offshore freshwater to persist. However, little is known of the salinity distribution in subsea aquitards, especially in relation to the offshore freshwater distribution. This is critical for the application of recent analytical solutions to subsea freshwater extent given requisite assumptions about aquitard salinity. In this paper, we use numerical simulation to explore the extent of offshore freshwater in simplified situations of subsea aquifers and overlying aquitards, including in relation to the upward leakage of freshwater. The results show that available analytical solutions significantly overestimate the offshore extent of upwelling freshwater due to the presumption of seawater in the aquitard, whereas the seawater wedge toe is less sensitive to the assumed aquitard salinity. We also explore the use of implicit, conductance-based representations of the aquitard (i.e., using the popular SEAWAT code), and find that SEAWAT's implicit approach (i.e., GHB package) can represent the offshore distance of upwelling freshwater using a novel parameterization strategy. The results show that an estimate of the upward freshwater flow that is required to freshen the aquitard is associated with the dimensionless Rayleigh number, whereby the critical Rayleigh number that distinguishes fresh and saline regions (based on the position of the 0.5 isochlor) within the aquitard is approximately 2.
Improvements of the offshore earthquake locations in the Earthquake Early Warning System
NASA Astrophysics Data System (ADS)
Chen, Ta-Yi; Hsu, Hsin-Chih
2017-04-01
Since 2014 the Earthworm Based Earthquake Alarm Reporting (eBEAR) system has been operated and been used to issue warnings to schools. In 2015 the system started to provide warnings to the public in Taiwan via television and the cell phone. Online performance of the eBEAR system indicated that the average reporting times afforded by the system are approximately 15 and 28 s for inland and offshore earthquakes, respectively. The eBEAR system in average can provide more warning time than the current EEW system (3.2 s and 5.5 s for inland and offshore earthquakes, respectively). However, offshore earthquakes were usually located poorly because only P-wave arrivals were used in the eBEAR system. Additionally, in the early stage of the earthquake early warning system, only fewer stations are available. The poor station coverage may be a reason to answer why offshore earthquakes are difficult to locate accurately. In the Geiger's inversion procedure of earthquake location, we need to put an initial hypocenter and origin time into the location program. For the initial hypocenter, we defined some test locations on the offshore area instead of using the average of locations from triggered stations. We performed 20 programs concurrently running the Geiger's method with different pre-defined initial position to locate earthquakes. We assume that if the program with the pre-defined initial position is close to the true earthquake location, during the iteration procedure of the Geiger's method the processing time of this program should be less than others. The results show that using pre-defined locations for trial-hypocenter in the inversion procedure is able to improve the accurate of offshore earthquakes. Especially for EEW system, in the initial stage of the EEW system, only use 3 or 5 stations to locate earthquakes may lead to bad results because of poor station coverage. In this study, the pre-defined trial-locations provide a feasible way to improve the estimations of earthquake locations in EEW system.
NASA Astrophysics Data System (ADS)
Sancho, G.; Edman, R.; Frazier, B.; Bubley, W.
2016-02-01
Understanding the trophic dynamics and habitat utilization of apex predators is central to inferring their influence on different marine landscapes and to help design effective management plans for these animals. Tiger sharks (Galeocerdo cuvier) are abundant in shelf and offshore Gulf Stream waters of the western North Atlantic Ocean, and based on movements from individuals captured in Florida and Bahamas, seem to avoid coastal and shelf waters off South Carolina and Georgia. This contradicts reports of tiger sharks regularly being caught nearshore by anglers in these states, indicating that separate sub-populations may exist in the western North Atlantic. In the present study we captured Tiger Sharks in coastal waters off South Carolina in 2014 and 2015 in order to describe their movement patterns through acoustic and satellite tagging, and trophic dynamics through stable isotope analyses. Movement data show that these tiger sharks repeatedly visit particular inshore areas and mainly travel over the continental shelf, but rarely venture offshore beyond the continental shelf edge. Ongoing C and N stable isotope analyses of muscle, blood and skin tissues from adult and juvenile tiger sharks, as well as from potential prey species and primary producers, will help determine if their diets are based on inshore, shelf or offshore based food webs. Tiger sharks exploiting nearshore environments and shelf waters have much higher probabilities of interacting with humans than individuals occupying far offshore Gulf Stream habitats.
OTEC Cold Water Pipe-Platform Subsystem Dynamic Interaction Validation
DOE Office of Scientific and Technical Information (OSTI.GOV)
Varley, Robert; Halkyard, John; Johnson, Peter
A commercial floating 100-megawatt (MW) ocean thermal energy conversion (OTEC) power plant will require a cold water pipe (CWP) with a diameter of 10-meter (m) and length of up to 1,000 m. The mass of the cold water pipe, including entrained water, can exceed the mass of the platform supporting it. The offshore industry uses software-modeling tools to develop platform and riser (pipe) designs to survive the offshore environment. These tools are typically validated by scale model tests in facilities able to replicate real at-sea meteorological and ocean (metocean) conditions to provide the understanding and confidence to proceed to finalmore » design and full-scale fabrication. However, today’s offshore platforms (similar to and usually larger than those needed for OTEC applications) incorporate risers (or pipes) with diameters well under one meter. Secondly, the preferred construction method for large diameter OTEC CWPs is the use of composite materials, primarily a form of fiber-reinforced plastic (FRP). The use of these material results in relatively low pipe stiffness and large strains compared to steel construction. These factors suggest the need for further validation of offshore industry software tools. The purpose of this project was to validate the ability to model numerically the dynamic interaction between a large cold water-filled fiberglass pipe and a floating OTEC platform excited by metocean weather conditions using measurements from a scale model tested in an ocean basin test facility.« less
Evaluating stress analysis and failure criteria for offshore structures for Pechora Sea conditions
NASA Astrophysics Data System (ADS)
Nesic, S.; Donskoy, Y.; Zolotukhin, A.
2017-12-01
Development of Arctic hydrocarbon resources has faced many challenges due to sensitive environmental conditions including low temperatures, ice cover and terrestrial permafrost and extreme seasonal variation in sunlight. Russian offshore field development in Arctic region is usually associated with annual ice cover, which can cause serious damage on the offshore platforms. The Pechora Sea has claimed as one of the most perspective oil and gas region of the Russian Arctic with seven discovered oil and gas fields and several dozens of structures. Our rough assessment, based on in-place hydrocarbon volumes and recovery factor evaluation concept, indicates that Pechora Sea alone has in-place volumes amounting to ca. 20 billion barrel oil equivalent (BOE). This quantity is enough to secure produced volumes by 2040 exceeding 3 billion BOE [1] that indicates huge resource potential of the region. The environmental conditions are primarily function of water dynamics and ice cover. The sea is covered by the ice for greatest part of the year. In this article, the ice load simulations were performed using explicit dynamic analysis system in ANSYS software to determine best shape and size of an offshore platform for the Pechora Sea ice conditions. Different gravity based structures (GBS) were analyzed: artificial island, hollow cylindrical and conical concrete structures and four-leg GBS. Relationships between the stress, deformations and time were analyzed and important observations from the simulation results were a basis for selecting the most preferable structures.
NASA Astrophysics Data System (ADS)
Hussan, Mosaruf; Sharmin, Faria; Kim, Dookie
2017-08-01
The dynamics of jacket supported offshore wind turbine (OWT) in earthquake environment is one of the progressing focuses in the renewable energy field. Soil-structure interaction (SSI) is a fundamental principle to analyze stability and safety of the structure. This study focuses on the performance of the multiple tuned mass damper (MTMD) in minimizing the dynamic responses of the structures objected to seismic loads combined with static wind and wave loads. Response surface methodology (RSM) has been applied to design the MTMD parameters. The analyses have been performed under two different boundary conditions: fixed base (without SSI) and flexible base (with SSI). Two vibration modes of the structure have been suppressed by multi-mode vibration control principle in both cases. The effectiveness of the MTMD in reducing the dynamic response of the structure is presented. The dynamic SSI plays an important role in the seismic behavior of the jacket supported OWT, especially resting on the soft soil deposit. Finally, it shows that excluding the SSI effect could be the reason of overestimating the MTMD performance.
NASA Astrophysics Data System (ADS)
Bishop, Marines
Offshore winds blow considerably harder and more uniformly than on land, and can thus produce higher amounts of electricity. Design, installation, and distribution of an offshore wind farm is more difficult and expensive, but is nevertheless a compelling energy source. With its relatively shallow offshore waters South Carolina has the potential to offer one of the first offshore wind farms in the United States, arguably ideal for wind-farm construction and presenting outstanding potential for the state's growth and innovation. This study analyzes the policy process involved in the establishment of an offshore wind industry in South Carolina through the use of Advocacy Coalition Framework (ACF) concepts. The ACF studies policy process by analyzing policy subsystems, understanding that stakeholders motivated by belief systems influence policy subsystem affairs, and recognizing the assembly of these stakeholders into coalitions as the best way to simplify the analysis. The study interviewed and analyzed responses from stakeholders involved to different but significant degrees with South Carolina offshore wind industry development, allowing for their categorization into coalitions. Responses and discussion analysis through the implementation of ACF concepts revealed, among other observations, direct relationships of opinions to stakeholder's belief systems. Most stakeholders agreed that a potential for positive outputs is real and substantial, but differed in opinion when discussing challenges for offshore wind development in South Carolina. The study importantly considers policy subsystem implications at national and regional levels, underlining the importance of learning from other offshore wind markets and policy arenas worldwide. In this sense, this study's discussions and conclusions are a step towards the right direction.
NASA Astrophysics Data System (ADS)
Long, A. M.; Hill, J. C.
2016-12-01
The Quaternary paleo-channel and incised valley systems of the Southeastern United States have been well documented onshore; however, few studies have focused on the positions and fill histories of these systems on the continental shelf. The effects of inherited topography can be studied through the integration of seismo-acoustic and core data. Existing offshore datasets have been used to document underlying structural and stratigraphic fabrics deeper than the Quaternary in the sedimentary record. By integrating these results with the published tectonic setting and onshore interpretations, some of the controls on paleo-channel/incised valley positions can be inferred. Preliminary results suggest the stress caused by the uplift along the Cape Fear Arch has been accommodated by shallow folding and reactivation of deeper structures in the South Carolina offshore province. The resultant topography may have dictated both the position and geometry of the fluvial incisions across the shelf. This in turn influences the accommodation space available to be filled in as sea level fluctuates. The depositional facies within the paleo-channel and incised valley range from single, uninterrupted fill to complex and repeated scour and fill with at least four different episodes of erosion and deposition. The observations and interpretations proposed here are the first steps in unraveling the complex interplay between sea level, climate, and tectonic changes on the morphology and stratigraphy of incised valleys and paleo-channels observed offshore of South Carolina.
Unsteady aerodynamic analysis for offshore floating wind turbines under different wind conditions.
Xu, B F; Wang, T G; Yuan, Y; Cao, J F
2015-02-28
A free-vortex wake (FVW) model is developed in this paper to analyse the unsteady aerodynamic performance of offshore floating wind turbines. A time-marching algorithm of third-order accuracy is applied in the FVW model. Owing to the complex floating platform motions, the blade inflow conditions and the positions of initial points of vortex filaments, which are different from the fixed wind turbine, are modified in the implemented model. A three-dimensional rotational effect model and a dynamic stall model are coupled into the FVW model to improve the aerodynamic performance prediction in the unsteady conditions. The effects of floating platform motions in the simulation model are validated by comparison between calculation and experiment for a small-scale rigid test wind turbine coupled with a floating tension leg platform (TLP). The dynamic inflow effect carried by the FVW method itself is confirmed and the results agree well with the experimental data of a pitching transient on another test turbine. Also, the flapping moment at the blade root in yaw on the same test turbine is calculated and compares well with the experimental data. Then, the aerodynamic performance is simulated in a yawed condition of steady wind and in an unyawed condition of turbulent wind, respectively, for a large-scale wind turbine coupled with the floating TLP motions, demonstrating obvious differences in rotor performance and blade loading from the fixed wind turbine. The non-dimensional magnitudes of loading changes due to the floating platform motions decrease from the blade root to the blade tip. © 2015 The Author(s) Published by the Royal Society. All rights reserved.
Unsteady aerodynamic analysis for offshore floating wind turbines under different wind conditions
Xu, B. F.; Wang, T. G.; Yuan, Y.; Cao, J. F.
2015-01-01
A free-vortex wake (FVW) model is developed in this paper to analyse the unsteady aerodynamic performance of offshore floating wind turbines. A time-marching algorithm of third-order accuracy is applied in the FVW model. Owing to the complex floating platform motions, the blade inflow conditions and the positions of initial points of vortex filaments, which are different from the fixed wind turbine, are modified in the implemented model. A three-dimensional rotational effect model and a dynamic stall model are coupled into the FVW model to improve the aerodynamic performance prediction in the unsteady conditions. The effects of floating platform motions in the simulation model are validated by comparison between calculation and experiment for a small-scale rigid test wind turbine coupled with a floating tension leg platform (TLP). The dynamic inflow effect carried by the FVW method itself is confirmed and the results agree well with the experimental data of a pitching transient on another test turbine. Also, the flapping moment at the blade root in yaw on the same test turbine is calculated and compares well with the experimental data. Then, the aerodynamic performance is simulated in a yawed condition of steady wind and in an unyawed condition of turbulent wind, respectively, for a large-scale wind turbine coupled with the floating TLP motions, demonstrating obvious differences in rotor performance and blade loading from the fixed wind turbine. The non-dimensional magnitudes of loading changes due to the floating platform motions decrease from the blade root to the blade tip. PMID:25583859
Noise Mitigation During Pile Driving Efficiently Reduces Disturbance of Marine Mammals.
Nehls, Georg; Rose, Armin; Diederichs, Ansgar; Bellmann, Michael; Pehlke, Hendrik
2016-01-01
Acoustic monitoring of harbor porpoises (Phocoena phocoena L., 1758) indicated a strongly reduced disturbance by noise emitted by pile driving for offshore wind turbine foundations insulated by a big bubble curtain (BBC). This newly developed noise mitigation system was tested during construction of the offshore wind farm Borkum West II (North Sea). Because porpoise activity strongly corresponded to the sound level, operation of the new system under its most suitable configuration reduced the porpoise disturbance area by ~90%. Hence, for the first time, a positive effect of a noise mitigation system during offshore pile driving on an affected marine mammal species could be demonstrated.
NASA Astrophysics Data System (ADS)
Giddings, S. N.; MacCready, P.
2017-12-01
Estuarine exchange flow governs the interaction between oceans and estuaries and thus plays a large role in their biogeochemical processes. This study investigates the variability in estuarine exchange flow due to offshore oceanic conditions including upwelling/downwelling, and the presence of a river plume offshore (from a neighboring estuary). We address these processes via numerical simulations at the mouth of the Salish Sea, a large estuarine system in the Northeast Pacific. An analysis of the Total Exchange Flow indicates that during the upwelling season, the exchange flow is fairly consistent in magnitude and oriented in a positive (into the estuary at depth and out at the surface) direction. However, during periods of downwelling favorable winds, the exchange flow shows significantly more variability including multiple reversals, consistent with observations, and surface intrusions of the Columbia River plume which originates 250 km to the south. Numerical along-strait momentum budgets show that the exchange flow is forced dominantly by the pressure gradients, particularly the baroclinic. The pressure gradient is modified by Coriolis and sometimes advection, highlighting the importance of geostrophy and local adjustments. In experiments conducted without the offshore river plume, reversals still occur but are weaker, and the baroclinic pressure gradient plays a reduced role. These results suggest that estuaries along strong upwelling coastlines should experience significant modulation in the exchange flow during upwelling versus downwelling conditions. Additionally, they highlight the importance of nearby estuaries impacting one-another, not only in terms of connectivity, but also altering the exchange flow.
2011-06-30
aspects of the oceanography of the Gulf of Mexico using satellite and in situ data , J. Geophys. Res., 84, 7749–7768, doi:10.1029/ JC084iC12p07749. Walker, N...nested in a data ‐assimilative regional Gulf of Mexico HYCOM model) reveals that the offshore removal is a frequent plume pathway. Eastward wind‐driven...estimated to average 1 hour per response, including the time for reviewing instructions, searching existing data sources, gathering and maintaining the data
California State Waters Map Series: offshore of Tomales Point, California
Johnson, Samuel Y.; Dartnell, Peter; Golden, Nadine E.; Hartwell, Stephen R.; Greene, H. Gary; Erdey, Mercedes D.; Cochrane, Guy R.; Watt, Janet Tilden; Kvitek, Rikk G.; Manson, Michael W.; Endris, Charles A.; Dieter, Bryan E.; Krigsman, Lisa M.; Sliter, Ray W.; Lowe, Erik N.; Chinn, John L.; Johnson, Samuel Y.; Cochran, Susan A.
2015-01-01
Potential marine benthic habitats in the Offshore of Tomales Point map area range from unconsolidated continental-shelf sediment, to rocky continental-shelf substrate, to unconsolidated estuary sediments. Rocky-shelf outcrops and rubble are considered to be promising potential habitats for rockfish and lingcod, both of which are recreationally and commercially important species. Dynamic bedforms, such as the sand waves at the mouth of Tomales Bay, are considered potential foraging habitat for juvenile lingcod and possibly migratory fishes, as well as for forage fish such as Pacific sand lance.
Dynamic modal estimation using instrumental variables
NASA Technical Reports Server (NTRS)
Salzwedel, H.
1980-01-01
A method to determine the modes of dynamical systems is described. The inputs and outputs of a system are Fourier transformed and averaged to reduce the error level. An instrumental variable method that estimates modal parameters from multiple correlations between responses of single input, multiple output systems is applied to estimate aircraft, spacecraft, and off-shore platform modal parameters.
Field Test of Wake Steering at an Offshore Wind Farm
DOE Office of Scientific and Technical Information (OSTI.GOV)
Fleming, Paul; Annoni, Jennifer; Shah, Jigar J.
In this paper, a field test of wake steering control is presented. The field test is the result of a collaboration between the National Renewable Energy Laboratory (NREL) and Envision Energy, a smart energy management company and turbine manufacturer. In the campaign, an array of turbines within an operating commercial offshore wind farm in China have the normal yaw controller modified to implement wake steering according to a yaw control strategy. The strategy was designed using NREL wind farm models, including a computational fluid dynamics model, SOWFA, for understanding wake dynamics and an engineering model, FLORIS, for yaw control optimization.more » Results indicate that, within the certainty afforded by the data, the wake-steering controller was successful in increasing power capture, by amounts similar to those predicted from the models.« less
Field Test of Wake Steering at an Offshore Wind Farm
Fleming, Paul; Annoni, Jennifer; Shah, Jigar J.; ...
2017-02-06
In this paper, a field test of wake steering control is presented. The field test is the result of a collaboration between the National Renewable Energy Laboratory (NREL) and Envision Energy, a smart energy management company and turbine manufacturer. In the campaign, an array of turbines within an operating commercial offshore wind farm in China have the normal yaw controller modified to implement wake steering according to a yaw control strategy. The strategy was designed using NREL wind farm models, including a computational fluid dynamics model, SOWFA, for understanding wake dynamics and an engineering model, FLORIS, for yaw control optimization.more » Results indicate that, within the certainty afforded by the data, the wake-steering controller was successful in increasing power capture, by amounts similar to those predicted from the models.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Benitz, M. A.; Schmidt, D. P.; Lackner, M. A.
Hydrodynamic loads on the platforms of floating offshore wind turbines are often predicted with computer-aided engineering tools that employ Morison's equation and/or potential-flow theory. This work compares results from one such tool, FAST, NREL's wind turbine computer-aided engineering tool, and the computational fluid dynamics package, OpenFOAM, for the OC4-DeepCwind semi-submersible analyzed in the International Energy Agency Wind Task 30 project. Load predictions from HydroDyn, the offshore hydrodynamics module of FAST, are compared with high-fidelity results from OpenFOAM. HydroDyn uses a combination of Morison's equations and potential flow to predict the hydrodynamic forces on the structure. The implications of the assumptionsmore » in HydroDyn are evaluated based on this code-to-code comparison.« less
AAPG-CSD geologic provinces code map
DOE Office of Scientific and Technical Information (OSTI.GOV)
Meyer, R.F.; Wallace, L.G.; Wagner, F.J. Jr.
1991-10-01
This article provides the history of a revised geologic map which was drawn based on both surface geology and petroleum occurrence. The map includes offshore maps for California and the Gulf Coast of Texas and Louisiana. For onshore sites it provides geologic province boundaries which were drawn along county boundaries to approximate their position relative to oil and gas production. The offshore sites are drawn based on the universal transverse Mercator system.
NASA Astrophysics Data System (ADS)
Xu, K.; Miner, M. D.; Bentley, S. J.; Li, C.; Obelcz, J.; O'Connor, M. C.
2016-02-01
The shelf offshore Louisiana is characterized by a dominantly muddy seafloor with a paucity of restoration-quality sand proximal to shore. Discrete sand deposits associated with ancient rivers that incised the shelf during lower sea-level positions occur close to shore. These shelf channel sands have been targeted for coastal restoration projects resulting in significant cost savings over more distal deposits. Several recent projects targeted shelf paleo-fluvial deposits comprising relatively deep (10 m) channel sands underlying a muddy overburden. Because of contrasting characteristics of cohesive mud vs. non-cohesive sand and potential modern fluvial mud supply from the Mississippi and Atchafalaya Rivers, long term pit evolution is poorly understood relative to their more common sand-only counterparts. Alterations to seafloor topography from dredging shelf sediment resources can potentially affect oil and gas infrastructure or other resources of concern (i.e. historic shipwrecks) located proximal to dredge pits. Site-specific data required to make accurate predictions and empirical measurements to test and validate predictive models were only available for Peveto Channel offshore Holly Beach, Louisiana. Here we present new geophysical and geological data (bathymetry, sidescan, subbottom, and radionuclide of sediment cores) and physical oceanographic observations (hydrodynamics and sediment dynamics) collected at Raccoon Island (dredged in 2013) dredge pit in Louisiana. These field data collections along with pre-existing data provide a time-series to capture evolution at Raccoon Island post-excavation. Conceptual morphological models will be developed for dredge pit evolution and testing effectiveness of setback buffers protecting pipelines, habitats, and cultural resources. Our results will increase decision making ability regarding safety and protecting environmental and cultural resources, and better management of valuable sand resources.
NASA Astrophysics Data System (ADS)
Storlazzi, C. D.; Griffioen, D.; Cheriton, O. M.
2016-12-01
Coral reefs have been shown to significantly attenuate incident wave energy and thus provide protection for 100s of millions of people globally. To better constrain wave dynamics and wave-driven water levels over fringing coral reefs, a 4-month deployment of wave and tide gauges was conducted across two shore-normal transects on Roi-Namur Island and two transects on Kwajalein Island in the Republic of the Marshall Islands. At all locations, although incident wave (periods <25 s) heights were an order of magnitude greater than infragravity wave (periods > 250 s) heights on the outer reef flat just inshore of the zone of wave breaking, the infragravity wave heights generally equaled the incident wave heights by the middle of the reef flat and exceeded the incident wave heights on the inner reef flat by the shoreline. The infragravity waves generally were asymmetric, positively skewed, bore-like forms with incident-band waves riding the infragravity wave crest at the head of the bore; these wave packets have similar structure to high-frequency internal waves on an internal wave bore. Bore height was shown to scale with water depth, offshore wave height, and offshore wave period. For a given tidal elevation, with increasing offshore wave heights, such bores occurred more frequently on the middle reef flat, whereas they occurred less frequently on the inner reef flat. Skewed, asymmetric waves are known to drive large gradients in velocity and shear stress that can transport material onshore. Thus, a better understanding of these low-frequency, energetic bores on reef flats is critical to forecasting how coral reef-lined coasts may respond to sea-level rise and climate change.
The Offshore New European Wind Atlas
NASA Astrophysics Data System (ADS)
Karagali, I.; Hahmann, A. N.; Badger, M.; Hasager, C.; Mann, J.
2017-12-01
The New European Wind Atlas (NEWA) is a joint effort of research agencies from eight European countries, co-funded under the ERANET Plus Program. The project is structured around two areas of work: development of dynamical downscaling methodologies and measurement campaigns to validate these methodologies, leading to the creation and publication of a European wind atlas in electronic form. This atlas will contain an offshore component extending 100 km from the European coasts. To achieve this, mesoscale models along with various observational datasets are utilised. Scanning lidars located at the coastline were used to compare the coastal wind gradient reproduced by the meso-scale model. Currently, an experimental campaign is occurring in the Baltic Sea, with a lidar located in a commercial ship sailing from Germany to Lithuania, thus covering the entire span of the south Baltic basin. In addition, satellite wind retrievals from scatterometers and Synthetic Aperture Radar (SAR) instruments were used to generate mean wind field maps and validate offshore modelled wind fields and identify the optimal model set-up parameters.The aim of this study is to compare the initial outputs from the offshore wind atlas produced by the Weather & Research Forecasting (WRF) model, still in pre-operational phase, and the METOP-A/B Advanced Scatterometer (ASCAT) wind fields, reprocessed to stress equivalent winds at 10m. Different experiments were set-up to evaluate the model sensitivity for the various domains covered by the NEWA offshore atlas. ASCAT winds were utilised to assess the performance of the WRF offshore atlases. In addition, ASCAT winds were used to create an offshore atlas covering the years 2007 to 2016, capturing the signature of various spatial wind features, such as channelling and lee effects from complex coastal topographical elements.
An investigation of enhanced mercury bioaccumulation in fish from offshore feeding.
Chételat, John; Cloutier, Louise; Amyot, Marc
2013-08-01
We investigated the dietary pathways of mercury transfer in the food web of Morency Lake (Canada) to determine the influence of carbon source and habitat use on mercury bioaccumulation in fish. Whole-body concentrations of methylmercury (MeHg) were significantly different in four fish species (white sucker, brown bullhead, pumpkinseed and smallmouth bass) and increased with both trophic position and greater feeding on offshore (versus littoral) carbon. An examination of fish gut contents and the depth distribution of invertebrates in Morency Lake showed that smallmouth bass and brown bullhead were supplementing their littoral diet with the consumption of either opossum shrimp (Mysis diluviana) or profundal amphipods in offshore waters. The zooplanktivore Mysis had significantly higher MeHg concentrations than zooplankton and benthic invertebrates, and it was an elevated source of MeHg to smallmouth bass. In contrast, profundal amphipods consumed by brown bullhead did not have higher MeHg concentrations than littoral amphipods. Instead, partitioning of benthic invertebrate resources likely explains the greater MeHg bioaccumulation in brown bullhead, associated with offshore feeding of amphipods. White sucker and brown bullhead had a similar trophic position but white sucker consumed more chironomids, which had one-third the MeHg concentration of amphipods. Our findings suggest that offshore feeding in a lake can affect fish MeHg bioaccumulation via two different processes: (1) the consumption of MeHg-enriched pelagic prey, or (2) resource partitioning of benthic primary consumers with different MeHg concentrations. These observations on the mechanisms of habitat-specific bioaccumulation highlight the complexity of MeHg transfer through lake food webs.
NASA Astrophysics Data System (ADS)
Xu, Yong; Li, Xinzheng; Ma, Lin; Dong, Dong; Kou, Qi; Sui, Jixing; Gan, Zhibin; Wang, Hongfa
2017-09-01
In spring and summer 2011, the macro- and megabenthic fauna in two sections of the East China Sea were investigated using an Agassiz net trawl to detect the seasonal and spatial variations of benthic community characteristics and the relation to environmental variables. The total number of species increased slightly from spring (131 species) to summer (133) whereas the percentage of Mollusca decreased significantly. The index of relative importance (IRI) indicated that the top five important species changed completely from spring to summer. Species number, abundance and biomass in summer were significantly higher than in spring, but no significant difference was observed among areas (coastal, transitional and oceanic areas, divided basically from inshore to offshore). Species richness ( d), diversity ( H') and evenness ( J') showed no significant seasonal or spatial variations. Cluster analysis and nMDS ordination identified three benthic communities from inshore to offshore, corresponding to the three areas. Analysis of Similarity (ANOSIM) indicated the overall significant difference in community structure between seasons and among areas. K-dominance curves revealed the high intrinsic diversity in the offshore area. Canonical correspondence analysis showed that the coastal community was positively correlated to total nitrogen and total organic carbon in spring, but negatively in summer; oceanic community was positively correlated to total nitrogen and total organic carbon in both seasons. Species such as Coelorhynchus multispinulosus, Neobythites sivicola, Lepidotrigla alata, Solenocera melantho, Parapenaeus fissuroides, Oratosquilla gonypetes and Spiropagurus spiriger occurred exclusively in the offshore oceanic area and their presence may reflect the influence of the offshore Kuroshio Current.
NASA Technical Reports Server (NTRS)
Wong, S.; Colarco, P. R.; Dessler, A.
2006-01-01
The onset and evolution of Saharan Air Layer (SAL) episodes during June-September 2002 are diagnosed by applying principal component analysis to the NCEP reanalysis temperature anomalies at 850 hPa, where the largest SAL-induced temperature anomalies are located. The first principal component (PC) represents the onset of SAL episodes, which are associated with large warm anomalies located at the west coast of Africa. The second PC represents two opposite phases of the evolution of the SAL. The positive phase of the second PC corresponds to the southwestward extension of the warm anomalies into the tropical-subtropical North Atlantic Ocean, and the negative phase corresponds to the northwestward extension into the subtropical to mid-latitude North Atlantic Ocean and the southwest Europe. A dust transport model (CARMA) and the MODIS retrievals are used to study the associated effects on dust distribution and deposition. The positive (negative) phase of the second PC corresponds to a strengthening (weakening) of the offshore flows in the lower troposphere around 10deg - 20degN, causing more (less) dust being transported along the tropical to subtropical North Atlantic Ocean. The variation of the offshore flow indicates that the subseasonal variation of African Easterly Jet is associated with the evolution of the SAL. Significant correlation is found between the second PC time series and the daily West African monsoon index, implying a dynamical linkage between West African monsoon and the evolution of the SAL and Saharan dust transport.
NASA Astrophysics Data System (ADS)
Segeren, M. L. A.; Hermans, K. W.
2014-06-01
The failure of the traditional grouted connections of offshore wind turbines has led to the investigation of alternatives that provide a connection between the foundation pile and the turbine tower. An alternative to the traditional joint is a steel-to-steel connection also called a slip joint. To ensure a proper fit of the slip joint a dynamic installation of the joint is proposed. In this contribution, the effectiveness of harmonic excitation as an installation procedure is experimentally investigated using a 1:10 scaled model of the joint. During the dynamic installation test the applied static load, settlements and dynamic response of the joint are monitored using respectively load cells, taut wires and strain gauges placed both inside and outside the conical surfaces. The results show that settlement occurs only when applying a harmonic load at specific forcing frequencies. The settlement stabilizes to a certain level for each of the specific frequencies, indicating that a controlled way of installation is possible. The results show that it is essential to vibrate at specific frequencies and that a larger amplitude of the harmonic force does not automatically lead to additional settlement.
Relations between Vegetation and Geologic Framework in Barrier Island
NASA Astrophysics Data System (ADS)
Smart, N. H.; Ferguson, J. B.; Lehner, J. D.; Taylor, D.; Tuttle, L. F., II; Wernette, P. A.
2017-12-01
Barrier islands provide valuable ecosystems and protective services to coastal communities. The longevity of barrier islands is threatened by sea-level rise, human impacts, and extreme storms. The purpose of this research is to evaluate how vegetation dynamics interact with the subsurface and offshore framework geology to influence the beach and dune morphology. Beach and dune morphology can be viewed as free and/or forced behavior, where free systems are stochastic and the morphology is dependent on variations in the storm surge run-up, aeolian sediment supply and transport potential, and vegetation dynamics and persistence. Forced systems are those where patterns in the coastal morphology are determined by some other structural control, such as the underlying and offshore framework geology. Previous studies have documented the effects of geologic framework or vegetation dynamics on the beach and dunes, although none have examined possible control by vegetation dynamics in context of the geologic framework (i.e. combined free and forced behavior). Padre Island National Seashore (PAIS) was used to examine the interaction of free and forced morphology because the subsurface framework geology and surface beach and dune morphology are variable along the island. Vegetation dynamics were assessed by classifying geographically referenced historical aerial imagery into areas with vegetation and areas without vegetation, as well as LiDAR data to verify this imagery. The subsurface geologic structure was assessed using a combination of geophysical surveys (i.e. electromagnetic induction, ground-penetrating radar, and offshore seismic surveys). Comparison of the observed vegetation patterns and geologic framework leads to a series of questions surrounding how mechanistically these two drivers of coastal morphology are related. Upcoming coring and geophysical surveys will enable us to validate new and existing geophysical data. Results of this paper will help us better understand how barrier islands have responded to environmental change in the past should be integrated into current models of barrier island evolution in order to more accurately predict how the island will change over time in response to continued climatic variability.
Simulation and analysis of differential global positioning system for civil helicopter operations
NASA Technical Reports Server (NTRS)
Denaro, R. P.; Cabak, A. R.
1983-01-01
A Differential Global Positioning System (DGPS) computer simulation was developed, to provide a versatile tool for assessing DGPS referenced civil helicopter navigation. The civil helicopter community will probably be an early user of the GPS capability because of the unique mission requirements which include offshore exploration and low altitude transport into remote areas not currently served by ground based Navaids. The Monte Carlo simulation provided a sufficiently high fidelity dynamic motion and propagation environment to enable accurate comparisons of alternative differential GPS implementations and navigation filter tradeoffs. The analyst has provided the capability to adjust most aspects of the system, the helicopter flight profile, the receiver Kalman filter, and the signal propagation environment to assess differential GPS performance and parameter sensitivities. Preliminary analysis was conducted to evaluate alternative implementations of the differential navigation algorithm in both the position and measurement domain. Results are presented to show that significant performance gains are achieved when compared with conventional GPS but that differences due to DGPS implementation techniques were small. System performance was relatively insensitive to the update rates of the error correction information.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Karr, Dale G.; Yu, Bingbin; Sirnivas, Senu
To create long-term solutions for offshore wind turbines in a variety of environmental conditions, CAE tools are needed to model the design-driving loads that interact with an offshore wind turbine system during operation. This report describes our efforts in augmenting existing CAE tools used for offshore wind turbine analysis with a new module that can provide simulation capabilities for ice loading on the system. This augmentation was accomplished by creating an ice-loading module coupled to FAST8, the CAE tool maintained by the NREL for simulating land-based and offshore wind turbine dynamics. The new module includes both static and dynamic icemore » loading that can be applied during a dynamic simulation of the response of an offshore wind turbine. The ice forces can be prescribed, or influenced by the structure’s compliant response, or by the dynamics of both the structure and the ice floe. The new module covers ice failure modes of spalling, buckling, crushing, splitting, and bending. The supporting structure of wind turbines can be modeled as a vertical or sloping form at the waterline. The Inward Battered Guide Structure (IBGS) foundation designed by Keystone Engineering for the Great Lakes was used to study the ice models coupled to FAST8. The IBGS foundation ice loading simulations in FAST8 were compared to the baseline simulation case without ice loading. The ice conditions reflecting those from Lake Huron at Port Huron and Lake Michigan at North Manitou were studied under near rated wind speed of 12 m/s for the NREL 5-MW reference turbine. Simulations were performed on ice loading models 1 through 4 and ice model 6 with their respective sub-models. The purpose of ice model 5 is to investigate ice loading on sloping structures such as ice-cones on a monopile and is not suitable for multi-membered jacketed structures like the IBGS foundation. The key response parameters from the simulations, shear forces and moments from the tower base and IBGS foundation base, were compared. Ice models 1 and 6 do not significantly affect the tower fore-aft shear and moment. However, ice model 2 (dynamic analyses), model 3 (random ice loading), and model 4 (multiple ice failure zone loading) show increased effect on the tower fore-aft shear and moment with significant effect from ice model 3.1. In general ice loading creates large reaction forces and moments at the base of the IBGS foundation; the largest occurred in model 1.1 (steady creep ice indentation loading) followed by model 3.1 (random creep ice indentation loading). In general the power production from the ice loading cases had little deviation from the baseline case without ice loading. For ultimate limit state (ULS), ice model 1.1 ice and 3.1 appear to be the ice most critical models to consider at an early stage of design. Ice model 4 is an important tool for assessing structural fatigue.« less
Fully vs. Sequentially Coupled Loads Analysis of Offshore Wind Turbines
DOE Office of Scientific and Technical Information (OSTI.GOV)
Damiani, Rick; Wendt, Fabian; Musial, Walter
The design and analysis methods for offshore wind turbines must consider the aerodynamic and hydrodynamic loads and response of the entire system (turbine, tower, substructure, and foundation) coupled to the turbine control system dynamics. Whereas a fully coupled (turbine and support structure) modeling approach is more rigorous, intellectual property concerns can preclude this approach. In fact, turbine control system algorithms and turbine properties are strictly guarded and often not shared. In many cases, a partially coupled analysis using separate tools and an exchange of reduced sets of data via sequential coupling may be necessary. In the sequentially coupled approach, themore » turbine and substructure designers will independently determine and exchange an abridged model of their respective subsystems to be used in their partners' dynamic simulations. Although the ability to achieve design optimization is sacrificed to some degree with a sequentially coupled analysis method, the central question here is whether this approach can deliver the required safety and how the differences in the results from the fully coupled method could affect the design. This work summarizes the scope and preliminary results of a study conducted for the Bureau of Safety and Environmental Enforcement aimed at quantifying differences between these approaches through aero-hydro-servo-elastic simulations of two offshore wind turbines on a monopile and jacket substructure.« less
Imaging Cascadia coupling: optimal design for an offshore seafloor geodetic network
NASA Astrophysics Data System (ADS)
Evans, E. L.; Minson, S. E.
2017-12-01
The Cascadia subduction zone in the Pacific Northwest of the United States is known to produce MW≈9.2 earthquakes, and accompanying tsunamis every 600 years. An outstanding question in this region (as in most offshore subduction zones) is the degree to which the megathrust is locked (i.e., the coupling rate), and whether the locked zone extends to the trench, where onshore geodetic measurements cannot uniquely resolve strain accumulation. Seafloor geodetic techniques, such as acoustic ranging combined with GNSS positioning, are capable of providing unique observations of strain accumulation near the offshore trench of subduction zones. These observations may be used to constrain megathrust coupling rate and spatial distribution, and ultimately forecast the potential size and rupture pattern of a future subduction zone earthquake, with resolution beyond the capability of onshore observations alone. However, the high cost of seafloor geodesy limits the number of stations that may be deployed and monitored. Therefore, it is essential that deployed stations be positioned in such a way to provide the most informative data for resolving subduction zone coupling. We identify optimal seafloor observation locations by minimizing the Shannon Information Entropy of potential geodetic observation locations, given the current onshore geodetic network. Because coupling rate on the Cascadia megathrust depends on the relative convergence rate between the Juan de Fuca and North American plates, the most valuable location for a single seafloor geodetic station is west of the Juan de Fuca trench, on the Juan de Fuca plate itself. Subsequent optimal locations are also identified offshore, on the hanging wall near the trench. This approach provides a quantitative assessment of the value of seafloor observations: a single offshore observation provides 30 times the information gain of an additional onshore observation, and adding many (>50) onshore observations cannot provide the information gain of a single offshore observation.
NASA Astrophysics Data System (ADS)
Schilder, J.; Ellenbroek, M.; de Boer, A.
2017-12-01
In this work, the floating frame of reference formulation is used to create a flexible multibody model of slender offshore structures such as pipelines and risers. It is shown that due to the chain-like topology of the considered structures, the equation of motion can be expressed in terms of absolute interface coordinates. In the presented form, kinematic constraint equations are satisfied explicitly and the Lagrange multipliers are eliminated from the equations. Hence, the structures can be conveniently coupled to finite element or multibody models of for example seabed and vessel. The chain-like topology enables the efficient use of recursive solution procedures for both transient dynamic analysis and equilibrium analysis. For this, the transfer matrix method is used. In order to improve the convergence of the equilibrium analysis, the analytical solution of an ideal catenary is used as an initial configuration, reducing the number of required iterations.
NASA Astrophysics Data System (ADS)
Saito, Mitsuyo; Onodera, Shin-ichi; Jin, Guangzhe; Shimizu, Yuta; Taniguchi, Masanobu
2018-12-01
In this study, we examined the nitrogen dynamics of a highly urbanized coastal area, focusing on the impacts of sewage-derived nitrogen. High levels of dissolved inorganic nitrogen were detected in seawater near treated sewage effluent (TSE) discharge points before decreasing in the offshore direction, suggesting that the impact zone of sewage effluent is about 1-2 km from the discharge point. The stable isotope ratios of nitrate and particulate organic nitrogen suggest nitrogen uptake by phytoplankton as well as dilution by offshore seawater, which contributed to a decrease in sewage-derived nitrogen levels. However, the extent of the impact zone was controlled by tidal variations and differences in temperature between the TSE and seawater. Our results also identify nitrogen transport processes, through exchange between seawater and sediment pore water, as an additional important source of nitrogen in the study area.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Roberts, Jesse D.; Jason Magalen; Craig Jones
This guidance document provide s the reader with an overview of the key environmental considerations for a typical offshore wind coastal location and the tools to help guide the reader through a thoro ugh planning process. It will enable readers to identify the key coastal processes relevant to their offshore wind site and perform pertinent analysis to guide siting and layout design, with the goal of minimizing costs associated with planning, permitting , and long - ter m maintenance. The document highlight s site characterization and assessment techniques for evaluating spatial patterns of sediment dynamics in the vicinity of amore » wind farm under typical, extreme, and storm conditions. Finally, the document des cribe s the assimilation of all of this information into the conceptual site model (CSM) to aid the decision - making processes.« less
Hystad, Sigurd W; Bartone, Paul T; Eid, Jarle
2014-01-01
Much research has now documented the substantial influence of safety climate on a range of important outcomes in safety critical organizations, but there has been scant attention to the question of what factors might be responsible for positive or negative safety climate. The present paper draws from positive organizational behavior theory to test workplace and individual factors that may affect safety climate. Specifically, we explore the potential influence of authentic leadership style and psychological capital on safety climate and risk outcomes. Across two samples of offshore oil-workers and seafarers working on oil platform supply ships, structural equation modeling yielded results that support a model in which authentic leadership exerts a direct effect on safety climate, as well as an indirect effect via psychological capital. This study shows the importance of leadership qualities as well as psychological factors in shaping a positive work safety climate and lowering the risk of accidents.
Hystad, Sigurd W.; Bartone, Paul T.; Eid, Jarle
2013-01-01
Much research has now documented the substantial influence of safety climate on a range of important outcomes in safety critical organizations, but there has been scant attention to the question of what factors might be responsible for positive or negative safety climate. The present paper draws from positive organizational behavior theory to test workplace and individual factors that may affect safety climate. Specifically, we explore the potential influence of authentic leadership style and psychological capital on safety climate and risk outcomes. Across two samples of offshore oil-workers and seafarers working on oil platform supply ships, structural equation modeling yielded results that support a model in which authentic leadership exerts a direct effect on safety climate, as well as an indirect effect via psychological capital. This study shows the importance of leadership qualities as well as psychological factors in shaping a positive work safety climate and lowering the risk of accidents. PMID:24454524
NASA Astrophysics Data System (ADS)
Zolfaghari, M. R.; Ajamy, A.; Asgarian, B.
2015-12-01
The primary goal of seismic reassessment procedures in oil platform codes is to determine the reliability of a platform under extreme earthquake loading. Therefore, in this paper, a simplified method is proposed to assess seismic performance of existing jacket-type offshore platforms (JTOP) in regions ranging from near-elastic to global collapse. The simplified method curve exploits well agreement between static pushover (SPO) curve and the entire summarized interaction incremental dynamic analysis (CI-IDA) curve of the platform. Although the CI-IDA method offers better understanding and better modelling of the phenomenon, it is a time-consuming and challenging task. To overcome the challenges, the simplified procedure, a fast and accurate approach, is introduced based on SPO analysis. Then, an existing JTOP in the Persian Gulf is presented to illustrate the procedure, and finally a comparison is made between the simplified method and CI-IDA results. The simplified method is very informative and practical for current engineering purposes. It is able to predict seismic performance elasticity to global dynamic instability with reasonable accuracy and little computational effort.
A behavior-oriented dynamic model for sandbar migration and 2DH evolution
Splinter, K.D.; Holman, R.A.; Plant, N.G.
2011-01-01
A nonlinear model is developed to study the time-dependent relationship between the alongshore variability of a sandbar, a(t), and alongshore-averaged sandbar position, xc(t). Sediment transport equations are derived from energetics-based formulations. A link between this continuous physical representation and a parametric form describing the migration of sandbars of constant shape is established through a simple transformation of variables. The model is driven by offshore wave conditions. The parametric equations are dynamically coupled such that changes in one term (i.e., xc) drive changes in the other (i.e., a(t)). The model is tested on 566 days of data from Palm Beach, New South Wales, Australia. Using weighted nonlinear least squares to estimate best fit model coefficients, the model explained 49% and 41% of the variance in measured xc and a(t), respectively. Comparisons against a 1-D horizontal (1DH) version of the model showed significant improvements when the 2DH terms were included (1DH and 2DH Brier skill scores were -0.12 and 0.42, respectively). Onshore bar migration was not predicted in the 1DH model, while the 2DH model correctly predicted onshore migration in the presence of 2DH morphology and allowed the bar to remain closer to shore for a given amount of breaking, providing an important hysteresis to the system. The model is consistent with observations that active bar migration occurs under breaking waves with onshore migration occurring at timescales of days to weeks and increasing 2DH morphology, while offshore migration occurs rapidly under high waves and coincides with a reduction in 2DH morphology. Copyright ?? 2011 by the American Geophysical Union.
Marine fish community structure and habitat associations on the Canadian Beaufort shelf and slope
NASA Astrophysics Data System (ADS)
Majewski, Andrew R.; Atchison, Sheila; MacPhee, Shannon; Eert, Jane; Niemi, Andrea; Michel, Christine; Reist, James D.
2017-03-01
Marine fishes in the Canadian Beaufort Sea have complex interactions with habitats and prey, and occupy a pivotal position in the food web by transferring energy between lower- and upper-trophic levels, and also within and among habitats (e.g., benthic-pelagic coupling). The distributions, habitat associations, and community structure of most Beaufort Sea marine fishes, however, are unknown thus precluding effective regulatory management of emerging offshore industries in the region (e.g., hydrocarbon development, shipping, and fisheries). Between 2012 and 2014, Fisheries and Oceans Canada conducted the first baseline survey of offshore marine fishes, their habitats, and ecological relationships in the Canadian Beaufort Sea. Benthic trawling was conducted at 45 stations spanning 18-1001 m depths across shelf and slope habitats. Physical oceanographic variables (depth, salinity, temperature, oxygen), biological variables (benthic chlorophyll and integrated water-column chlorophyll) and sediment composition (grain size) were assessed as potential explanatory variables for fish community structure using a non-parametric statistical approach. Selected stations were re-sampled in 2013 and 2014 for a preliminary assessment of inter-annual variability in the fish community. Four distinct fish assemblages were delineated on the Canadian Beaufort Shelf and slope: 1) Nearshore-shelf: <50 m depth, 2) Offshore-shelf: >50 and ≤200 m depths, 3) Upper-slope: ≥200 and ≤500 m depths, and 4) Lower-slope: ≥500 m depths. Depth was the environmental variable that best explained fish community structure, and each species assemblage was spatially associated with distinct aspects of the vertical water mass profile. Significant differences in the fish community from east to west were not detected, and the species composition of the assemblages on the Canadian Beaufort Shelf have not changed substantially over the past decade. This community analysis provides a framework for testing hypotheses regarding the trophic dynamics and ecosystem roles of Beaufort Sea marine fishes, including biological linkages (i.e., fish movements and trophic interactions) among offshore habitats. Understanding regional-scale habitat associations will also provide context to identify potentially unique and/or sensitive habitats and fish community characteristics, thus aiding identification of ecologically and biologically significant areas, and to inform conservation efforts.
Waldner, J.S.; Hall, D.W.; Uptegrove, J.; Sheridan, R.E.; Ashley, G.M.; Esker, D.
1999-01-01
Beach replenishment serves the dual purpose of maintaining a source of tourism and recreation while protecting life and property. For New Jersey, sources for beach sand supply are increasingly found offshore. To meet present and future needs, geologic and geophysical techniques can be used to improve the identification, volume estimation, and determination of suitability, thereby making the mining and managing of this resource more effective. Current research has improved both data collection and interpretation of seismic surveys and vibracore analysis for projects investigating sand ridges offshore of New Jersey. The New Jersey Geological Survey in cooperation with Rutgers University is evaluating the capabilities of digital seismic data (in addition to analog data) to analyze sand ridges. The printing density of analog systems limits the dynamic range to about 24 dB. Digital acquisition systems with dynamic ranges above 100 dB can permit enhanced seismic profiles by trace static correction, deconvolution, automatic gain scaling, horizontal stacking and digital filtering. Problems common to analog data, such as wave-motion effects of surface sources, water-bottom reverberation, and bubble-pulse-width can be addressed by processing. More than 160 line miles of digital high-resolution continuous profiling seismic data have been collected at sand ridges off Avalon, Beach Haven, and Barnegat Inlet. Digital multichannel data collection has recently been employed to map sand resources within the Port of New York/New Jersey expanded dredge-spoil site located 3 mi offshore of Sandy Hook, New Jersey. Multichannel data processing can reduce multiples, improve signal-to-noise calculations, enable source deconvolution, and generate sediment acoustic velocities and acoustic impedance analysis. Synthetic seismograms based on empirical relationships among grain size distribution, density, and velocity from vibracores are used to calculate proxy values for density and velocity. The seismograms are then correlated to the digital seismic profile to confirm reflected events. They are particularly useful where individual reflection events cannot be detected but a waveform generated by several thin lithologic units can be recognized. Progress in application of geologic and geophysical methods provides advantages in detailed sediment analysis and volumetric estimation of offshore sand ridges. New techniques for current and ongoing beach replenishment projects not only expand our knowledge of the geologic processes involved in sand ridge origin and development, but also improve our assessment of these valuable resources. These reconnaissance studies provide extensive data to the engineer regarding the suitability and quantity of sand and can optimize placement and analysis of vibracore samples.Beach replenishment serves the dual purpose of maintaining a source of tourism and recreation while protecting life and property. Research has improved both data collection and interpretation of seismic surveys and vibracore analysis for projects investigating sand ridges offshore of New Jersey. The New Jersey Geological Survey in cooperation with Rutgers University is evaluating the capabilities of digital seismic data to analyze sand ridges. The printing density of analog systems limits the dynamic range to about 24 dB. Digital acquisition systems with dynamic ranges about 100 dB can permit enhanced seismic profiles by trace static correction, deconvolution, automatic gain scaling, horizontal stacking and digital filtering.
Development of a 5 MW reference gearbox for offshore wind turbines: 5 MW reference gearbox
DOE Office of Scientific and Technical Information (OSTI.GOV)
Nejad, Amir Rasekhi; Guo, Yi; Gao, Zhen
2015-07-27
This paper presents detailed descriptions, modeling parameters and technical data of a 5MW high-speed gearbox developed for the National Renewable Energy Laboratory offshore 5MW baseline wind turbine. The main aim of this paper is to support the concept studies and research for large offshore wind turbines by providing a baseline gearbox model with detailed modeling parameters. This baseline gearbox follows the most conventional design types of those used in wind turbines. It is based on the four-point supports: two main bearings and two torque arms. The gearbox consists of three stages: two planetary and one parallel stage gears. The gearmore » ratios among the stages are calculated in a way to obtain the minimum gearbox weight. The gearbox components are designed and selected based on the offshore wind turbine design codes and validated by comparison to the data available from large offshore wind turbine prototypes. All parameters required to establish the dynamic model of the gearbox are then provided. Moreover, a maintenance map indicating components with high to low probability of failure is shown. The 5 MW reference gearbox can be used as a baseline for research on wind turbine gearboxes and comparison studies. It can also be employed in global analysis tools to represent a more realistic model of a gearbox in a coupled analysis.« less
NASA Astrophysics Data System (ADS)
Zhang, Hua-qing; Sun, Xi-ping; Wang, Yuan-zhan; Yin, Ji-long; Wang, Chao-yang
2015-10-01
There has been a growing trend in the development of offshore deep-water ports in China. For such deep sea projects, all-vertical-piled wharves are suitable structures and generally located in open waters, greatly affected by wave action. Currently, no systematic studies or simplified numerical methods are available for deriving the dynamic characteristics and dynamic responses of all-vertical-piled wharves under wave cyclic loads. In this article, we compare the dynamic characteristics of an all-vertical-piled wharf with those of a traditional inshore high-piled wharf through numerical analysis; our research reveals that the vibration period of an all-vertical-piled wharf under cyclic loading is longer than that of an inshore high-piled wharf and is much closer to the period of the loading wave. Therefore, dynamic calculation and analysis should be conducted when designing and calculating the characteristics of an all-vertical-piled wharf. We establish a dynamic finite element model to examine the dynamic response of an all-vertical-piled wharf under wave cyclic loads and compare the results with those under wave equivalent static load; the comparison indicates that dynamic amplification of the structure is evident when the wave dynamic load effect is taken into account. Furthermore, a simplified dynamic numerical method for calculating the dynamic response of an all-vertical-piled wharf is established based on the P-Y curve. Compared with finite element analysis, the simplified method is more convenient to use and applicable to large structural deformation while considering the soil non-linearity. We confirmed that the simplified method has acceptable accuracy and can be used in engineering applications.
1975-02-01
and PoZonium- 210 Investigations of lead- 210 and polonium - 210 in sediments offshore of the 4 Columbia River are under way, with the dual aims of...Geochemical bepb’~for of mercury in Bellingham Bay .. .. ....... 45IiD Lead-ZlO. and polonium -ZlO. .. ............... ..... 46 E. Hydrocarbons in Lake...Biological oceanography, marine food chain dynamics, carbon cycling in the ocean. Martin, Seelye,Ph.D., Johns Hopkins. Geophysical fluid dynamics
Dynamics modeling and loads analysis of an offshore floating wind turbine
NASA Astrophysics Data System (ADS)
Jonkman, Jason Mark
The vast deepwater wind resource represents a potential to use offshore floating wind turbines to power much of the world with renewable energy. Many floating wind turbine concepts have been proposed, but dynamics models, which account for the wind inflow, aerodynamics, elasticity, and controls of the wind turbine, along with the incident waves, sea current, hydrodynamics, and platform and mooring dynamics of the floater, were needed to determine their technical and economic feasibility. This work presents the development of a comprehensive simulation tool for modeling the coupled dynamic response of offshore floating wind turbines, the verification of the simulation tool through model-to-model comparisons, and the application of the simulation tool to an integrated loads analysis for one of the promising system concepts. A fully coupled aero-hydro-servo-elastic simulation tool was developed with enough sophistication to address the limitations of previous frequency- and time-domain studies and to have the features required to perform loads analyses for a variety of wind turbine, support platform, and mooring system configurations. The simulation capability was tested using model-to-model comparisons. The favorable results of all of the verification exercises provided confidence to perform more thorough analyses. The simulation tool was then applied in a preliminary loads analysis of a wind turbine supported by a barge with catenary moorings. A barge platform was chosen because of its simplicity in design, fabrication, and installation. The loads analysis aimed to characterize the dynamic response and to identify potential loads and instabilities resulting from the dynamic couplings between the turbine and the floating barge in the presence of combined wind and wave excitation. The coupling between the wind turbine response and the barge-pitch motion, in particular, produced larger extreme loads in the floating turbine than experienced by an equivalent land-based turbine. Instabilities were also found in the system. The influence of conventional wind turbine blade-pitch control actions on the pitch damping of the floating turbine was also assessed. Design modifications for reducing the platform motions, improving the turbine response, and eliminating the instabilities are suggested. These suggestions are aimed at obtaining cost-effective designs that achieve favorable performance while maintaining structural integrity.
Influence of occupational stress on mental health among Chinese off-shore oil workers.
Chen, Wei-Qing; Wong, Tze-Wai; Yu, Tak-Sun
2009-09-01
To explore the influence of occupational stress on mental health in off-shore oil production. A cross-sectional survey was conducted among 561 Chinese off-shore oil workers. The workers were invited to fill in a self-administered questionnaire exploring their socio-demographic characteristics, occupational stress levels, and 12-item general health questionnaire. A hierarchical multiple regression procedure was used to assess the effects of occupational stress on mental health. After controlling for age, educational level, marital status and years of off-shore work, poor mental health was found to have a significant positive association with seven of the nine identified sources of occupational stress. They were: conflict between job and family/social life, poor development of career and achievement at work, safety problems at work, management problems and poor relationship with others at work, poor physical environment of the work place, uncomfortable ergonomic factors at work, and poor organizational structure at work. All of these occupational stress sources together explained 19.9% of the total variance. The results confirmed that occupational stress was a major risk factor for poor mental health among Chinese off-shore oil workers. Reducing or eliminating occupational stressors at work would benefit workers' mental health.
The vertical structure of the circulation and dynamics in Hudson Shelf Valley
Lentz, Steven J.; Butman, Bradford; Harris, Courtney K.
2014-01-01
Hudson Shelf Valley is a 20–30 m deep, 5–10 km wide v-shaped submarine valley that extends across the Middle Atlantic Bight continental shelf. The valley provides a conduit for cross-shelf exchange via along-valley currents of 0.5 m s−1 or more. Current profile, pressure, and density observations collected during the winter of 1999–2000 are used to examine the vertical structure and dynamics of the flow. Near-bottom along-valley currents having times scales of a few days are driven by cross-shelf pressure gradients setup by wind stresses, with eastward (westward) winds driving onshore (offshore) flow within the valley. The along-valley momentum balance in the bottom boundary layer is predominantly between the pressure gradient and bottom stress because the valley bathymetry limits current veering. Above the bottom boundary layer, the flow veers toward an along-shelf (cross-valley) orientation and a geostrophic balance with some contribution from the wind stress (surface Ekman layer). The vertical structure and strength of the along-valley current depends on the magnitude and direction of the wind stress. During offshore flows driven by westward winds, the near-bottom stratification within the valley increases resulting in a thinner bottom boundary layer and weaker offshore currents. Conversely, during onshore flows driven by eastward winds the near-bottom stratification decreases resulting in a thicker bottom boundary layer and stronger onshore currents. Consequently, for wind stress magnitudes exceeding 0.1 N m−2, onshore along-valley transport associated with eastward wind stress exceeds the offshore transport associated with westward wind stress of the same magnitude.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dill, R.F.; Slosson, J.E.
1993-04-01
The configuration and stability of the present coast line near Abalone Cove, on the south side of Palos Verdes Peninsula, California is related to the geology, oceanographic conditions, and recent and ancient landslide activity. This case study utilizes offshore high resolution seismic profiles, side-scan sonar, diving, and coring, to relate marine geology to the stability of a coastal region with known active landslides utilizing a desk top computer and off-the-shelf software. Electronic navigation provided precise positioning that when applied to computer generated charts permitted correlation of survey data needed to define the offshore geology and sea floor sediment patterns. Amore » mackintosh desk-top computer and commercially available off-the-shelf software provided the analytical tools for constructing a base chart and a means to superimpose template overlays of topography, isopachs or sediment thickness, bottom roughness and sediment distribution patterns. This composite map of offshore geology and oceanography was then related to an extensive engineering and geological land study of the coastal zone forming Abalone Cove, an area of active landslides. Vibrocoring provided ground sediment data for high resolution seismic traverses. This paper details the systems used, present findings relative to potential landslide movements, coastal erosion and discuss how conclusions were reached to determine whether or not onshore landslide failures extend offshore.« less
NASA Astrophysics Data System (ADS)
García-Hermosa, Isabel; Abcha, Nizar; Brossard, Jérôme; Bennis, Anne-Claire; Ezersky, Alexander; Gross, Marcus; Iglesias, Gregorio; Magar, Vanesa; Miles, Jon; Mouazé, Dominique; Perret, Gaële; Pinon, Grégory; Rivier, Aurélie; Rogan, Charlie; Simmonds, David
2015-04-01
Offshore wind technology is currently the most widespread and advanced source of marine renewable energy. Offshore wind farms populate waters through the North Sea and the English Channel. The UK and French governments devised deadlines to achieve percentages of electricity from renewable sources by 2020, these deadlines and the direct translation of land based wind farm technology to the offshore environment resulted in the rapid expansion of the offshore wind energy. New wind farms have been designed with a larger number of masts and are moving from shallow offshore banks to deeper waters and in order to produce more power the diameters of monopoles masts are becoming larger to support larger turbines. The three-partner EU INTERREG funded project OFELIA (http://www.interreg-ofelia.eu/) aims to establish a cross-channel (between the UK and France) research collaboration to improve understanding of the environmental impacts of offshore wind farm foundations. The objective of the present study is to characterise changes in the hydrodynamics and sea bed in the vicinity of an offshore wind farm mast and in the wake area under wave and wave-current conditions corresponding to events in the French wind farm site of Courseulles-sur-mer (offshore of Lower Normandy, in the English Channel). Experiments were carried out in two laboratory facilities: a wave flume of 35 m long, 0.9 m wide and 1.2 m in depth with regular and irregular waves (García-Hermosa et al., 2014); and a wave and current flume of 17 m long, 0.5 m wide and 0.4 m depth with regular waves, currents from 180° to the waves and a mobile bed (Gunnoo et al., 2014). Flow velocity measurements were taken with an Acoustic Dopple Velocimeter (ADV) at various points around the cylinder and Particle Image Velocitmetry (PIV) techniques were applied to larger areas upstream and downstream of the cylinder. During the assessment of waves and currents' effects on the bed evolution were assessed using a laser and camera system photographing the bed (Marin & Ezersky, 2007, and Jarno-Druaux et al., 2004). Velocity fields, and flow structures around the cylinder at low KC numbers (KC~1) were characterised and parameters such as vorticity, turbulent kinetic energy and bed shear stresses derived where possible. During the experiments vortex structures with a horizontal axis were observed in the vicinity of the cylinder and the bed even at low KC. The Keulegan-Carpenter number (KC) is defined as: KC = UmT- D, where Um is the bottom orbital velocity, T the peak period and D the pile diameter. As part of the project, the findings from the experiments fed into a regional numerical modelling (Rivier et al., 2014) to improve parametrisation of the representation of the within-cell processes (local to the mast). References García-Hermosa, M. I., Brossard, J., Cohen, Z., Perret, G. (2014). Experimental characterisation of wave induced flow fields due to an offshore wind farm mast. First International Conference on Renewable Energies Offshore (RENEW) Lisbon, Portugal. November 2014. Gunnoo, H., Abcha, N., Mouazé, D., Ezersky, A., García-Hermosa, M. I. (2014). Laboratory simulation of resonance amplification of the hydrodynamic fields in the vicinity of wind farm masts. Proceedings of the First International Conference on Renewable Energies Offshore (RENEW) Lisbon, Portugal. November 2014. Jarno-Druaux, A., Brossard, J., Marin, F. (2004). Dynamical evolution of ripples in a wave channel, European Journal of Mechanics B/Fluids 23: 695-708. Marin, F. and Ezersky, A. B. (2007). Formation dynamics of sand bedforms under solitons and bound states of solitons in a wave flume used in resonant mode. European Journal of Mechanics - B/Fluids, Elsevier, 2008, 27 (3), pp.251-267. Rivier, A., Bennis, A.-C., Pinon, G., Gross, M., Magar, V. (2014). Regional numerical modelling of offshore monopile wind turbine impacts on hydrodynamics and sediment transport. Proceeding of the 1st International Conference on Renewable Energies Offshore (RENEW) Lisbon, Portugal. November 2014.
The Race to Nourish: Exploring resource equity in a coupled human coastline model
NASA Astrophysics Data System (ADS)
Williams, Z. C.; McNamara, D.; Murray, A.; Smith, M.
2011-12-01
Many coastal communities are faced with eroding shorelines due to gradients in the alongshore transport of sediment and rising sea level. These communities often employ a beach nourishment mitigation strategy to counter erosion from natural forces. These nourishment activities provide economic benefits in the form of protection from storms and enhanced recreation on the stabilized beach. Previous work has shown that economically optimal nourishment decisions indicate that rising nourishment costs can lead to more frequent nourishment. Given that the cost of nourishing is likely to rise as offshore sediment borrow sites become more scarce, this suggests a positive feedback whereby nourishment that dwindles offshore borrow sites causes more frequent nourishment. We explore the dynamics of this feedback in a coupled economic-coastline model and how resulting long term shoreline and economic patterns respond to forcing changes in the form of increased sea level rise and changing storminess along both a straight shoreline and a cuspate Carolina like shoreline. The economic model utilizes myopic manager agents that inform a community of the optimal nourishment interval based on the current cost of sand and locally observed erosion rate since the last nourishment episode. Communities nourish independently but can affect the erosion rate of adjacent communities through alongshore sediment transport dynamics. The coastline model tracks large-scale coastline change via alongshore sediment transport calculations and erosion due to rising sea level. Model experiments show that when the economic model is coupled to a flat coastline, the feedback in sand cost leads to resource inequity as communities that become caught in the feedback nourish frequently while adjacent communities maintain coastline position by "free riding" on these neighbor towns. Model experiments also show that on cuspate coastlines, the emergent cuspate features enhance the cost feedback and create unequal resource distributions similar to flat coastlines but in locations pre-determined by large-scale patterns of erosion associated with the cuspate features. As wave climates change, communities that are already caught in a nourishment feedback, are not able to adjust their behavior to the new wave climate. This hysteresis effect in nourishment suggests the need for large-spatial-scale management of coastlines to achieve resource equity.
Frontogenesis and turbulent mixing
NASA Astrophysics Data System (ADS)
Zhang, S.; Chen, F.; Shang, Q.
2017-12-01
A hydrological investigation was conducted in the shelf of eastern Hainan island during July 2012. With the in-situ measurements from four cross-shelf sections and satellite data, the submesoscale process of the fronts are discussed in this paper, the seasonal variation characteristics of thermal front, the three-dimensional structure, dynamic characteristics of frontal and mixed characteristics in the shelf sea of eastern Hainan island. It's obviously that the thermal front has a seasonal variation: the front is strongest in winter, and decreased gradually in spring and summer. However, it fade and disappear in fall. The core region of the front also changes with the seasons, it moved southward gradually from mainly distributed in the upwelling zone and the front center is not obvious in summer. it is a typical upwelling front in summer, the near shore is compensated with the underlying low-temperature and high-sale water , while the offshore is the high-temperature and low-salinity shelf water. The thermal front distribution is located in the 100m isobaths. The frontal intensity is reduced with increasing depth, and position goes to offshore. Subsurface temperature front is significantly higher in the surface of the sea, which may cause by the heating of nearshore sea surface water and lead to the weakening horizontal temperature gradient. Dynamic characteristics of the front has a great difference in both sides. The O(1) Rossby number is positive on the dense side and negative on the light side. The maximum of along-frontal velocity is 0.45m/s and the stretching is strengthened by strong horizontal shear, also is the potential vorticity, which can trace the cross front Ekman transport. We obtained the vertical velocity with by quasi-geostrophic omega equation and grasped the ageostrophic secondary circulation. The magnitude of frontal vertical velocity is O(10-5) and causes downwelling on the dense side and upwelling on the light side, which constitute the ageostrophic secondary circulation together with the cross-frontal ageostrophic speed. The mixed characteristic is weak in summer, but the large turbulent dissipation and mixing rate measured in the frontal region, which show that the front promoted exchange of material and energy in the upper ocean.
Offshore oil and gas drilling: a necessity for US energy security
DOE Office of Scientific and Technical Information (OSTI.GOV)
DiBona, C.J.
1984-12-06
The US remains vulnerable to significant interruptions in its oil supply, cautions the president of the American Petroleum Institute. Commenting on an increasingly precarious position maintained by the US, the author discusses government restrictions hindering development of domestic petroleum reserves and addresses the environmental concerns regarding offshore oil and gas drilling. Responsible efforts to increase production of these vital fuels will make an important contribution to the US economy and, the author urges, such action must begin soon.
Johnston, R.H.
1983-01-01
Hydrologic testing in an offshore oil well abandoned by Tenneco, Inc., determined the position of the saltwater-freshwater interface in Tertiary limestones underlying the Florida-Georgia continental shelf of the U.S.A. Previous drilling (JOIDES and U.S.G.S. AMCOR projects) established the existence of freshwater far offshore in this area. At the Tenneco well 55 mi. (???88 km) east of Fernandina Beach, Florida, drill-stem tests made in the interval 1050-1070 ft. (320-326 m) below sea level in the Ocala Limestone recovered a sample with a chloride concentration of 7000 mg l-1. Formation water probably is slightly fresher. Pressure-head measurements indicated equivalent freshwater heads of 24-29 ft. (7.3-8.8 m) above sea level. At the coast (Fernandina Beach), a relatively thin transition zone separating freshwater and saltwater occurs at a depth of 2100 ft. (640 m) below sea level. Fifty-five miles (???88 km) offshore, at the Tenneco well, the base of freshwater is ???1100 ft. (???335 m) below sea level. The difference in approximate depth to the freshwater-saltwater transition at these two locations suggests an interface with a very slight landward slope. Assuming the Hubbert interface equation applies here (because the interface and therefore freshwater flow lines are nearly horizontal) the equilibrium depth to the interface should be 40 times the freshwater head above sea level. Using present-day freshwater heads along the coast in the Hubbert equation results in depths to the interface of less than the observed 2100 ft. (640 m). Substituting predevelopment heads in the equation yields depths greater than 2100 ft. (640 m). Thus the interface appears to be in a transient position between the position that would be compatible with present-day heads and the position that would be compatible with predevelopment heads. This implies that some movement of the interface from the predevelopment position has occurred during the past hundred years. The implied movement is incompatible with the hypothesis that the freshwater occurring far offshore in this area is trapped water remaining since the Pleistocene Epoch. ?? 1982.
Wave Attenuation on Muddy Bottoms Offshore Cassino Beach
2006-10-01
D.Sc Principal Investigator Laboratory for the Dynamics of Cohesive Sediments Federal University of Rio de Janeiro Rio de Janeiro , Brazil...5e. TASK NUMBER 5f. WORK UNIT NUMBER 7. PERFORMING ORGANIZATION NAME(S) AND ADDRESS(ES) Federal University of Rio de Janeiro ,Laboratory for the...Dynamics of Cohesive Sediments, Rio de Janeiro , Brazil, 8. PERFORMING ORGANIZATION REPORT NUMBER 9. SPONSORING/MONITORING AGENCY NAME(S) AND ADDRESS(ES
A Numerical Study of Sediment Dynamics during Hurricane Gustav
NASA Astrophysics Data System (ADS)
Zang, Z.; Xue, Z. G.; Bao, S.; Chen, Q. J.; Walker, N.; Haag, A.; Ge, Q.; Yao, Z.
2017-12-01
Hurricanes are capable of introducing serious sediment erosion and transport upon their landing. We employed the Coupled Ocean-Atmosphere-Wave-and-Sediment Transport Modeling system (COAWST) to explore hydro- and sediment dynamics in the northern Gulf of Mexico during Hurricane Gustav in 2008. Cohesive behavior was incorporated to estimate the influence of seabed swelling and consolidation on critical shear stress. Upon Gustav's landfall in coastal Louisiana, the maximum significant wave heights reached more than 10 m offshore and dropped quickly upon moving toward the inner shelf, where vertical mixing was prevalent. Westward alongshore currents were dominant to the east of the hurricane track, while offshore-directed currents prevailed to the west. Water with high suspended sediment concentrations was confined to the inner shelf within the surface layer while, at the bottom, high concentrations extended offshore to the 200 m isobaths. The stratification restored, although not fully, one week after the landfall. The asymmetric hurricane winds resulted in stronger hydrodynamics in the eastern sector, which gave rise to more severe erosion. Calculated suspended sediment flux (SSF) was convergent to the hurricane center and its value peaked near the south and southeast of the Mississippi River delta, reaching 70 g/m2/s. Post-hurricane deposition in coastal Louisiana was estimated up to 6.1 cm, which could be 5-40 times higher than those under normal weather conditions.
NASA Astrophysics Data System (ADS)
Calderer, Antoni; Guo, Xin; Shen, Lian; Sotiropoulos, Fotis
2018-02-01
We develop a numerical method for simulating coupled interactions of complex floating structures with large-scale ocean waves and atmospheric turbulence. We employ an efficient large-scale model to develop offshore wind and wave environmental conditions, which are then incorporated into a high resolution two-phase flow solver with fluid-structure interaction (FSI). The large-scale wind-wave interaction model is based on a two-fluid dynamically-coupled approach that employs a high-order spectral method for simulating the water motion and a viscous solver with undulatory boundaries for the air motion. The two-phase flow FSI solver is based on the level set method and is capable of simulating the coupled dynamic interaction of arbitrarily complex bodies with airflow and waves. The large-scale wave field solver is coupled with the near-field FSI solver with a one-way coupling approach by feeding into the latter waves via a pressure-forcing method combined with the level set method. We validate the model for both simple wave trains and three-dimensional directional waves and compare the results with experimental and theoretical solutions. Finally, we demonstrate the capabilities of the new computational framework by carrying out large-eddy simulation of a floating offshore wind turbine interacting with realistic ocean wind and waves.
Remote sensing and ichthyoplankton ecology of coastal upwelling fronts off central California
NASA Astrophysics Data System (ADS)
Bjorkstedt, Eric Peter
1998-11-01
Recruitment to many marine populations is determined by processes affecting survival and transport of planktonic larvae. Coastal upwelling poses a trade-off between larval access to high productivity supported by upwelled nutrients and increased risk of offshore transport and failure to return to coastal habitats. I used plankton surveys, remote sensing, and a simple model to investigate the role of coastal upwelling fronts and behavior in pelagic ecology and recruitment success, focussing on rockfish (Sebastes spp.) off central California. Distributions of early stage larvae suggest that coastal upwelling fronts reduce offshore transport of rockfish larvae, in contrast to distributions of taxa with life histories that minimize larval exposure to strong upwelling. Coincident distributions of larval fish, prey (i.e., small copepods and invertebrate eggs) and phytoplankton patches indicate that coastal upwelling fronts provide enhanced foraging conditions for larvae. Thus, coastal upwelling fronts may allow coastal taxa to successfully exploit high productivity during the upwelling season while reducing the risk of offshore transport. I developed a novel method for utilizing a single HF radar to resolve currents and detect fronts that matched sea surface temperature fronts generated by coastal upwelling. Fronts and currents detected with NF radar affect distributions and transport of planktonic larval fish and intertidal barnacle larvae, demonstrating that remote sensing with HF radar can support field and modelling research on ecological dynamics in coastal marine systems. I used an empirically-based model that incorporated the advection-foraging trade-off and long-distance swimming as an active settlement behavior to investigate optimal settlement strategies as a function of pelagic transport and growth. For parameters loosely describing pelagic stages of rockfish, the model predicts optimal settling strategies (ages and sizes) for pelagic juveniles that roughly match observed values for settling rockfish and suggests optimal spawning locations for adults. The model suggests that offshore transport is more important than growth in determining recruitment success. Thus, coastal upwelling fronts may favor recruitment more by reducing offshore transport than by providing rich food resources. Results of this model represent an initial step towards determining the role of active settlement behaviors in population dynamics and life history evolution.
Full load estimation of an offshore wind turbine based on SCADA and accelerometer data
NASA Astrophysics Data System (ADS)
Noppe, N.; Iliopoulos, A.; Weijtjens, W.; Devriendt, C.
2016-09-01
As offshore wind farms (OWFs) grow older, the optimal use of the actual fatigue lifetime of an offshore wind turbine (OWT) and predominantly its foundation will get more important. In case of OWTs, both quasi-static wind/thrust loads and dynamic loads, as induced by turbulence, waves and the turbine's dynamics, contribute to its fatigue life progression. To estimate the remaining useful life of an OWT, the stresses acting on the fatigue critical locations within the structure should be monitored continuously. Unfortunately, in case of the most common monopile foundations these locations are often situated below sea-level and near the mud line and thus difficult or even impossible to access for existing OWTs. Actual strain measurements taken at accessible locations above the sea level show a correlation between thrust load and several SCADA parameters. Therefore a model is created to estimate the thrust load using SCADA data and strain measurements. Afterwards the thrust load acting on the OWT is estimated using the created model and SCADA data only. From this model the quasi static loads on the foundation can be estimated over the lifetime of the OWT. To estimate the contribution of the dynamic loads a modal decomposition and expansion based virtual sensing technique is applied. This method only uses acceleration measurements recorded at accessible locations on the tower. Superimposing both contributions leads to a so-called multi-band virtual sensing. The result is a method that allows to estimate the strain history at any location on the foundation and thus the full load, being a combination of both quasi-static and dynamic loads, acting on the entire structure. This approach is validated using data from an operating Belgian OWF. An initial good match between measured and predicted strains for a short period of time proofs the concept.
Measuring and forecasting great tsunamis by GNSS-based vertical positioning of multiple ships
NASA Astrophysics Data System (ADS)
Inazu, D.; Waseda, T.; Hibiya, T.; Ohta, Y.
2016-12-01
Vertical ship positioning by the Global Navigation Satellite System (GNSS) was investigated for measuring and forecasting great tsunamis. We first examined existing GNSS vertical position data of a navigating vessel. The result indicated that by using the kinematic Precise Point Positioning (PPP) method, tsunamis greater than 10^-1 m can be detected from the vertical position of the ship. Based on Automatic Identification System (AIS) data, tens of cargo ships and tankers are regularly identified navigating over the Nankai Trough, southwest of Japan. We then assumed that a future Nankai Trough great earthquake tsunami will be observed by ships at locations based on AIS data. The tsunami forecast capability by these virtual offshore tsunami measurements was examined. A conventional Green's function based inversion was used to determine the initial tsunami height distribution. Tsunami forecast tests over the Nankai Trough were carried out using simulated tsunami data of the vertical positions of multiple cargo ships/tankers on a certain day, and of the currently operating observations by deep-sea pressure gauges and Global Positioning System (GPS) buoys. The forecast capability of ship-based tsunami height measurements alone was shown to be comparable to or better than that using the existing offshore observations.
NASA Astrophysics Data System (ADS)
Ge, J.; Torres, R.; Chen, C.; Bellerby, R. G. J.
2017-12-01
The Changjiang Estuary is characterized as strong river discharge into the inner shelf of the East China Sea with abundant sediment load, producing significant high-turbidity water coverage from river mouth to deep region. The growth of offshore phytoplankton is dynamically controlled by river flushed low-salinity and high-turbidity water, and salter water from inner shelf of East China Sea. During last decade, the sediment and nutrients from the Changjiang River has significantly changed, which lead to the variation of offshore phytoplankton dynamics. The variations of sediment, nutrients, and their influenced phytoplankton has been simulated through a comprehensive modeling system, which integrated a multi-scale current-wave-sediment FVCOM model and generic marine biogeochemistry and ecosystem ERSEM model through The Framework for Aquatic Biogeochemical Models (FABM). This model system has successfully revealed the seasonal and decadal variations of sediment, nutrients transport around the inner shelf of the East China Sea. The spring and autumn peaks of phytoplankton growth were correctly captured by simulation. The modeling results, as well as MODIS and GOCI remote sensing, shows a strong sediment decreasing from northern to southern region, which creates different patterns of Chlorophyll-a distribution and seasonal variations. These results indicate the high-turbidity water in northern region strongly influenced the light attenuation in the water column and limits the phytoplankton growth in this relatively higher-nutrient area, especially in the wintertime. The relatively low-turbidity southern region has significant productivity of phytoplankton, even during low-temperature winter. The phytoplankton growth increased in the northern region from 2005 to 2010, with the increase of the nutrient load during this period. Then it became a decreasing trend after 2010.
NASA Astrophysics Data System (ADS)
Yang, Jia Sheng
2018-06-01
In this paper, we investigate a H∞ memory controller with input limitation minimization (HMCIM) for offshore jacket platforms stabilization. The main objective of this study is to reduce the control consumption as well as protect the actuator when satisfying the requirement of the system performance. First, we introduce a dynamic model of offshore platform with low order main modes based on mode reduction method in numerical analysis. Then, based on H∞ control theory and matrix inequality techniques, we develop a novel H∞ memory controller with input limitation. Furthermore, a non-convex optimization model to minimize input energy consumption is proposed. Since it is difficult to solve this non-convex optimization model by optimization algorithm, we use a relaxation method with matrix operations to transform this non-convex optimization model to be a convex optimization model. Thus, it could be solved by a standard convex optimization solver in MATLAB or CPLEX. Finally, several numerical examples are given to validate the proposed models and methods.
Disentangling physical and biological drivers of phytoplankton dynamics in a coastal system.
Cianelli, Daniela; D'Alelio, Domenico; Uttieri, Marco; Sarno, Diana; Zingone, Adriana; Zambianchi, Enrico; d'Alcalà, Maurizio Ribera
2017-11-20
This proof-of-concept study integrates the surface currents measured by high-frequency coastal radars with plankton time-series data collected at a fixed sampling point from the Mediterranean Sea (MareChiara Long Term Ecological Research site in the Gulf of Naples) to characterize the spatial origin of phytoplankton assemblages and to scrutinize the processes ruling their dynamics. The phytoplankton community generally originated from the coastal waters whereby species succession was mainly regulated by biological factors (life-cycle processes, species-specific physiological performances and inter-specific interactions). Physical factors, e.g. the alternation between coastal and offshore waters and the horizontal mixing, were also important drivers of phytoplankton dynamics promoting diversity maintenance by i) advecting species from offshore and ii) diluting the resident coastal community so as to dampen resource stripping by dominant species and thereby increase the numerical importance of rarer species. Our observations highlight the resilience of coastal communities, which may favour their persistence over time and the prevalence of successional events over small time and space scales. Although coastal systems may act differently from one another, our findings provide a conceptual framework to address physical-biological interactions occurring in coastal basins, which can be generalised to other areas.
Reconstructing the intermittent dynamics of the torque in wind turbines
NASA Astrophysics Data System (ADS)
Lind, Pedro G.; Wächter, Matthias; Peinke, Joachim
2014-06-01
We apply a framework introduced in the late nineties to analyze load measurements in off-shore wind energy converters (WEC). The framework is borrowed from statistical physics and properly adapted to the analysis of multivariate data comprising wind velocity, power production and torque measurements, taken at one single WEC. In particular, we assume that wind statistics drives the fluctuations of the torque produced in the wind turbine and show how to extract an evolution equation of the Langevin type for the torque driven by the wind velocity. It is known that the intermittent nature of the atmosphere, i.e. of the wind field, is transferred to the power production of a wind energy converter and consequently to the shaft torque. We show that the derived stochastic differential equation quantifies the dynamical coupling of the measured fluctuating properties as well as it reproduces the intermittency observed in the data. Finally, we discuss our approach in the light of turbine monitoring, a particular important issue in off-shore wind farms.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Chevallier, J.; Turner, L.
This article describes the design and operation of Trident IX a successfully applied jack up system. A summary of Trident IX's two years of operation in the Arabian Gulf and offshore West Africa is presented. The system is compared to conventional jacking systems in terms of design, operation, costs and safety. Dynamic forces at 400 ft. water depths are summarized, and design of the legs to withstand these dynamic forces and accomodate the new system are explained. Features are listed.
Mette, Janika; Mache, Stefanie; Harth, Volker; Preisser, Alexandra M
2018-01-01
Objectives To assess the physical strains of employees in the German offshore wind industry, according to job type and phase of the wind farm (under construction or operation). Design Web-based cross-sectional survey. Setting Offshore wind farm companies operating within the German exclusive economic zone. Participants Male workers with regular offshore commitments and at least 28 days spent offshore in the past year (n=268). Outcome measures Physical strains (eg, climbing, noise, working overhead, with twisted upper body or in confined spaces, vibration, heavy lifting, humidity, odours). Results The most frequently mentioned physical strain was ’climbing’ with 63.8% of the respondents reporting to be always or frequently confronted with climbing and ascending stairs during offshore work. Work as a technician was associated with a greater exposition to noise, vibrations, humidity, cold, heat, chemical substances, lifting/carrying heavy loads, transport of equipment, working in non-ergonomic positions and in cramped spaces, as well as climbing. Indeed, statistical analyses showed that, after adjusting for phase of the wind farm, age, nationality, offshore experience, work schedule and type of shift, compared with non-technicians, working as a technician was associated with more frequently lifting/carrying of heavy loads (OR 2.58, 95% CI 1.58 to 4.23), transport of equipment (OR 2.06 95% CI 1.27 to 3.33), working with a twisted upper body (OR 2.85 95% CI 1.74 to 4.69), working overhead (OR 2.77 95% CI 1.67 to 4.58) and climbing (OR 2.30 95% CI 1.40 to 3.77). Working in wind farms under construction was strongly associated with increased and decreased exposure to humidity (OR 2.32 95% CI 1.38 to 3.92) and poor air quality (OR 0.58 95% CI 0.35 to 0.95), respectively. Conclusions Workers on offshore wind farms constitute a heterogeneous group, including a wide variety of occupations. The degree of exposure to detrimental physical strains varies depending on the type of job. Technicians are more exposed to ergonomic challenges than other offshore workers. PMID:29602849
Weinke, Anthony D; Kendall, Scott T; Kroll, Daniel J; Strickler, Eric A; Weinert, Maggie E; Holcomb, Thomas M; Defore, Angela A; Dila, Deborah K; Snider, Michael J; Gereaux, Leon C; Biddanda, Bopaiah A
2014-11-01
During the summers of 2002-2013, we measured rates of carbon metabolism in surface waters of six sites across a land-to-lake gradient from the upstream end of drowned river-mouth Muskegon Lake (ML) (freshwater estuary) to 19 km offshore in Lake Michigan (LM) (a Great Lake). Despite considerable inter-year variability, the average rates of gross production (GP), respiration (R) and net production (NP) across ML (604 ± 58, 222 ± 22 and 381 ± 52 µg C L -1 day -1 , respectively) decreased steeply in the furthest offshore LM site (22 ± 3, 55 ± 17 and -33 ± 15 µg C L -1 day -1 , respectively). Along this land-to-lake gradient, GP decreased by 96 ± 1%, whereas R only decreased by 75 ± 9%, variably influencing the carbon balance along this coastal zone. All ML sites were consistently net autotrophic (mean GP:R = 2.7), while the furthest offshore LM site was net heterotrophic (mean GP:R = 0.4). Our study suggests that pelagic waters of this Great Lakes coastal estuary are net carbon sinks that transition into net carbon sources offshore. Reactive and dynamic estuarine coastal zones everywhere may contribute similarly to regional and global carbon cycles.
2015-01-30
plan was to run sg178 in offshore-onshore transects with one end at J. Hildebrand’s HARP mooring at approximately 47° 30’N, 125° 21’W. Seaglider sg179...was to survey along the Washington coast just offshore of the 1000m isobath, with significant time spent surveying atop the HARP mooring mentioned...operations. Figure 4. Surfacing positions of Seagliders S/N178 (green) and S/N179 (red) 11JUN-12JUL2012. HARP mooring locations (Wiggins, private
Analysis of damaging process and crack propagation
NASA Astrophysics Data System (ADS)
Semenski, D.; Wolf, H.; Božić, Ž.
2010-06-01
Supervising and health monitoring of structures can assess the actual state of existing structures after initial loading or in the state of operation. Structural life management requires the integration of design and analysis, materials behavior and structural testing, as given for several examples. Procedure of survey of structural elements and criteria for their selection must be strongly defined as it is for the offshore gas platforms. Numerical analysis of dynamic loading is shown for the Aeolian vibrations of overhead transmission line conductors. Since the damper’s efficiency strongly depends on its position, the procedure of determining the optimum position of the damper is described. The optical method of caustics is established in isotropic materials for determination of the stress intensity factors (SIFs) of the cracks in deformed structures and is advantageously improved for the application to fiberreinforced composites. A procedure for simulation of crack propagation for multiple cracks was introduced and SIFs have been calculated by using finite element method. Crack growth of a single crack or a periodical array of cracks initiated at the stiffeners in a stiffened panel has been investigated.
Archer, Cristina L.; Colle, Brian A.; Veron, Dana L.; ...
2016-07-18
The marine boundary layer of the northeastern U.S. is studied with focus on wind speed, atmospheric stability, and turbulent kinetic energy (TKE), the three most relevant properties in the context of offshore wind power development. Two long-term observational data sets are analyzed. The first one consists of multilevel meteorological variables measured up to 60 m during 2003–2011 at the offshore Cape Wind tower, located near the center of the Nantucket Sound. The second data set comes from the 2013–2014 IMPOWR campaign (Improving the Modeling and Prediction of Offshore Wind Resources), in which wind and wave data were collected with newmore » instruments on the Cape Wind platform, in addition to meteorological data measured during 19 flight missions offshore of New York, Connecticut, Rhode Island, and Massachusetts. It is found that, in this region: (1) the offshore wind resource is remarkable, with monthly average wind speeds at 60 m exceeding 7 m s -1 all year round, highest winds in winter (10.1 m s -1) and lowest in summer (7.1 m s -1), and a distinct diurnal modulation, especially in summer; (2) the marine boundary layer is predominantly unstable (61% unstable vs. 21% neutral vs. 18% stable), meaning that mixing is strong, heat fluxes are positive, and the wind speed profile is often nonlogarithmic (~40% of the time); and (3) the shape of the wind speed profile (log versus nonlog) is an effective qualitative proxy for atmospheric stability, whereas TKE alone is not.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Archer, Cristina L.; Colle, Brian A.; Veron, Dana L.
The marine boundary layer of the northeastern U.S. is studied with focus on wind speed, atmospheric stability, and turbulent kinetic energy (TKE), the three most relevant properties in the context of offshore wind power development. Two long-term observational data sets are analyzed. The first one consists of multilevel meteorological variables measured up to 60 m during 2003–2011 at the offshore Cape Wind tower, located near the center of the Nantucket Sound. The second data set comes from the 2013–2014 IMPOWR campaign (Improving the Modeling and Prediction of Offshore Wind Resources), in which wind and wave data were collected with newmore » instruments on the Cape Wind platform, in addition to meteorological data measured during 19 flight missions offshore of New York, Connecticut, Rhode Island, and Massachusetts. It is found that, in this region: (1) the offshore wind resource is remarkable, with monthly average wind speeds at 60 m exceeding 7 m s -1 all year round, highest winds in winter (10.1 m s -1) and lowest in summer (7.1 m s -1), and a distinct diurnal modulation, especially in summer; (2) the marine boundary layer is predominantly unstable (61% unstable vs. 21% neutral vs. 18% stable), meaning that mixing is strong, heat fluxes are positive, and the wind speed profile is often nonlogarithmic (~40% of the time); and (3) the shape of the wind speed profile (log versus nonlog) is an effective qualitative proxy for atmospheric stability, whereas TKE alone is not.« less
Empirical parameterization of setup, swash, and runup
Stockdon, H.F.; Holman, R.A.; Howd, P.A.; Sallenger, A.H.
2006-01-01
Using shoreline water-level time series collected during 10 dynamically diverse field experiments, an empirical parameterization for extreme runup, defined by the 2% exceedence value, has been developed for use on natural beaches over a wide range of conditions. Runup, the height of discrete water-level maxima, depends on two dynamically different processes; time-averaged wave setup and total swash excursion, each of which is parameterized separately. Setup at the shoreline was best parameterized using a dimensional form of the more common Iribarren-based setup expression that includes foreshore beach slope, offshore wave height, and deep-water wavelength. Significant swash can be decomposed into the incident and infragravity frequency bands. Incident swash is also best parameterized using a dimensional form of the Iribarren-based expression. Infragravity swash is best modeled dimensionally using offshore wave height and wavelength and shows no statistically significant linear dependence on either foreshore or surf-zone slope. On infragravity-dominated dissipative beaches, the magnitudes of both setup and swash, modeling both incident and infragravity frequency components together, are dependent only on offshore wave height and wavelength. Statistics of predicted runup averaged over all sites indicate a - 17 cm bias and an rms error of 38 cm: the mean observed runup elevation for all experiments was 144 cm. On intermediate and reflective beaches with complex foreshore topography, the use of an alongshore-averaged beach slope in practical applications of the runup parameterization may result in a relative runup error equal to 51% of the fractional variability between the measured and the averaged slope.
NASA Astrophysics Data System (ADS)
González-Olalla, J. M.; Medina-Sánchez, J. M.; Cabrerizo, M. J.; Villar-Argáiz, Manuel; Sánchez-Castillo, Pedro M.; Carrillo, Presentación
2017-08-01
Autotrophic picoplankton (APP) is responsible for the vast majority of primary production in oligotrophic marine areas, such as the Alboran Sea. The increase in atmospheric dust deposition (e.g., from Sahara Desert) associated with global warming, together with the high UV radiation (UVR) on these ecosystems, may generate effects on APP hitherto unknown. We performed an observational study across the Alboran Sea to establish which factors control the abundance and distribution of APP, and we made a microcosm experiment in two distinct areas, nearshore and offshore, to predict the joint UVR × dust impact on APP at midterm scales. Our observational study showed that temperature (T) was the main factor explaining the APP distribution whereas total dissolved nitrogen positively correlated with APP abundance. Our experimental study revealed that Saharan dust inputs reduced or inverted the UVR damage on the photosynthetic quantum yield (ΦPSII) and picoplanktonic primary production (PPP) in the nearshore area but accentuated it in the offshore. This contrasting effect is partially explained by the nonphotochemical quenching, acting as a photorepair mechanism. Picoeukaryotes reflected the observed effects on the physiological and metabolic variables, and Synechococcus was the only picoprokaryotic group that showed a positive response under UVR × dust conditions. Our study highlights a dual sensitivity of nearshore versus offshore picoplankton to dust inputs and UVR fluxes, just at the time in which these two global-change factors show their highest intensities and may recreate a potential future response of the microbial food web under global-change conditions.
3D Airflow patterns over coastal foredunes: implications for aeolian sediment transport
NASA Astrophysics Data System (ADS)
Jackson, Derek W. T.; Cooper, Andrew G.; Baas, Andreas C. W.; Lynch, Kevin; Beyers, Meiring
2010-05-01
A fundamental criterion for the development of coastal sand dunes is usually highlighted as a significant onshore wind component of the local wind field. The presence of large sand dune systems on coasts where the predominant wind blows offshore is therefore difficult to explain and usually they are attributed to the past occurrence of onshore winds and, by implication, subsequent changes in climate. Recent studies have shown that offshore winds can be deflected or 'steered' by existing dunes so that their direction changes. This can occur to such an extent that a process known as 'flow reversal' can arise, whereby the initially offshore wind actually flows onshore at the beach. This process is important because it can cause sand to be blown from the beach and into the dunes, causing them to grow. This may be central in explaining the presence of extensive dunes on coasts where the dominant wind is offshore, but is also important in how dunes recover after periods of wave erosion during storms. Offshore winds have traditionally been excluded from sediment budget calculations for coastal dunes, but when they do transport sand onshore, this may have been an important oversight leading to significant underestimates of the volume of sand being transported by wind. This work investigates the controls on the processes and the mechanisms involved in deformation of the flow and resulting sediment transport at coastal foredunes in Northern Ireland. We use a combination of field measurement of wind and sediment transport coupled with state-of-the-art aerodynamic modelling using computational fluid dynamics (CFD) and 3-D sonic anemometry. Our working hypothesis is that offshore winds contribute substantially to foredune behaviour on leeside coasts. Preliminary results show strong reverse flow eddies in the seaward side of the foredunes during offshore wind events. These secondary flow reversals have been above velocity threshold and are transport capable. Using CFD modelling across a high resolution LIDAR surface of the dunes and beach we have isolated key areas of wind direction and velocity patterns which are important in aeolian transport budgets. Results are particularly important in post-storm recovery of foredunes damaged under wave action as offshore winds can initiate significant onshore transport, re-supplying the backbeach and foredune zones.
Teffer, Amy K; Staudinger, Michelle D; Taylor, David L; Juanes, Francis
2014-10-01
Trophic pathways and size-based bioaccumulation rates of total mercury were evaluated among recreationally caught albacore tuna (Thunnus alalunga), yellowfin tuna (Thunnus albacares), shortfin mako shark (Isurus oxyrinchus), thresher shark (Alopias vulpinus), and dolphinfish (Coryphaena hippurus) from offshore southern New England waters of the northwest Atlantic Ocean between 2008 and 2011. Mercury concentrations were highest in mako (2.65 ± 1.16 ppm) and thresher sharks (0.87 ± 0.71 ppm), and significantly lower in teleosts (albacore, 0.45 ± 0.14 ppm; yellowfin, 0.32 ± 0.09 ppm; dolphinfish, 0.20 ± 0.17 ppm). The relationship between body size and mercury concentration was positive and linear for tunas, and positive and exponential for sharks and dolphinfish. Mercury increased exponentially with δ (15)N values, a proxy for trophic position, across all species. Results demonstrate mercury levels are positively related to size, diet and trophic position in sharks, tunas, and dolphinfish, and the majority of fishes exhibited concentrations greater than the US EPA recommended limit. Copyright © 2014 Elsevier Ltd. All rights reserved.
Assessment of GNSS-based height data of multiple ships for measuring and forecasting great tsunamis
NASA Astrophysics Data System (ADS)
Inazu, Daisuke; Waseda, Takuji; Hibiya, Toshiyuki; Ohta, Yusaku
2016-12-01
Ship height positioning by the Global Navigation Satellite System (GNSS) was investigated for measuring and forecasting great tsunamis. We first examined GNSS height-positioning data of a navigating vessel. If we use the kinematic precise point positioning (PPP) method, tsunamis greater than 10-1 m will be detected by ship height positioning. Based on Automatic Identification System (AIS) data, we found that tens of cargo ships and tankers are usually identified to navigate over the Nankai Trough, southwest Japan. We assumed that a future Nankai Trough great earthquake tsunami will be observed by the kinematic PPP height positioning of an AIS-derived ship distribution, and examined the tsunami forecast capability of the offshore tsunami measurements based on the PPP-based ship height. A method to estimate the initial tsunami height distribution using offshore tsunami observations was used for forecasting. Tsunami forecast tests were carried out using simulated tsunami data by the PPP-based ship height of 92 cargo ships/tankers, and by currently operating deep-sea pressure and Global Positioning System (GPS) buoy observations at 71 stations over the Nankai Trough. The forecast capability using the PPP-based height of the 92 ships was shown to be comparable to or better than that using the operating offshore observatories at the 71 stations. We suppose that, immediately after the occurrence of a great earthquake, stations receiving successive ship information (AIS data) along certain areas of the coast would fail to acquire ship data due to strong ground shaking, especially near the epicenter. Such a situation would significantly deteriorate the tsunami-forecast capability using ship data. On the other hand, operational real-time analysis of seismic/geodetic data would be carried out for estimating a tsunamigenic fault model. Incorporating the seismic/geodetic fault model estimation into the tsunami forecast above possibly compensates for the deteriorated forecast capability.
Johnston, Richard H.; Bush, Peter W.; Krause, Richard E.; Miller, James A.; Sprinkle, Craig L.
1982-01-01
A summary of hydrologic testing in an offshore oil-test well (LB427) drilled for Tenneco, Inc., 55 miles east of Fernandina Beach, Florida, is presented. The interval tested (1,050 to 1,070 feet below sea level) is in a calcarenite that is equivalent to the Ocala Limestone (late Eocene) of onshore Florida and South Georgia. At this site the Ocala forms the highly productive Tertiary limestone aquifer system of the southeastern United States. Pressure-head measurements indicate an equivalent freshwater head of 24 to 29 feet above sea level. These pressure-head measurements and an earlier one made in the nearby JOIDES J- I hole are the only hydraulic head determinations to date in the offshore extensions of any of the aquifers underlying the Atlantic coastal plain. A drill-stem test recovered water samples containing about 7,000 milligrams per liter chloride. However, seawater used in the drilling process apparently contaminated the samples and the formation water is considered slightly fresher. The head and salinity data from the Tenneco well suggest that the sampled interval lies in the transition zone between fresh and seawater in the limestone aquifer. These data, when viewed with similar data from JOIDES J-I, show the transition zone to slope very slightly landward. The interface position is probably intermediate between a position compatible with present-day heads and a position compatible with predevelopment heads.
Warner, John C.; List, Jeffrey H.; Schwab, William C.; Voulgaris, George; Armstrong, Brandy N.; Marshall, N
2014-01-01
Locations along the inner-continental shelf offshore of Fire Island, NY, are characterized by a series of shoreface connected ridges (SFCRs). These sand ridges have approximate dimensions of 10 km in length, 3 km spacing, up to ~8 m ridge to trough relief, and are oriented obliquely at approximately 30 degrees clockwise from the coastline. Stability analysis from previous studies explains how sand ridges such as these could be formed and maintained by storm-driven flows directed alongshore with a key maintenance mechanism of offshore deflected flows over ridge crests and onshore in the troughs. We examine these processes both with a limited set of idealized numerical simulations and analysis of observational data. Model results confirm that along-shore flows over the SFCRs exhibit offshore veering of currents over the ridge crests and onshore-directed flows in the troughs, and demonstrate the opposite circulation pattern for a reverse wind. To further investigate these maintenance processes, oceanographic instruments were deployed at seven sites on the SFCRs offshore of Fire Island to measure water levels, ocean currents, waves, suspended-sediment concentrations, and bottom stresses from January to April 2012. Data analysis reveals that during storms with winds from the northeast the processes of offshore deflection of currents over ridge crests and onshore in the troughs were observed, and during storm events with winds from the southwest a reverse flow pattern over the ridges occurred. Computations of suspended-sediment fluxes identify periods that are consistent with SFCR maintenance mechanisms. Alongshore winds from the northeast drove fluxes offshore on the ridge crest and onshore in the trough that would tend to promote ridge maintenance. However, alongshore winds from the southwest drove opposite circulations. The wind fields are related to different storm types that occur in the region (low pressure systems, cold fronts, and warm fronts). From the limited data set we identify that low pressure systems drive sediment fluxes that tend to promote stability and maintain the SFCRs, while cold front type storms appear to drive circulations that are in the opposite sense and may not be a supporting mechanism for ridge maintenance.
Gorman, Owen T.; Yule, Daniel L.; Stockwell, Jason D.
2012-01-01
Diel migration patterns of fishes in nearshore (15–80 m depth) and offshore (>80 m) waters of Lake Superior were examined to assess the potential for diel migration to link benthic and pelagic, and nearshore and offshore habitats. In our companion article, we described three types of diel migration: diel vertical migration (DVM), diel bank migration (DBM), and no diel migration. DVM was expressed by fishes migrating from benthopelagic to pelagic positions and DBM was expressed by fishes migrating horizontally from deep to shallow waters at night. Fishes not exhibiting diel migration typically showed increased activity by moving from benthic to benthopelagic positions within demersal habitat. The distribution and biomass of fishes in Lake Superior was characterized by examining 704 bottom trawl samples collected between 2001 and 2008 from four depth zones: ≤40, 41–80, 81–160, and >160 m. Diel migration behaviors of fishes described in our companion article were applied to estimates of areal biomass (kg ha−1) for each species by depth zone. The relative strength of diel migrations were assessed by applying lake area to areal biomass estimates for each species by depth zone to yield estimates of lake-wide biomass (metric tonnes). Overall, species expressing DVM accounted for 83%, DBM 6%, and non-migration 11% of the total lake-wide community biomass. In nearshore waters, species expressing DVM represented 74% of the biomass, DBM 25%, and non-migration 1%. In offshore waters, species expressing DVM represented 85%, DBM 1%, and non-migration 14% of the biomass. Of species expressing DVM, 83% of total biomass occurred in offshore waters. Similarly, 97% of biomass of non-migrators occurred in offshore waters while 83% of biomass of species expressing DBM occurred in nearshore waters. A high correlation (R2 = 0.996) between lake area and community biomass by depth zone resulted in 81% of the lake-wide biomass occurring in offshore waters. Accentuating this nearshore-offshore trend was one of increasing estimated total areal biomass of the fish community with depth zone, which ranged from 13.71 kg ha−1 at depths ≤40 m to 18.81 kg ha−1 at depths >160 m, emphasizing the importance of the offshore fish community to the lake ecosystem. The prevalence of diel migration expressed by Lake Superior fishes increases the potential of fish to link benthic and pelagic and shallow and deepwater habitats. These linkages enhance the potential for habitat coupling, a condition where habitats become interconnected and interdependent through transfers of energy and nutrients. Habitat coupling facilitates energy and nutrient flow through a lake ecosystem, thereby increasing productivity, especially in large lakes where benthic and pelagic, and nearshore and offshore habitats are often well separated. We propose that the application of biomass estimates to patterns of diel migration in fishes can serve as a useful metric for assessing the potential for habitat linkages and habitat coupling in lake ecosystems, and provide an important indicator of ecosystem health and function. The decline of native Lake Trout and ciscoes and recent declines in exotic Alewife and Rainbow Smelt populations in other Great Lakes have likely reduced the capacity for benthic-pelagic coupling in these systems compared to Lake Superior. We recommend comparing the levels and temporal changes in diel migration in other Great Lakes as a means to assess changes in the relative health and function of these ecosystems.
Frontal Eddy Dynamics (FRED) experiment off North Carolina: Volume 1. Executive summary
DOE Office of Scientific and Technical Information (OSTI.GOV)
Ebbesmeyer, C.C.
1989-03-01
In preparation for oil and gas lease sales on the outer continental shelf offshore of North Carolina, the Minerals Management Service was requested to investigate the potential transport and impacts of oil spilled offshore. The Gulf Stream and associated eddies are an important aspect of the transport. Although the speed and location of the Gulf Stream are reasonably well known, knowledge of the meanders of the Gulf Stream is limited. How the circulatory structure and movement of associated frontal eddies and filaments affect the North Carolina coastal waters is not clear. This study investigates the interactions of these circulatory elementsmore » and follows the evolution of frontal eddies as they migrate along the North Carolina coast.« less
Moored offshore structures - evaluation of forces in elastic mooring lines
NASA Astrophysics Data System (ADS)
Crudu, L.; Obreja, D. C.; Marcu, O.
2016-08-01
In most situations, the high frequency motions of the floating structure induce important effects in the mooring lines which affect also the motions of the structure. The experience accumulated during systematic experimental tests and calculations, carried out for different moored floating structures, showed a complex influence of various parameters on the dynamic effects. Therefore, it was considered that a systematic investigation is necessary. Due to the complexity of hydrodynamics aspects of offshore structures behaviour, experimental tests are practically compulsory in order to be able to properly evaluate and then to validate their behaviour in real sea. Moreover the necessity to carry out hydrodynamic tests is often required by customers, classification societies and other regulatory bodies. Consequently, the correct simulation of physical properties of the complex scaled models becomes a very important issue. The paper is investigating such kind of problems identifying the possible simplification, generating different approaches. One of the bases of the evaluation has been found consideringtheresults of systematic experimental tests on the dynamic behaviour of a mooring chain reproduced at five different scales. Dynamic effects as well as the influences of the elasticity simulation for 5 different scales are evaluated together. The paper presents systematic diagrams and practical results for a typical moored floating structure operating as pipe layer based on motion evaluations and accelerations in waves.
Research of Cemented Paste Backfill in Offshore Environments
NASA Astrophysics Data System (ADS)
Wang, Kun; Yang, Peng; Lyu, Wensheng; Lin, Zhixiang
2018-01-01
To promote comprehensive utilization of mine waste tailings and control ground pressure, filling mine stopes with cement paste backfill (CPB) is becoming the most widely used and applicable method in contemporary underground mining. However, many urgent new problems have arisen during the exploitation in offshore mines owing to the complex geohydrology conditions. A series of rheological, settling and mechanical tests were carried out to study the influences of bittern ions on CPB properties in offshore mining. The results showed that: (1) the bittern ion compositions and concentrations of backfill water sampled in mine filling station were similar to seawater. Backfill water mixed CPB slurry with its higher viscosity coefficient was adverse to pipeline gravity transporting; (2) Bleeding rate of backfill water mixed slurry was lower than that prepared with tap water at each cement-tailings ratio; (3) The UCS values of backfill water mixed samples were higher at early curing ages (3d, 7d) and then became lower after longer curing time at 14d and 28d. Therefore, for mine production practice, the offshore environments can have adverse effects on the pipeline gravity transporting and have positive effects on stope dewatering process and early-age strength growth.
Inner shelf morphologic controls on the dynamics of the beach and bar system, Fire Island, New York
Hapke, Cheryl J.; Schwab, William C.; Gayes, Paul T.; McCoy, Clay; Viso, Richard; Lentz, Erika E.; Rosati, Julie D.; Wang, Ping; Roberts, Tiffany M.
2011-01-01
The mechanism of sediment exchange between offshore sand ridges and the beach at Fire Island, New York is largely unknown. However, recent evidence from repeat nearshore bathymetry surveys, coupled with the complex but consistent bar morphology and patterns of shoreline change demonstrate that there is a feedback occurring between the regional geologic framework and modern processes. Analysis of bathymetric survey data provides direct confirmation that the offshore ridges are connected to the shoreface and are spatially persistent. The fixed nature of the nearshore morphology is further supported by time series camera data that indicate persistent bars with breaks that re-form in the same locations. A long-term time series of shoreline change shows distinct zones of erosion and accretion that are pervasive over time scales greater than a half-century, and their length-scales are similar to the spacing of the offshore ridge-trough system. The first-order geologic framework is responsible for the existence and locations of the ridges and troughs, which then influence the morphodynamics of the beach and bar system.
NASA Astrophysics Data System (ADS)
Jackson, Derek W. T.; Beyers, Meiring; Delgado-Fernandez, Irene; Baas, Andreas C. W.; Cooper, Andrew J.; Lynch, Kevin
2013-04-01
On all sandy coastlines fringed by dunes, understanding localised air flow allows us to examine the potential sand transfer between the beach and dunes by wind-blown (Aeolian) action. Traditional thinking into this phenomenon had previously included only onshore winds as effective drivers of this transfer. Recent research by the authors, however, has shown that offshore air-flow too can contribute significantly, through lee-side back eddies, to the overall windblown sediment budget to coastal dunes. Under rising sea levels and increased erosion scenarios, this is an important process in any post-storm recovery of sandy beaches. Until now though, full visualisation in 3D of this newly recognised mechanism in offshore flows has not been achieved. Here, we show for the first time, this return flow eddy system using 3D computational fluid dynamics modelling, and reveal the presence of complex corkscrew vortices and other phenomena. The work highlights the importance of relatively small surface undulations in the dune crest which act to induce the spatial patterns of airflow (and transport) found on the adjacent beach.
NASA Astrophysics Data System (ADS)
Darnell, M. Z.
2016-02-01
Female blue crabs undertake a critical spawning migration seaward, migrating from low-salinity mating habitat to high-salinity waters of the lower estuaries and coastal ocean, where larval survival is highest. This migration occurs primarily through ebb tide transport, driven by an endogenous circatidal rhythm in vertical swimming that is modulated by behavioral responses to environmental cues. Blue crabs are typically considered an estuarine species and fisheries are managed on a state-by-state basis. Yet recent evidence from state and regional fishery independent survey programs suggests that the spawning migration can take females substantial distances offshore (>150 km), and that offshore waters are important spawning grounds for female blue crabs in the Gulf of Mexico. This is especially true in areas where freshwater inflow is high, resulting in low estuarine and coastal salinities. In low-salinity, high-inflow areas (e.g., Louisiana), spawning occurs further offshore while in high-salinity, low-inflow areas (e.g., South Texas), spawning takes place primarily within the estuary. Regional patterns in spawning locations both inshore and offshore are driven by interactions between behavioral mechanisms and local oceanographic conditions during the spawning migration. These environmentally driven differences in spawning locations have implications for larval survival and population connectivity, and emphasize the need for interjurisdictional assessment and management of the blue crab spawning stock.
NASA Astrophysics Data System (ADS)
Pritchard, Mark; Weller, Robert A.
2005-03-01
During July-August 2001, oceanographic variability on the New England inner continental shelf was investigated with an emphasis on temporal scales shorter than tidal periods. Mooring and ship survey data showed that subtidal variation of inner shelf stratification was in response to regional Ekman upwelling and downwelling wind driven dynamics. High-frequency variability in the vertical structure of the water column at an offshore mooring site was linked to the baroclinic internal tide and the onshore propagation of nonlinear solitary waves of depression. Temperature, salinity, and velocity data measured at an inshore mooring detected a bottom bore that formed on the flood phase of the tide. During the ebb tide, a second bottom discontinuity and series of nonlinear internal waves of elevation (IWOE) formed when the water column became for a time under hydraulic control. A surface manifestation of these internal wave crests was also observed in aircraft remote sensing imagery. The coupling of IWOE formation to the offshore solitary waves packets was investigated through internal wave breaking criterion derived in earlier laboratory studies. Results suggested that the offshore solitons shoaled on the sloping shelf, and transformed from waves of depression to waves of elevation. The coupling of inshore bore formation to the offshore solitary waves and the possible impact of these periodic features on mixing on the inner shelf region are discussed.
Spinoff For Deepsea Drillships
NASA Technical Reports Server (NTRS)
1979-01-01
For deepwater operations the self-propelled oil drillship is employed. This type of vessel resembles a cargo ship except for its large derrick, which supports the drilling equipment. Extending from the drillship to the well thousands of feet steel tube usually one to two feet in diameter. The drilling equipment, or drill string, is lowered to the well through this riser. The riser is not rigid nor strictly vertical; it is described by one expert as "a very long piece of spaghetti," held in tension at the well and at the ship end by strong cables. Obviously, the ship must remain often for months-in a position directly over the well. If it were to drift excessively forward, aft or to either side, its movement could snap the riser and disrupt operations at a cost of millions. That's where space technology is playing a part. The same technology employed to locate a spacecraft in orbit and maintain a precise position is applicable to drillship operation. In space, automatic navigation equipment sights on reference points-the Earth, the sun or other stars--to determine spacecraft location. If the space mission requires the spacecraft to hold a certain position, it is accomplished by the firing of computer- directed control thrusters. Two major aerospace companies- Honeywell Inc. and TRW Inc.-have applied their extensive experience in spacecraft positioning and control to the offshore drilling technique known as dynamic positioning, meaning holding the drillship in precise position over the work site.
Southern Mozambique basin: most promising hydrocarbon province offshore eat Africa
DOE Office of Scientific and Technical Information (OSTI.GOV)
De Buyl, M.; Flores, G.
1984-09-01
Recent offshore acquisition of 12,800 km (8,000 mi) of seismic reflection data, with gravity and magnetic profiles encompassing the southern half of the Mozambique basin, reveals new facets of the subsurface geology. Integrated interpretation of these new geophysical data with old well information results in the development of depositional and tectonic models that positively establish the hydrocarbon potential of the basin. The recent comprehensive interpretation affords the following conclusions. (1) Significant oil shows accompany wet gas discoveries suggest that the South Mozambique basin is a mature province, as the hydrocarbon associations imply thermogenic processes. (2) Super-Karoo marine Jurassic sequences havemore » been encountered in Nhamura-1 well onshore from the application of seismic stratigraphy and well correlation. (3) Steeply dipping reflectors truncated by the pre-Cretaceous unconformity testify to significant tectonic activity preceding the breakup of Gondwanaland. Hence, preconceived ideas about the depth of the economic basement and the absence of mature source rocks of pre-Cretaceous age should be revised. (4) Wildcats in the vicinity of ample structural closures have not been, in retrospect, optimally positioned nor drilled to sufficient depth to test the viability of prospects mapped along a major offshore extension of the East African rift system delineated by this new survey.« less
Velasco Garrido, Marcial; Mette, Janika; Mache, Stefanie; Harth, Volker; Preisser, Alexandra M
2018-03-30
To assess the physical strains of employees in the German offshore wind industry, according to job type and phase of the wind farm (under construction or operation). Web-based cross-sectional survey. Offshore wind farm companies operating within the German exclusive economic zone. Male workers with regular offshore commitments and at least 28 days spent offshore in the past year (n=268). Physical strains (eg, climbing, noise, working overhead, with twisted upper body or in confined spaces, vibration, heavy lifting, humidity, odours). The most frequently mentioned physical strain was 'climbing' with 63.8% of the respondents reporting to be always or frequently confronted with climbing and ascending stairs during offshore work. Work as a technician was associated with a greater exposition to noise, vibrations, humidity, cold, heat, chemical substances, lifting/carrying heavy loads, transport of equipment, working in non-ergonomic positions and in cramped spaces, as well as climbing.Indeed, statistical analyses showed that, after adjusting for phase of the wind farm, age, nationality, offshore experience, work schedule and type of shift, compared with non-technicians, working as a technician was associated with more frequently lifting/carrying of heavy loads (OR 2.58, 95% CI 1.58 to 4.23), transport of equipment (OR 2.06 95% CI 1.27 to 3.33), working with a twisted upper body (OR 2.85 95% CI 1.74 to 4.69), working overhead (OR 2.77 95% CI 1.67 to 4.58) and climbing (OR 2.30 95% CI 1.40 to 3.77). Working in wind farms under construction was strongly associated with increased and decreased exposure to humidity (OR 2.32 95% CI 1.38 to 3.92) and poor air quality (OR 0.58 95% CI 0.35 to 0.95), respectively. Workers on offshore wind farms constitute a heterogeneous group, including a wide variety of occupations. The degree of exposure to detrimental physical strains varies depending on the type of job. Technicians are more exposed to ergonomic challenges than other offshore workers. © Article author(s) (or their employer(s) unless otherwise stated in the text of the article) 2018. All rights reserved. No commercial use is permitted unless otherwise expressly granted.
Assessment of Ports for Offshore Wind Development in the United States
DOE Office of Scientific and Technical Information (OSTI.GOV)
Elkinton, Chris; Blatiak, Alicia; Ameen, Hafsa
As offshore wind energy develops in the United States, port facilities will become strategic hubs in the offshore wind farm supply chain because all plant and transport logistics must transit through these facilities. Therefore, these facilities must provide suitable infrastructure to meet the specific requirements of the offshore wind industry. As a result, it is crucial that federal and state policy-makers and port authorities take effective action to position ports in the offshore wind value chain to take best advantage of their economic potential. The U.S. Department of Energy tasked the independent consultancy GL Garrad Hassan (GL GH) with carryingmore » out a review of the current capability of U.S. ports to support offshore wind project development and an assessment of the challenges and opportunities related to upgrading this capability to support the growth of as many as 54 gigawatts of offshore wind installed in U.S. waters by 2030. The GL GH report and the open-access web-based Ports Assessment Tool resulting from this study will aid decision-makers in making informed decisions regarding the choice of ports for specific offshore projects, and the types of investments that would be required to make individual port facilities suitable to serve offshore wind manufacturing, installation and/or operations. The offshore wind industry in the United States is still in its infancy and this study finds that additional port facilities capable of supporting offshore wind projects are needed to meet the anticipated project build-out by 2030; however, no significant barriers exist to prevent the development of such facilities. Furthermore, significant port capabilities are in place today with purpose-build port infrastructure currently being built. While there are currently no offshore wind farms operating in the United States, much of the infrastructure critical to the success of such projects does exist, albeit in the service of other industries. This conclusion is based on GL GH’s review of U.S. ports infrastructure and its readiness to support the development of proposed offshore wind projects in U.S. waters. Specific examples of facility costs and benefits are provided for five coastal regions (North Atlantic, South Atlantic, Gulf of Mexico, Great Lakes, and Pacific) around the country. GL GH began this study by identifying the logistical requirements of offshore wind ports to service offshore wind. This review was based on lessons learned through industry practice in Northern Europe. A web-based port readiness assessment tool was developed to allow a capability gap analysis to be conducted on existing port facilities based on the identified requirements. Cost models were added to the assessment tool, which allowed GL GH to estimate the total upgrade cost to a port over the period 2014-2030 based on a set of regional project build-out scenarios. Port fee information was gathered from each port allowing an estimate of the potential revenue to the port under this same set of scenarios. The comparison of these revenue and improvement cost figures provides an initial indication of the level of offshore wind port readiness. To facilitate a more in-depth infrastructure analysis, six ports from different geographic regions, with varied levels of interest and preparedness towards offshore wind, were evaluated by modeling a range of installation strategies and port use types to identify gaps in capability and potential opportunities for economic development. Commonalities, trends, and specific examples from these case studies are presented and provide a summary of the current state of offshore wind port readiness in the U.S. and also illustrate the direction some ports have chosen to take to prepare for offshore wind projects. For example, the land area required for wind turbine and foundation manufacturing is substantial, particularly due to the large size of offshore wind components. Also, the necessary bearing capacities of the quayside and storage area are typically greater for offshore wind components than for more conventional cargo handling. As a result, most U.S. ports will likely require soil strength improvements before they can fully support offshore wind project construction. As U.S. ports and offshore wind developers look to work together on specific projects, they will encounter synergies and challenges. The challenges they face will include identifying sources of funding for the facility improvements required, and addressing ports’ typical desire to engage in long-term partnerships on the order of 10-20 years. Early projects will especially feel these challenges as they set the precedent for these partnerships in the United States. This study seeks to provide information about gaps, costs, and opportunities to aid these discussions.« less
What can wave energy learn from offshore oil and gas?
Jefferys, E R
2012-01-28
This title may appear rather presumptuous in the light of the progress made by the leading wave energy devices. However, there may still be some useful lessons to be learnt from current 'offshore' practice, and there are certainly some awful warnings from the past. Wave energy devices and the marine structures used in oil and gas exploration as well as production share a common environment and both are subject to wave, wind and current loads, which may be evaluated with well-validated, albeit imperfect, tools. Both types of structure can be designed, analysed and fabricated using similar tools and technologies. They fulfil very different missions and are subject to different economic and performance requirements; hence 'offshore' design tools must be used appropriately in wave energy project and system design, and 'offshore' cost data should be adapted for 'wave' applications. This article reviews the similarities and differences between the fields and highlights the differing economic environments; offshore structures are typically a small to moderate component of field development cost, while wave power devices will dominate overall system cost. The typical 'offshore' design process is summarized and issues such as reliability-based design and design of not normally manned structures are addressed. Lessons learned from poor design in the past are discussed to highlight areas where care is needed, and wave energy-specific design areas are reviewed. Opportunities for innovation and optimization in wave energy project and device design are discussed; wave energy projects must ultimately compete on a level playing field with other routes to low CO₂ energy and/or energy efficiency. This article is a personal viewpoint and not an expression of a ConocoPhillips position.
Venezuela offshore oil and gas production development: Past, present and future
DOE Office of Scientific and Technical Information (OSTI.GOV)
Perez La Salvia, H.; Schwartz, E.; Contreras, M.
1995-12-01
This paper presents a short history of offshore oil and gas production in Venezuela starting in Lake Maracaibo in 1923. The main emphasis has been the results of the recent R and D and the exploratory offshore programs in areas like Orinoco Delta located in the Atlantic Ocean, Northeast and Northwest Venezuela in the Caribbean sea. In the R and D offshore program the main objectives were: (1) To establish the local environmental, oceanographical, geotechnical and seismicity conditions for the Venezuelan Continental Platform. (2) To give a technical support to the PDVSA Operating Affiliates during the exploratory programs including: (a)more » to develop accurate drilling vessel positioning systems; (b) evaluation of sea bottom geotechnical conditions for safely operating the jack-ups and drilling vessels involved in the exploratory wells and (c) to identify those areas which because of their special nature require further investigation to establish preliminary type of platforms required for the areas to be developed or to evaluate other solutions proposed by Foreign Consultant Engineering Companies to the PDVSA Operating Affiliated Companies. The main objective of PDVSA for the coming future will be to develop the North of Paria Gas Field through the initially named Christopher Columbus Project now Sucre Gas, S.A., a consortium conformed by LaGoven, S.A. Shell, Exxon and Mitsubishi. objective of this paper is to give an idea of the history of the Venezuelan Oil and Gas Offshore development giving emphasis to the results of the INTEVEP S.A. Red offshore program and to show some results of the particular characteristics of oceanographical, environmental, geotechnical and seismic conditions in the main areas evaluated during the exploratory program: Orinoco Delta, Gulf of Paria and North of Paria.« less
Species density of waterbirds in offshore habitats in western Lake Erie
Stapanian, M.A.; Waite, Thomas A.
2003-01-01
Offshore censuses of birds are lacking for inland seas, such as the Laurentian Great Lakes, but may provide valuable information for managing species that are in conflict with human interests. Birds were counted along 31 established transects in four habitats in western Lake Erie: offshore of waterbird refuges, offshore of beaches with human development, on reefs and shoals, and in open water. A total of 161 10-min counts were conducted between 24 April and 1 September 2000. The mean number of aquatic bird species/kmA? (species density) was greater offshore of refuges than on open water. For all habitats combined, species density increased over time. This was mainly due to the arrival of Bonaparte's Gulls (Larus philadelphia) and Great Black-backed Gulls (L. marinus), two fall and winter residents that do not breed in the study area, and increased use of open water and reefs and shoals by Herring Gulls (L argentatus) and Ring-billed Gulls (L delawarensis) after the nesting season. Species density was not strongly spatially autocorrelated, either for all species or for only those species that were floating on the water when recorded. Neither Double-crested Cormorants (Phalacrocorax auritus) nor Herring Gulls exhibited spatial autocorrelation. In contrast, Bonaparte's and Ring-billed gulls exhibited positive spatial autocorrelations. Unlike marine studies, species density was only weakly associated with water depth. This result was due mainly to Double-crested Cormorants, the only diving bird species that lived year-round in the area, which preferred reefs and shoals (depth 3-6 m) over open water (10 m). The results suggest that offshore habitat influences species density in this area during the breeding and immediate post-breeding seasons.
Ice Load Project Final Technical Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
McCoy, Timothy J.; Brown, Thomas; Byrne, Alex
As interest and investment in offshore wind projects increase worldwide, some turbines will be installed in locations where ice of significant thickness forms on the water surface. This ice moves under the driving forces of wind, current, and thermal effects and may result in substantial forces on bottom-fixed support structures. The North and Baltic Seas in Europe have begun to see significant wind energy development and the Great Lakes of the United States and Canada may host wind energy development in the near future. Design of the support structures for these projects is best performed through the use of anmore » integrated tool that can calculate the cumulative effects of forces due to turbine operations, wind, waves, and floating ice. The dynamic nature of ice forces requires that these forces be included in the design simulations, rather than added as static forces to simulation results. The International Electrotechnical Commission (IEC) standard[2] for offshore wind turbine design and the International Organization for Standardization (ISO) standard[3] for offshore structures provide requirements and algorithms for the calculation of forces induced by surface ice; however, currently none of the major wind turbine dynamic simulation codes provides the ability to model ice loads. The scope of work of the project described in this report includes the development of a suite of subroutines, collectively named IceFloe, that meet the requirements of the IEC and ISO standards and couples with four of the major wind turbine dynamic simulation codes. The mechanisms by which ice forces impinge on offshore structures generally include the forces required for crushing of the ice against vertical-sided structures and the forces required to fracture the ice as it rides up on conical-sided structures. Within these two broad categories, the dynamic character of the forces with respect to time is also dependent on other factors such as the velocity and thickness of the moving ice and the response of the structure. In some cases, the dynamic effects are random and in other cases they are deterministic, such as the effect of structural resonance and coupling of the ice forces with the defection of the support structure. The initial versions of the IceFloe routines incorporate modules that address these varied force and dynamic phenomena with seven alternative algorithms that can be specified by the user. The IceFloe routines have been linked and tested with four major wind turbine aeroelastic simulation codes: FAST, a tool developed under the management of the National Renewable Energy Laboratory (NREL) and available free of charge from its web site; Bladed[4], a widely-used commercial package available from DNV GL; ADAMS[5], a general purpose multi-body simulation code used in the wind industry and available from MSC Software; and HAWC2[6], a code developed by and available for purchase from Danmarks Tekniske Universitet (DTU). Interface routines have been developed and tested with full wind turbine simulations for each of these codes and the source code and example inputs and outputs are available from the NREL website.« less
Chen, Wei-Qing; Wong, Tze Wai; Yu, Ignatius Tak-Sun
2008-01-01
To explore the relationship of occupational stress and social support with health-related behaviors of smoking, alcohol usage and physical inactivity, a cross-sectional survey was conducted among 561 offshore oil installation workers of a Chinese state-owned oil company. They were investigated with a self-administered questionnaire about socio-demographic characteristics, occupational stress, social support and health-related behaviors. Logistic regression analysis was used to study the association between occupational stress, social support and health-related behaviors and adjusted for age, educational level, marital status, duration of offshore work and job title. Of 561 workers, 218 (38.9%) were current smokers, 124 (22.1%) current drinkers, and 354 (63.1%) physically inactive in their leisure time. Further multivariate logistic regression analysis indicated that: (1) Current smoking was significantly negatively related with perceived stress from "Safety" (OR=0.74; 95% CI=0.58-0.94) and lack of supervisors' instrumental support (OR=0.34; 95% CI=0.18-0.65); (2) Current drinking was significantly positively related to perceived stress from "Interface between job and family/social life" (OR=1.32; 95% CI=1.02-1.70) and "Organizational structure" (OR=1.35; 95% CI=1.06-1.74), but was significantly negatively related to poor emotional support from friends (OR=0.54; 95% CI=0.62-0.96); (3) Physical inactivity after work was significantly positively associated with perceived stress from "Safety" (OR=1.44; 95% CI=1.16-1.79) and lack of instrumental support from both supervisors (OR=1.74; 95% CI=1.16-2.65) and friends (OR=1.68; 95% CI=1.06-2.42). The findings suggest that psychosocial factors of occupational stress and social support at offshore oil work might affect workers' health-related behaviors in different ways.
Public Perceptions of Aquaculture: Evaluating Spatiotemporal Patterns of Sentiment around the World
Froehlich, Halley E.; Gentry, Rebecca R.; Rust, Michael B.; Grimm, Dietmar; Halpern, Benjamin S.
2017-01-01
Aquaculture is developing rapidly at a global scale and sustainable practices are an essential part of meeting the protein requirements of the ballooning human population. Locating aquaculture offshore is one strategy that may help address some issues related to nearshore development. However, offshore production is nascent and distinctions between the types of aquatic farming may not be fully understood by the public–important for collaboration, research, and development. Here we evaluate and report, to our knowledge, the first multinational quantification of the relative sentiments and opinions of the public around distinct forms of aquaculture. Using thousands of newspaper headlines (Ntotal = 1,596) from developed (no. countries = 26) and developing (42) nations, ranging over periods of 1984 to 2015, we found an expanding positive trend of general ‘aquaculture’ coverage, while ‘marine’ and ‘offshore’ appeared more negative. Overall, developing regions published proportionally more positive than negative headlines than developed countries. As case studies, government collected public comments (Ntotal = 1,585) from the United States of America (USA) and New Zealand mirrored the media sentiments; offshore perception being particularly negative in the USA. We also found public sentiment may be influenced by local environmental disasters not directly related to aquaculture (e.g., oil spills). Both countries voiced concern over environmental impacts, but the concerns tended to be more generalized, rather than targeted issues. Two factors that could be inhibiting informed discussion and decisions about offshore aquaculture are lack of applicable knowledge and actual local development issues. Better communication and investigation of the real versus perceived impacts of aquaculture could aid in clarifying the debate about aquaculture, and help support future sustainable growth. PMID:28046057
Dynamic strains for earthquake source characterization
Barbour, Andrew J.; Crowell, Brendan W
2017-01-01
Strainmeters measure elastodynamic deformation associated with earthquakes over a broad frequency band, with detection characteristics that complement traditional instrumentation, but they are commonly used to study slow transient deformation along active faults and at subduction zones, for example. Here, we analyze dynamic strains at Plate Boundary Observatory (PBO) borehole strainmeters (BSM) associated with 146 local and regional earthquakes from 2004–2014, with magnitudes from M 4.5 to 7.2. We find that peak values in seismic strain can be predicted from a general regression against distance and magnitude, with improvements in accuracy gained by accounting for biases associated with site–station effects and source–path effects, the latter exhibiting the strongest influence on the regression coefficients. To account for the influence of these biases in a general way, we include crustal‐type classifications from the CRUST1.0 global velocity model, which demonstrates that high‐frequency strain data from the PBO BSM network carry information on crustal structure and fault mechanics: earthquakes nucleating offshore on the Blanco fracture zone, for example, generate consistently lower dynamic strains than earthquakes around the Sierra Nevada microplate and in the Salton trough. Finally, we test our dynamic strain prediction equations on the 2011 M 9 Tohoku‐Oki earthquake, specifically continuous strain records derived from triangulation of 137 high‐rate Global Navigation Satellite System Earth Observation Network stations in Japan. Moment magnitudes inferred from these data and the strain model are in agreement when Global Positioning System subnetworks are unaffected by spatial aliasing.
Wave and setup dynamics on steeply-sloping reefs with large bottom roughness
NASA Astrophysics Data System (ADS)
Buckley, M. L.; Hansen, J.; Lowe, R.
2016-12-01
High-resolution observations from a wave flume were used to investigate the dynamics of wave setup over a steeply-sloping fringing reef profile with the effect of bottom roughness modeled using roughness elements scaled to mimic a coral reef. Results with roughness were compared with smooth bottom runs across sixteen offshore wave and still water level conditions. The time-averaged and depth-integrated force balance was evaluated from observations collected at seventeen locations across the flume, which was found to consist of cross-shore pressure and radiation stress gradients whose sum was balanced by mean quadratic bottom stresses. We found that when radiation stress gradients were calculated from observations of the radiation stress derived from linear wave theory, both wave setdown and setup were under predicted for the majority of wave and water level conditions tested. Inaccuracies in the predicted setdown and setup were improved by including a wave roller model, which provides a correction to the kinetic energy predicted by linear wave theory for breaking waves and produces a spatial delay in the wave forcing that was consistent with the observations. The introduction of roughness had two primary effects. First, the amount of wave energy dissipated during wave breaking was reduced due to frictional wave dissipation that occurred on the reef slope offshore of the breakpoint. Second, offshore directed mean bottom stresses were generated by the interaction of the combined wave-current velocity field with the roughness elements. These two mechanisms acted counter to one another. As a result, setup on the reef flat was comparable (7% mean difference) between corresponding rough and smooth runs. These findings are used to assess prior results from numerical modelling studies of reefs, and also to discuss the broader implications for how steep slopes and large roughness influences setup dynamics for general nearshore systems.
On the Effect of Offshore Wind Parks on Ocean Dynamics
NASA Astrophysics Data System (ADS)
Ludewig, E.; Pohlmann, T.
2012-12-01
Nowadays renewable energy resources play a key role in the energy supply discussion and especially an increasingly interest in wind energy induces intensified installations of wind parks. At this offshore wind energy gains in popularity in the course of higher and more consistent energy availability than over land. For example Germany's government adopted a national interurban offshore wind energy program comprising the construction of hundreds of wind turbines within Germany's Exclusive Economic Zone to ensure up to 50% of Germany's renewable energy supply. The large number of installation in coastal regions asks for analyzing the impact of offshore wind parks (OWPs) on the atmosphere and the ocean. As known from literature such wind parks excite also-called wake-effect and such an influence on the wind field in turn affects ocean circulation. To cover OWP's impact on ocean dynamics we evaluate model simulations using the Hamburg Shelf-Ocean-Model (HAMSOM). All simulations were driven with a wind forcing produced by the Mesoscale Atmosphere Model of the Hamburg University (METRAS) which has implemented wind turbines. Wind forcing data were generated in collaboration with and by courtesy of the Meteorological Institute of the University of Hamburg, Department Technical Meteorology, Numeric Modeling-METRAS. To evaluate dynamical changes forced by the OWP's wind wake-effect we did a sensitivity study with a theoretical setup of a virtual ocean of 60m depth with a flat bottom and a temperature and salinity stratification according to common North Sea's conditions. Here our results show that already a small OWP of 12 wind turbines, placed in an area of 4 km^2, lead to a complex change in ocean dynamics. Due to the wake-effect zones of upwelling and downwelling are formed within a minute after turning-on wind turbines. The evolving vertical cells have a size of around 15x15 kilometers with a vertical velocity in order of 10^-2 mm/sec influencing the dynamic of an area being hundred times bigger than the wind park itself. The emerged vertical structure is generated due to a newly created geostrophic balance resulting in a redistribution of the ocean mass field. A number of additional upwelling and downwelling cells around the wind park support an intensified vertical dispersion through all layers and incline the thermocline which also influences the lower levels. The disturbances of mass show a dipole structure across the main wind direction with a maximum change in thermocline depth of some meters close to the OWP. Diffusion, mostly driven by direct wind induced surface shear is also modified by the wind turbines and supports a further modification of the vertical patterns. Considering that wind turbines operate only in a special window of wind speed, i.e. wind turbines will stop in case of too weak or too strong wind speeds as well as in case of technical issues, the averaged dimension and intensity of occurring vertical cells depend on the number of rotors and expected wind speeds. Finally we will focus on scenario runs for the North Sea under fully realistic conditions to estimate possible changes in ocean dynamics due to OWPs in future and these results will be further used for process analyzes of the ecosystem. If we assume a continuous operation of North Sea's OWPs in future we expect a fundamental constant change in ocean dynamics and moreover in the ecosystem in its vicinity.
Offshore fatigue design turbulence
NASA Astrophysics Data System (ADS)
Larsen, Gunner C.
2001-07-01
Fatigue damage on wind turbines is mainly caused by stochastic loading originating from turbulence. While onshore sites display large differences in terrain topology, and thereby also in turbulence conditions, offshore sites are far more homogeneous, as the majority of them are likely to be associated with shallow water areas. However, despite this fact, specific recommendations on offshore turbulence intensities, applicable for fatigue design purposes, are lacking in the present IEC code. This article presents specific guidelines for such loading. These guidelines are based on the statistical analysis of a large number of wind data originating from two Danish shallow water offshore sites. The turbulence standard deviation depends on the mean wind speed, upstream conditions, measuring height and thermal convection. Defining a population of turbulence standard deviations, at a given measuring position, uniquely by the mean wind speed, variations in upstream conditions and atmospheric stability will appear as variability of the turbulence standard deviation. Distributions of such turbulence standard deviations, conditioned on the mean wind speed, are quantified by fitting the measured data to logarithmic Gaussian distributions. By combining a simple heuristic load model with the parametrized conditional probability density functions of the turbulence standard deviations, an empirical offshore design turbulence intensity is determined. For pure stochastic loading (as associated with standstill situations), the design turbulence intensity yields a fatigue damage equal to the average fatigue damage caused by the distributed turbulence intensity. If the stochastic loading is combined with a periodic deterministic loading (as in the normal operating situation), the proposed design turbulence intensity is shown to be conservative.
2014 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana; Connerton, Michael J.; LaPan, Steve; Biesinger, Zy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2015-01-01
Soluble reactive phosphorus (SRP) concentrations have been stable in nearshore and offshore habitats since 1998 (0.4 – 3.3 μg/L). SRP concentrations were low in 2014; Apr/May – Oct mean values were <1 μg/L at most sites. Spring TP concentrations at individual sites exceeded 10 μg/L on occasion, but spring means were below the 10 μg/L target set by the Great Lakes Water Quality Agreement of 1978 for offshore waters of Lake Ontario. TP concentrations were low at both nearshore and offshore locations; Apr/May – Oct mean values from individual sites ranged from 4.6 – 9.1 μg/L. Spring TP has declined significantly in the longer data series (since 1981), but not since 1995 indicating stable nutrient loading into Lake Ontario for nearly two decades. It averaged 7.8 μg/L in the nearshore and 5.6 μg/L in the offshore in 2014.Chlorophyll-a and secchi depth values are indicative of oligotrophic conditions in nearshore and offshore habitats. Offshore summer chlorophyll-a declined significantly in both the short- (2000-2014) and long-term (1981-2014) time series at a rate of 4-6% per year. Nearshore chlorophyll-a increased after 2003 but then declined again after 2009. Epilimnetic chlorophyll-a averaged between 0.6 and 1.6 μg/L across sites with no difference between nearshore and offshore habitats. Apr/May – Oct Secchi depth ranged from 4.0 m to 10.8 m at individual sites and was higher in the offshore (average 9.1 m) than nearshore (5.9 m).In 2014, Apr/May – Oct epilimnetic zooplankton density, size, and biomass were not different between the offshore and the nearshore, and there were no differences in epilimnetic biomass between offshore and nearshore areas for any of the zooplankton groups.Zooplankton density and biomass peaked in September, an atypical pattern. This coincided with peaks in calanoid copepod, daphnid, and Holopedium biomass. Holopedium biomass in the nearshore increased significantly since 1995.The predatory cladoceran Cercopagis continued to be abundant in the summer, peaking at ~10 mg/m3in the offshore. Bythotrephes biomass was at its lowest level since 2005 in both offshore and nearshore habitats.Summer nearshore zooplankton density and biomass have declined significantly since 1995 at rates of 9-10% per year but have remained stable since 2005. However, bosminids and daphnids increased in 2013 and 2014.Summer offshore zooplankton density and biomass declined significantly in the long-term (since 1981), but remained at a lower stable level 2000 – 2014. A positive change point in 2013 is due to increases in bosminids, cyclopoid copepods, and daphnids.The observed decline in zooplankton biomass may be due in part to redistribution of zooplankton throughout the water column. Most of the zooplankton biomass was in the metalimnion and hypolimnion during the stratified period in 2014. By October, the bulk of the biomass was in the epilimnion.
Determination of current loads of floating platform for special purposes
NASA Astrophysics Data System (ADS)
Ma, Guang-ying; Yao, Yun-long; Zhao, Chen-yao
2017-08-01
This article studied a new floating offshore platform for special purposes, which was assembled by standard floating modules. The environmental load calculation of the platform is an important part of the research of the ocean platform, which has always been paid attention to by engineers. In addition to wave loads, the wind loads and current loads are also important environmental factors that affect the dynamic response of the offshore platform. The current loads on the bottom structure should not be ignored. By Fluent software, the hydrostatic conditions and external current loads of the platform were calculated in this paper. The coefficient which is independent of the current velocity, namely, current force coefficient, can be fitted through current loads, which can be used for the consequent hydrodynamic and mooring analyses.
Frontal Eddy Dynamics (FRED) experiment off North Carolina: Volume 2. Technical report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Ebbesmeyer, C.C.
1988-03-01
In preparation for oil and gas lease sales on the outer continental shelf offshore of North Carolina, the Minerals Management Service was requested to investigate the potential transport and impacts of oil spilled offshore. Of particular concern is estimating the movement of spilled oil, especially the probability of shoreward transport and/or beaching of the floatable fraction. Although the speed and location of the Gulf Stream are well known, knowledge of the meanders of the Gulf Stream is limited. How the circulatory structure and movement of associated frontal eddies and filaments affect the North Carolina coastal waters is not clear. Thismore » present study investigates the interactions of these circulatory elements and follows the evolution of frontal eddies as they migrate along the North Carolina coast.« less
Evolution of offshore wind waves tracked by surface drifters with a point-positioning GPS sensor
NASA Astrophysics Data System (ADS)
Komatsu, K.
2009-12-01
Wind-generated waves have been recognized as one of the most important factors of the sea surface roughness which plays crucial roles in various air-sea interactions such as energy, momentum, heat and gas exchanges. At the same time, wind waves with extreme wave heights representatively called as freak or rogue waves have been a matter of great concern for many people involved in shipping, fishing, constracting, surfing and other marine activities, because such extreme waves frequently affect on the marine activities and sometimes cause serious disasters. Nevertheless, investigations of actual conditions for the evolution of wind waves in the offshore region are less and sparse in contrast to dense monitoring networks in the coastal regions because of difficulty of offshore observation with high accuracy. Recently accurate in situ observation of offshore wind waves is getting possible at low cost owing to a wave height and direction sensor developed by Harigae et al. (2004) by installing a point-positioning GPS receiver on a surface drifting buoy. The point-positioning GPS sensor can extract three dimensional movements of the buoy excited by ocean waves with minimizing effects of GPS point-positioning errors through the use of a high-pass filter. Two drifting buoys equipped with the GPS-based wave sensor charged by solar cells were drifted in the western North Pacific and one of them continued to observe wind waves during 16 months from Sep. 2007. The RMSE of the GPS-based wave sensor was less than 10cm in significant wave height and about 1s in significant wave period in comparison with other sensors, i.e. accelerometers installed on drifting buoys of Japan Meteorological Agency, ultrasonic sensors placed at the Hiratsuka observation station of the University of Tokyo and altimeter of the JASON-1. The GPS-based wave buoys enabled us to detect freak waves defined as waves whose height is more than twice the significant wave height. The observation conducted by the wave buoys in 2007-2008 indicated a little more frequent occurrence of freak waves comparing with Forristall’s (1978) empirical formula and Naess’s (1985) distribution for a narrow-band Gaussian sea. Fig.1. Time series of the ratio of the significant wave height to the maximum wave height in 20 minutes sampling period observed by a drifting buoy with a GPS sensor
30 CFR 250.432 - How do I obtain a departure to diverter design and installation requirements?
Code of Federal Regulations, 2013 CFR
2013-07-01
... ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and Gas Drilling Operations Diverter System Requirements § 250.432 How do I obtain a... least 8 inches. (d) Use a single diverter line for floating drilling operations on a dynamically...
30 CFR 250.432 - How do I obtain a departure to diverter design and installation requirements?
Code of Federal Regulations, 2014 CFR
2014-07-01
... ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and Gas Drilling Operations Diverter System Requirements § 250.432 How do I obtain a... least 8 inches. (d) Use a single diverter line for floating drilling operations on a dynamically...
30 CFR 250.432 - How do I obtain a departure to diverter design and installation requirements?
Code of Federal Regulations, 2012 CFR
2012-07-01
... ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and Gas Drilling Operations Diverter System Requirements § 250.432 How do I obtain a... least 8 inches. (d) Use a single diverter line for floating drilling operations on a dynamically...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Wilson, H.M.
There are positive signs today that conditions may be changing for the better offshore California. The prospects for exploratory drilling and resumption of long-delayed development of existing fields have improved. Some of the favorable happenings offshore include (1) the Interior Department may actually hold the offshore S. California lease sale before the year is out; (2) the Interior Department has issued a favorable draft environmental impact statement for the Santa Barbara Channel (this will help clear the way to drilling virtually all federal leases); (3) Exxon most certainly will start development of Hondo field in the billion-barrel Santa Unit (itmore » has won a vote of confidence of Santa Barbara County citizens); and (4) the new California State Lands Commission, while much tougher than its predecessors, has gradually been approving some drilling programs on state leases. The moratorium definitely is over. While activity is increasing on existing leases along the California coast, the real push will come when--or if--Interior holds its planned S. California lease sale later this year.« less
Update on GPS-Acoustics Measurements on the Continental Slope of the Cascadia Subduction Zone
NASA Astrophysics Data System (ADS)
Chadwell, C. D.
2017-12-01
Land-based GPS measurements suggest the megathrust is locked offshore along the Cascadia Subduction Zone. However, land-based data alone lack geometric resolution to constrain the how the slip is distributed. GPS-Acoustic measurements can provide these constraints, but using traditional GPS-Acoustic approaches employing a ship is costly. Wave Gliders, a wave- and solar-powered, remotely-piloted sea surface platform, provide a low cost method for collecting GPS-A data. We have adapted GPS-Acoustic technology to the Wave Glider and in 2016 began annual measurements at three sites in the Cascadia Subduction Zone (CSZ). Here, we review positioning results collected during summer 2017 at two sites on the continental slope of the Cascadia Subduction Zone: One site is approximately 45 NM offshore central Oregon and the other approximately 50 NM offshore central Washington State. A third site is approximately 90 NM offshore central Oregon on the incoming Juan de Fuca plate. We will report on initial results of the GPS-A data collection and operational experiences of the missions in 2016 and 2017. Wave Glider based GPS-A measurement have the potential to significantly increase the number and frequency of measurements of strain accumulation in Cascadia Subduction Zone and elsewhere.
Krone, Roland; Gutow, Lars; Joschko, Tanja J; Schröder, Alexander
2013-04-01
In the light of the introduction of thousands of large offshore wind power foundations into the North Sea within the next decades, this manuscript focuses on the biofouling processes and likely reef effects. The study explores the macrozoobenthos (biofouling) colonization at an offshore platform which is comparable to offshore wind turbine foundations. A total of 183 single samples were taken and the parameters water depth and time were considered comparing biofouling masses and communities. The blue mussel Mytilus edulis, Anthozoa and the Amphipoda Jassa spp. were the dominant species. The community from the 1 m zone and those from the 5 and 20-28 m zones can clearly be differentiated. The 10 m zone community represents the transition between the M. edulis dominated 1 m and 5 m zones and the Anthozoa dominated 20-28 m zone. In the future offshore wind farms, thousands of wind turbine foundations will provide habitat for a hard bottom fauna which is otherwise restricted to the sparse rocky habitats scattered within extensive sedimentary soft bottoms of the German Bight. However, offshore wind power foundations cannot be considered natural rock equivalents as they selectively increase certain natural hard bottom species. The surface of the construction (1280 m²) was covered by an average of 4300 kg biomass. This foundation concentrates on its footprint area (1024 m²) 35 times more macrozoobenthos biomass than the same area of soft bottom in the German exclusive economic zone (0.12 kg m(-2)), functioning as a biomass hotspot. Concerning the temporal biomass variation, we assume that at least 2700 kg biomass was exported on a yearly basis. 345 × 10(4) single mussel shells of different sizes were produced during the study period. It is anticipated that the M. edulis abundance will increase in the North Sea due to the expansion of the offshore wind farm development. This will result in the enhanced production of secondary hard substrate (mussel shells) and its associated fauna and will intensify filtration rates of the seawater. This predicted ecological system change is coined the 'Mytilusation' of the German Bight. Copyright © 2012 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Komatsu, Kosei
Wind-generated waves have been recognized as one of the most important factors of the sea surface roughness which plays crucial roles in various air-sea interactions such as energy, mo-mentum, heat and gas exchanges. At the same time, wind waves with extreme wave heights representatively called as freak or rogue waves have been a matter of great concern for many people involved in shipping, fishing, constracting, surfing and other marine activities, because such extreme waves frequently affect on the marine activities and sometimes cause serious dis-asters. Nevertheless, investigations of actual conditions for the evolution of wind waves in the offshore region are less and sparse in contrast to dense monitoring networks in the coastal re-gions because of difficulty of offshore observation with high accuracy. Recently accurate in situ observation of offshore wind waves is getting possible at low cost owing to a wave height and di-rection sensor developed by Harigae et al. (2004) by installing a point-positioning GPS receiver on a surface drifting buoy. The point-positioning GPS sensor can extract three dimensional movements of the buoy excited by ocean waves with minimizing effects of GPS point-positioning errors through the use of a high-pass filter. Two drifting buoys equipped with the GPS-based wave sensor charged by solar cells were drifted in the western North Pacific and one of them continued to observe wind waves during 16 months from Sep. 2007. The RMSE of the GPS-based wave sensor was less than 10cm in significant wave height and about 1s in significant wave period in comparison with other sensors, i.e. accelerometers installed on drifting buoys of Japan Meteorological Agency, ultrasonic sensors placed at the Hiratsuka observation station of the University of Tokyo and altimeter of the JASON-1. The GPS-based wave buoys enabled us to detect freak waves defined as waves whose height is more than twice the significant wave height. The observation conducted by the wave buoys in 2007-2008 indicated a little more frequent occurrence of freak waves comparing with Forristall's (1978) empirical formula and Naess's (1985) distribution for a narrow-band Gaussian sea.
46 CFR 133.60 - Communications.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 4 2012-10-01 2012-10-01 false Communications. 133.60 Section 133.60 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY (CONTINUED) OFFSHORE SUPPLY VESSELS LIFESAVING SYSTEMS Requirements for All OSVs § 133.60 Communications. (a) Emergency position indicating radiobeacons (EPIRB). (1...
NASA Astrophysics Data System (ADS)
Ourmieres, Yann; Mansui, Jérémy; Molcard, Anne; Galgani, François; Poitou, Isabelle
2018-03-01
The aim of the present study is to evidence the role of a boundary current and meteorological conditions in the transport and stranding of floating marine debris. The used data are from a beach survey and an inter-annual unique effort of marine debris sightings along the French Riviera in the North-Western Mediterranean region. Offshore data have been collected during oceanic cruises while beach surveys were performed around Antibes city. Debris were found on 97% of the ocean transects, with a large spatial and temporal variability, showing contrasted areas of low ( 1 item/km2) and of high (> 10 items/km2) debris densities. Results suggest that the debris spatio-temporal distribution is related to the Northern current (NC) dynamics, the regional boundary current, with accumulation patterns in its core and external edge. By playing a role in the alongshore transport, such a boundary current can form a cross-shore transport barrier. Stranding events can then occur after strong on-shore wind bursts modifying the sea surface dynamics and breaking this transport barrier. It is also shown that episodic enhancement of the stranding rate can be explained by combining the NC dynamics with the wind forcing and the rainfall effect via the local river run-off. Conversely, off-shore wind bursts could also free the marine litter from the boundary current and export them towards the open sea.
NASA Astrophysics Data System (ADS)
Lombardo, Kelly; Sinsky, Eric; Edson, James; Whitney, Michael M.; Jia, Yan
2018-03-01
A series of numerical sensitivity experiments is performed to quantify the impact of sea-surface temperature (SST) distribution on offshore surface fluxes and simulated sea-breeze dynamics. The SST simulations of two mid-latitude sea-breeze events over coastal New England are performed using a spatially-uniform SST, as well as spatially-varying SST datasets of 32- and 1-km horizontal resolutions. Offshore surface heat and buoyancy fluxes vary in response to the SST distribution. Local sea-breeze circulations are relatively insensitive, with minimal differences in vertical structure and propagation speed among the experiments. The largest thermal perturbations are confined to the lowest 10% of the sea-breeze column due to the relatively high stability of the mid-Atlantic marine atmospheric boundary layer (ABL) suppressing vertical mixing, resulting in the depth of the marine layer remaining unchanged. Minimal impacts on the column-averaged virtual potential temperature and sea-breeze depth translates to small changes in sea-breeze propagation speed. This indicates that the use of datasets with a fine-scale SST may not produce more accurate sea-breeze simulations in highly stable marine ABL regimes, though may prove more beneficial in less stable sub-tropical environments.
The off-shore Transport of China Coastal Current over Taiwan Bank in Winter
NASA Astrophysics Data System (ADS)
Liao, E.; Yan, X. H.; Oey, L. Y.; Jiang, Y.
2016-12-01
In winter, an off-shore flow of China Coastal Current can be inferred from satellite and in-situ data over the Taiwan Bank. The dynamics related to this off-shore flow have not been previously explained and are examined here using observations and model. Influenced by southward wind stress and opposing pressure gradient, currents over the Taiwan Bank can be classified into three regimes. The southward China Coastal Current flows pass the Taiwan Bank when the wind stress is stronger than a critical value which depends on the opposite pressure gradient force. The coastal current turns northward under a weak wind stress. Two opposite currents converge over the bank and a branch of the coastal current then turns into the northward warm current when these two forces are in balance. Analysis of the vorticity balance shows that the cross-isobath movement is related to a negative bottom stress curl over the Taiwan Bank. Both bottom Ekman transport and shear and curvature vorticity related to the weak bottom slope over the Taiwan Bank contribute to the bottom stress curl. Composite analyses using observations tend to support the model results.
NASA Astrophysics Data System (ADS)
Khosravi, Morteza
There are many advantages in floating wind turbines in deep waters, however, there are also significant technological challenges associated with it too. The dynamic excitation of wind and waves can induce excessive motions along each of the 6 degrees of freedom (6-DOF) of the floating platforms. These motions will then be transferred to the turbine, and directly impact the wake characteristics of the floating wind turbines, and consequently the resultant wind loadings and performances of the wind turbines sited in offshore wind farms. In the present study, a comprehensive experimental study was performed to analyze the performance, loading, and the near wake characteristics of a rigid wind turbine model subjected to surge, heave, and pitch motions. The experimental study was performed in a large-scale atmospheric boundary layer wind tunnel with a scaled three-blade Horizontal Axial Wind Turbine model placed in a turbulent boundary layer airflow with similar mean and turbulence characteristics as those over a typical offshore wind farm. The base of the 1:300 scaled model wind turbine was mounted on translation and rotation stages. These stages can be controlled to generate surge, pitch and heave motions to simulate the dynamic motions experienced by floating offshore wind turbines. During the experiments, the velocity scaling method was chosen to maintain the similar velocity ratios (i.e., the ratios of the incoming airflow flow to that of turbine base motion) between the model and the prototype. During the experiments, a high resolution digital particle image velocimetry (PIV) system was used to achieve flow field measurements to quantify the characteristics of the turbulent vortex flow in the near wake of the wind turbine model. Besides conducting ''free run'' PIV measurements to determine the ensemble-averaged statistics of the flow quantities such as mean velocity, Reynolds stress, and turbulence kinetic energy (TKE) distributions in the wake flow, ''phase-locked'' PIV measurements were also performed to elucidate further details about evolution of the unsteady vortex structures in the wake flow in relation to the position of the rotating turbine blades. The effects of the surge, heave, and pitch motions of the wind turbine base on the wake flow characteristics were examined in great details based on the PIV measurements. The findings derived from the present study can be used to improve the understanding of the underlying physics for optimal mechanical design of floating offshore wind turbines, as well as the layout optimization of floating offshore wind farms. Although, the mean power measurement results show little difference between the oscillating turbine and the bottom fixed turbine, but the excessive fluctuations in the power output of the oscillating turbine is anticipated to greatly reduce the power quality of such floating turbines. The load measurements also show substantial amount of difference both in terms of mean and the fluctuating components. The results of the wake study reveal that the wake of a wind turbine subjected to base motions, is highly dependent on which direction the turbine is oscillating. In the case of the moving turbine, the wake accelerates as the turbine is moving with the flow, hence, reducing the power extraction by the turbine. A decrease in Reynolds shear stress and the turbulent kinetic energy production was noted as the turbine was oscillating with the flow. However, as the turbine was moving into the flow, these effects reverse, and causes a deceleration in the wake of the moving turbine, hence increases the power production by the turbine, and increase the Reynolds shear stress and the turbulent kinetic energy. Finally, The wake flow field (x/D < 2.5) measurements behind a two-bladed Darrieus type VAWT were also carried out by using a high-resolution PIV system, and the results obtained at two different horizontal (x-y) planes, at the equator height (H/2) and above the equator height (3H/4), for four different tip speed ratios (lambda = 2, 2.5, 3 and 3.5) of the VAWT were then evaluated and compared. The wake of the VAWT is found to be significantly different to that of the HAWT's. At lower tip-speed-ratio (i.e. TSR 2) the wake tends to be very asymmetric and skewed with relatively higher amount of momentum in the wake in comparison to higher tip-speed ratios (i.e. 3 or 3.5). As tip-speed ratio increases, there is a tendency in flow stagnation in the wake and eventually flow reversal would occur at higher tip-speed-ratios. The wake dynamics (i.e., the instabilities inherent in VAWT) behind the VAWTs would lead to a much faster wake recovery in comparison to the HAWTs.
NASA Astrophysics Data System (ADS)
Noda, Akemi; Takahama, Tsutomu; Kawasato, Takeshi; Matsu'ura, Mitsuhiro
2018-02-01
On the 11th March 2011, a megathrust event, called the Tohoku-oki earthquake, occurred at the North American-Pacific plate interface off northeast Japan. Transient crustal movements following this earthquake were clearly observed by a dense GPS network (GEONET) on land and a sparse GPS/Acoustic positioning network on seafloor. The observed crustal movements are in accordance with ordinary expectations on land, but not on seafloor; that is, slowly decaying landward movements above the main rupture area and rapidly decaying trench-ward movements in its southern extension. To reveal the cause of such curious offshore crustal movements, we analyzed the coseismic and postseismic GPS array data on land with a sequential stepwise inversion method considering viscoelastic stress relaxation in the asthenosphere, and obtained the following results: The afterslip of the Tohoku-oki earthquake rapidly proceeds for the first 1 year on a high-angle downdip extension of the main rupture, which occurred on the low-angle offshore plate interface. The theoretical patterns of seafloor horizontal movements due to the afterslip and the viscoelastic relaxation of coseismic stress changes in the asthenosphere are essentially different both in space and time; inshore trench-ward movements and offshore landward movements for the afterslip, while overall landward movements for the viscoelastic stress relaxation. General agreement between the computed horizontal movements and the GPS/Acoustic observations demonstrates that the postseismic curious offshore crustal movements can be ascribed to the combined effect of afterslip on a high-angle downdip extension of the main rupture and viscoelastic stress relaxation in the asthenosphere.
A surface ice module for wind turbine dynamic response simulation using FAST
Yu, Bingbin; Karr, Dale G.; Song, Huimin; ...
2016-06-03
It is a fact that developing offshore wind energy has become more and more serious worldwide in recent years. Many of the promising offshore wind farm locations are in cold regions that may have ice cover during wintertime. The challenge of possible ice loads on offshore wind turbines raises the demand of modeling capacity of dynamic wind turbine response under the joint action of ice, wind, wave, and current. The simulation software FAST is an open source computer-aided engineering (CAE) package maintained by the National Renewable Energy Laboratory. In this paper, a new module of FAST for assessing the dynamicmore » response of offshore wind turbines subjected to ice forcing is presented. In the ice module, several models are presented which involve both prescribed forcing and coupled response. For conditions in which the ice forcing is essentially decoupled from the structural response, ice forces are established from existing models for brittle and ductile ice failure. For conditions in which the ice failure and the structural response are coupled, such as lock-in conditions, a rate-dependent ice model is described, which is developed in conjunction with a new modularization framework for FAST. In this paper, analytical ice mechanics models are presented that incorporate ice floe forcing, deformation, and failure. For lower speeds, forces slowly build until the ice strength is reached and ice fails resulting in a quasi-static condition. For intermediate speeds, the ice failure can be coupled with the structural response and resulting in coinciding periods of the ice failure and the structural response. A third regime occurs at high speeds of encounter in which brittle fracturing of the ice feature occurs in a random pattern, which results in a random vibration excitation of the structure. An example wind turbine response is simulated under ice loading of each of the presented models. This module adds to FAST the capabilities for analyzing the response of wind turbines subjected to forces resulting from ice impact on the turbine support structure. The conditions considered in this module are specifically addressed in the International Organization for Standardization (ISO) standard 19906:2010 for arctic offshore structures design consideration. Special consideration of lock-in vibrations is required due to the detrimental effects of such response with regard to fatigue and foundation/soil response. Finally, the use of FAST for transient, time domain simulation with the new ice module is well suited for such analyses.« less
High-Resolution Measurement of Beach Morphological Response to Hurricane-Induced Wave Dynamics
NASA Astrophysics Data System (ADS)
Starek, M.; Slatton, K. C.; Adams, P.
2005-12-01
During the Atlantic hurricane season of 2004, the Florida Pan Handle, Gulf Coast region, was impacted directly by three major hurricanes within approximately a one-month time period. The short temporal span between impacts coupled with the sudden increase in wave energy delivered to the coast resulted in drastic changes to the coastal morphology. The purpose of this study was to investigate the direct effects of deep-water wave climate and energy setups induced by the hurricanes and relate those processes to the observed change in shoreline morphology. The availability of research-grade Airborne Laser Swath Mapping (ALSM) altimetry data, often referred to as Light Detection and Ranging (LiDAR) data, enabled sub-meter spatial sampling of the coastal topography. The ALSM data were acquired by the University of Florida's Geosensing Engineering and Mapping (GEM) Center. Offshore wave measurements were obtained from the NOAA NDBC buoy network for the Gulf Coast region. The ALSM data acquired shortly before and after the three major hurricane landfalls near the Phillips Inlet barrier island region of Bay County, Florida, were used to calculate changes in the shoreline position and identify regions of erosion and deposition. Time series data of offshore wave height, period, and direction were transformed, through shoaling and refraction calculations, to nearshore wave conditions which were correlated to observed changes in beach morphology. Hurricane wave conditions drove severe shoreline retreat on the west-side of the inlet (~15+ meters) but affected the east-side shoreline minimally. The eastern backside of the inlet, however, witnessed a significant volume of washover sediment.
Wilson, Ryan R.; Horne, Jon S.; Rode, Karyn D.; Regehr, Eric V.; Durner, George M.
2014-01-01
Although sea ice loss is the primary threat to polar bears (Ursus maritimus), little can be done to mitigate its effects without global efforts to reduce greenhouse gas emissions. Other factors, however, could exacerbate the impacts of sea ice loss on polar bears, such as exposure to increased industrial activity. The Arctic Ocean has enormous oil and gas potential, and its development is expected to increase in the coming decades. Estimates of polar bear resource selection will inform managers how bears use areas slated for oil development and to help guide conservation planning. We estimated temporally-varying resource selection patterns for non-denning adult female polar bears in the Chukchi Sea population (2008–2012) at two scales (i.e., home range and weekly steps) to identify factors predictive of polar bear use throughout the year, before any offshore development. From the best models at each scale, we estimated scale-integrated resource selection functions to predict polar bear space use across the population's range and determined when bears were most likely to use the region where offshore oil and gas development in the United States is slated to occur. Polar bears exhibited significant intra-annual variation in selection patterns at both scales but the strength and annual patterns of selection differed between scales for most variables. Bears were most likely to use the offshore oil and gas planning area during ice retreat and growth with the highest predicted use occurring in the southern portion of the planning area. The average proportion of predicted high-value habitat in the planning area was >15% of the total high-value habitat for the population during sea ice retreat and growth and reached a high of 50% during November 2010. Our results provide a baseline on which to judge future changes to non-denning adult female polar bear resource selection in the Chukchi Sea and help guide offshore development in the region. Lastly, our study provides a framework for assessing potential impacts of offshore oil and gas development to other polar bear populations around the Arctic.
Code of Federal Regulations, 2010 CFR
2010-07-01
.... Zone A originates from the baseline at position 28°45.7′ N, 080°42.7′ W; then proceeds northeast to 28... the baseline at position 28°31.3′ N, 080°33.4′ W. (2) Zone (B) is defined by four latitude and longitude corner points. Zone B originates from the baseline at position 28°40.1′ N, 080°38.4′ W; then...
Computational Aerodynamic Analysis of Offshore Upwind and Downwind Turbines
Zhao, Qiuying; Sheng, Chunhua; Afjeh, Abdollah
2014-01-01
Aerodynamic interactions of the model NREL 5 MW offshore horizontal axis wind turbines (HAWT) are investigated using a high-fidelity computational fluid dynamics (CFD) analysis. Four wind turbine configurations are considered; three-bladed upwind and downwind and two-bladed upwind and downwind configurations, which operate at two different rotor speeds of 12.1 and 16 RPM. In the present study, both steady and unsteady aerodynamic loads, such as the rotor torque, blade hub bending moment, and base the tower bending moment of the tower, are evaluated in detail to provide overall assessment of different wind turbine configurations. Aerodynamic interactions between the rotor and tower are analyzed,more » including the rotor wake development downstream. The computational analysis provides insight into aerodynamic performance of the upwind and downwind, two- and three-bladed horizontal axis wind turbines.« less
Synchronous onset of the Messinian evaporite precipitation: First Mediterranean offshore evidence
NASA Astrophysics Data System (ADS)
Ochoa, Diana; Sierro, Francisco J.; Lofi, Johanna; Maillard, Agnès; Flores, Jose-Abel; Suárez, Mercedes
2015-10-01
The Messinian Salinity Crisis (MSC) was a major ecological crisis affecting shallow and deep-water settings over the entire Mediterranean basin. However, the evolution of the MSC and its ecological impacts have mainly been explained on the basis of sediments from onshore outcrops. Lack of complete and physically connected records from onshore and offshore settings has inhibited comprehensive understanding of basin behaviour during the MSC. Herein we present a continuous record from an intermediate-depth basin on the Balearic Promontory that comprises late Tortonian-Messinian marls and evaporitic beds from the first MSC phase (i.e., Primary Lower Gypsum-PLG stage). Well-log and biostratigraphic data allow us establishing a large-scale calibration to the astronomical solutions, and to correlate pre-MSC sediments with classical rhythmic successions outcropping onshore. Thickness and characteristic sedimentary patterns observed in the offshore evaporitic records resemble those from marginal PLG sequences. Furthermore, seismic reflectors from a Bedded Unit (BU), which corresponds to an evaporitic interval according to well-to-seismic ties, are correlated with the onshore PLG sequences. This correlation constitutes the first attempt to link well-known marginal sequences with intermediate-depth offshore settings, which have previously only been studied through seismic imaging. Our time-calibration provides direct evidence supporting a synchronous onset of the PLG phase between onshore and offshore settings along the southwestern Balearic Promontory margin. Those BU reflectors, which were positively correlated to the PLG, were likely precipitated offshore the continental shelf at Messinian times. These results suggest that gypsum precipitation and/or preservation was not always limited to 200 m water-depths and could occur in non-silled basins. Finally, we only found a major erosion at the top of the PLG sequences, implying that the MSC drawdown occurred after the precipitation of the onshore lower evaporites. Studied sequences provide new insights into the PLG precipitation/preservation settings, as well as into the land-sea correlations of MSC units, and thus could potentially help refine current MSC models.
Ice stream reorganization and glacial retreat on the northwest Greenland shelf
NASA Astrophysics Data System (ADS)
Newton, A. M. W.; Knutz, P. C.; Huuse, M.; Gannon, P.; Brocklehurst, S. H.; Clausen, O. R.; Gong, Y.
2017-08-01
Understanding conditions at the grounding-line of marine-based ice sheets is essential for understanding ice sheet evolution. Offshore northwest Greenland, knowledge of the Last Glacial Maximum (LGM) ice sheet extent in Melville Bugt was previously based on sparse geological evidence. This study uses multibeam bathymetry, combined with 2-D and 3-D seismic reflection data, to present a detailed landform record from Melville Bugt. Seabed landforms include mega-scale glacial lineations, grounding-zone wedges, iceberg scours, and a lateral shear margin moraine, formed during the last glacial cycle. The geomorphology indicates that the LGM ice sheet reached the shelf edge before undergoing flow reorganization. After retreat of 80 km across the outer shelf, the margin stabilized in a mid-shelf position, possibly during the Younger Dryas (12.9-11.7 ka). The ice sheet then decoupled from the seafloor and retreated to a coast-proximal position. This landform record provides an important constraint on deglaciation history offshore northwest Greenland.
NASA Astrophysics Data System (ADS)
Speed, C. M.; Swartz, J. M.; Gulick, S. P. S.; Goff, J.
2017-12-01
The Trinity River paleovalley is an offshore stratigraphic structure located on the inner continental shelf of the Gulf of Mexico offshore Galveston, Texas. Its formation is linked to the paleo-Trinity system as it existed across the continental shelf during the last glacial period. Newly acquired high-resolution geophysical data have imaged more complexity to the valley morphology and shelf stratigraphy than was previously captured. Significantly, the paleo-Trinity River valley appears to change in the degree of confinement and relief relative to the surrounding strata. Proximal to the modern shoreline, the interpreted time-transgressive erosive surface formed by the paleo-river system is broad and rugose with no single valley, but just 5 km farther offshore the system appears to become confined to a 10 km wide valley structure before again becoming unconfined once again 30 km offshore. Fluvial stratigraphy in this region has a similar degree of complexity in morphology and preservation. A dense geophysical survey of several hundred km is planned for Fall 2017, which will provide unprecedented imaging of the paleovalley morphology and associated stratigraphy. Our analysis leverages robust chirp processing techniques that allow for imaging of strata on the decimeter scale. We will integrate our geophysical results with a wide array of both newly collected and previously published sediment cores. This approach will allow us to address several key questions regarding incised valley formation and preservation on glacial-interglacial timescales including: to what extent do paleo-rivers remain confined within a single broad valley structure, what is the fluvial systems response to transgression, and what stratigraphy is created and preserved at the transition from fluvial to estuarine environments? Our work illustrates that traditional models of incised valley formation and subsequent infilling potentially fail to capture the full breadth of dynamics of past river systems.
Robertson, Amy N.; Wendt, Fabian; Jonkman, Jason M.; ...
2017-10-01
This paper summarizes the findings from Phase II of the Offshore Code Comparison, Collaboration, Continued, with Correlation project. The project is run under the International Energy Agency Wind Research Task 30, and is focused on validating the tools used for modeling offshore wind systems through the comparison of simulated responses of select system designs to physical test data. Validation activities such as these lead to improvement of offshore wind modeling tools, which will enable the development of more innovative and cost-effective offshore wind designs. For Phase II of the project, numerical models of the DeepCwind floating semisubmersible wind system weremore » validated using measurement data from a 1/50th-scale validation campaign performed at the Maritime Research Institute Netherlands offshore wave basin. Validation of the models was performed by comparing the calculated ultimate and fatigue loads for eight different wave-only and combined wind/wave test cases against the measured data, after calibration was performed using free-decay, wind-only, and wave-only tests. The results show a decent estimation of both the ultimate and fatigue loads for the simulated results, but with a fairly consistent underestimation in the tower and upwind mooring line loads that can be attributed to an underestimation of wave-excitation forces outside the linear wave-excitation region, and the presence of broadband frequency excitation in the experimental measurements from wind. Participant results showed varied agreement with the experimental measurements based on the modeling approach used. Modeling attributes that enabled better agreement included: the use of a dynamic mooring model; wave stretching, or some other hydrodynamic modeling approach that excites frequencies outside the linear wave region; nonlinear wave kinematics models; and unsteady aerodynamics models. Also, it was observed that a Morison-only hydrodynamic modeling approach could create excessive pitch excitation and resulting tower loads in some frequency bands.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Robertson, Amy N.; Wendt, Fabian; Jonkman, Jason M.
This paper summarizes the findings from Phase II of the Offshore Code Comparison, Collaboration, Continued, with Correlation project. The project is run under the International Energy Agency Wind Research Task 30, and is focused on validating the tools used for modeling offshore wind systems through the comparison of simulated responses of select system designs to physical test data. Validation activities such as these lead to improvement of offshore wind modeling tools, which will enable the development of more innovative and cost-effective offshore wind designs. For Phase II of the project, numerical models of the DeepCwind floating semisubmersible wind system weremore » validated using measurement data from a 1/50th-scale validation campaign performed at the Maritime Research Institute Netherlands offshore wave basin. Validation of the models was performed by comparing the calculated ultimate and fatigue loads for eight different wave-only and combined wind/wave test cases against the measured data, after calibration was performed using free-decay, wind-only, and wave-only tests. The results show a decent estimation of both the ultimate and fatigue loads for the simulated results, but with a fairly consistent underestimation in the tower and upwind mooring line loads that can be attributed to an underestimation of wave-excitation forces outside the linear wave-excitation region, and the presence of broadband frequency excitation in the experimental measurements from wind. Participant results showed varied agreement with the experimental measurements based on the modeling approach used. Modeling attributes that enabled better agreement included: the use of a dynamic mooring model; wave stretching, or some other hydrodynamic modeling approach that excites frequencies outside the linear wave region; nonlinear wave kinematics models; and unsteady aerodynamics models. Also, it was observed that a Morison-only hydrodynamic modeling approach could create excessive pitch excitation and resulting tower loads in some frequency bands.« less
Sensitivity of marine protected area network connectivity to atmospheric variability
NASA Astrophysics Data System (ADS)
Fox, Alan D.; Henry, Lea-Anne; Corne, David W.; Roberts, J. Murray
2016-11-01
International efforts are underway to establish well-connected systems of marine protected areas (MPAs) covering at least 10% of the ocean by 2020. But the nature and dynamics of ocean ecosystem connectivity are poorly understood, with unresolved effects of climate variability. We used 40-year runs of a particle tracking model to examine the sensitivity of an MPA network for habitat-forming cold-water corals in the northeast Atlantic to changes in larval dispersal driven by atmospheric cycles and larval behaviour. Trajectories of Lophelia pertusa larvae were strongly correlated to the North Atlantic Oscillation (NAO), the dominant pattern of interannual atmospheric circulation variability over the northeast Atlantic. Variability in trajectories significantly altered network connectivity and source-sink dynamics, with positive phase NAO conditions producing a well-connected but asymmetrical network connected from west to east. Negative phase NAO produced reduced connectivity, but notably some larvae tracked westward-flowing currents towards coral populations on the mid-Atlantic ridge. Graph theoretical metrics demonstrate critical roles played by seamounts and offshore banks in larval supply and maintaining connectivity across the network. Larval longevity and behaviour mediated dispersal and connectivity, with shorter lived and passive larvae associated with reduced connectivity. We conclude that the existing MPA network is vulnerable to atmospheric-driven changes in ocean circulation.
The effect of wind on the dispersal of a tropical small river plume
NASA Astrophysics Data System (ADS)
Zhao, Junpeng; Gong, Wenping; Shen, Jian
2018-03-01
Wanquan River is a small river located in Hainan, a tropical island in China. As the third largest river in Hainan, the river plume plays an important role in the regional terrigenous mass transport, coastal circulation, and the coral reef's ecosystem. Studies have shown that wind forcings significantly influence river plume dynamics. In this study, wind effects on the dispersal of the river plume and freshwater transport were examined numerically using a calibrated, unstructured, finite volume numerical model (FVCOM). Both wind direction and magnitude were determined to influence plume dispersal. Northeasterly (downwelling-favorable) winds drove freshwater down-shelf while southeasterly (onshore) winds drove water up-shelf (in the sense of Kelvin wave propagation), and were confined near the coast. Southwesterly (upwelling-favorable) and north-westerly (offshore) winds transport more freshwater offshore. The transport flux is decomposed into an advection, a vertical shear, and an oscillatory component. The advection flux dominates the freshwater transport in the coastal area and the vertical shear flux is dominant in the offshore area. For the upwelling-favorable wind, the freshwater transport becomes more controlled by the advection transport with an increase in wind stress, due to enhanced vertical mixing. The relative importance of wind forcing and buoyancy force was investigated. It was found that, when the Wedderburn number is larger than one, the plume was dominated by wind forcing, although the importance of wind varies in different parts of the plume. The water column stratification decreased as a whole under the prevailing southwesterly wind, with the exception of the up-shelf and offshore areas.
OHISHI, Kazue; BANDO, Takeharu; ABE, Erika; KAWAI, Yasushi; FUJISE, Yoshihiro; MARUYAMA, Tadashi
2016-01-01
In a long-term, large-scale serologic study in the western North Pacific Ocean, anti-Brucella antibodies were detected in common minke whales (Balaenoptera acutorostrata) in the 1994–2010 offshore surveys (21%, 285/1353) and in the 2006–2010 Japanese coastal surveys (20%, 86/436), in Bryde’s whales (B. edeni brydei) in the 2000–2010 offshore surveys (9%, 49/542), in sei whales (B. borealis) in the 2002–2010 offshore surveys (5%, 40/788) and in sperm whales (Physeter macrocephalus) in the 2000–2010 offshore surveys (8%, 4/50). Anti-Brucella antibodies were not detected in 739 Antarctic minke whales (B. bonaerensis) in the 2000–2010 Antarctic surveys. This suggests that Brucella was present in the four large whale populations inhabiting the western North Pacific, but not in the Antarctic minke whale population. By PCR targeting for genes of outer membrane protein 2, the Brucella infection was confirmed in tissue DNA samples from Bryde’s whales (14%, 2/14), sei whales (11%, 1/9) and sperm whales (50%, 2/4). A placental tissue and an apparently healthy fetus from a sperm whale were found to be PCR-positive, indicating that placental transmission might have occurred and the newborn could act as a bacterial reservoir. Marked granulomatous testes were observed only in mature animals of the three species of baleen whales in the western North Pacific offshore surveys, especially in common minke whales, and 29% (307/1064) of total mature males had abnormal testes. This study provides an insight into the status of marine Brucella infection at a global level. PMID:27320816
Ohishi, Kazue; Bando, Takeharu; Abe, Erika; Kawai, Yasushi; Fujise, Yoshihiro; Maruyama, Tadashi
2016-10-01
In a long-term, large-scale serologic study in the western North Pacific Ocean, anti-Brucella antibodies were detected in common minke whales (Balaenoptera acutorostrata) in the 1994-2010 offshore surveys (21%, 285/1353) and in the 2006-2010 Japanese coastal surveys (20%, 86/436), in Bryde's whales (B. edeni brydei) in the 2000-2010 offshore surveys (9%, 49/542), in sei whales (B. borealis) in the 2002-2010 offshore surveys (5%, 40/788) and in sperm whales (Physeter macrocephalus) in the 2000-2010 offshore surveys (8%, 4/50). Anti-Brucella antibodies were not detected in 739 Antarctic minke whales (B. bonaerensis) in the 2000-2010 Antarctic surveys. This suggests that Brucella was present in the four large whale populations inhabiting the western North Pacific, but not in the Antarctic minke whale population. By PCR targeting for genes of outer membrane protein 2, the Brucella infection was confirmed in tissue DNA samples from Bryde's whales (14%, 2/14), sei whales (11%, 1/9) and sperm whales (50%, 2/4). A placental tissue and an apparently healthy fetus from a sperm whale were found to be PCR-positive, indicating that placental transmission might have occurred and the newborn could act as a bacterial reservoir. Marked granulomatous testes were observed only in mature animals of the three species of baleen whales in the western North Pacific offshore surveys, especially in common minke whales, and 29% (307/1064) of total mature males had abnormal testes. This study provides an insight into the status of marine Brucella infection at a global level.
46 CFR 133.120 - Launching stations.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 4 2012-10-01 2012-10-01 false Launching stations. 133.120 Section 133.120 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY (CONTINUED) OFFSHORE SUPPLY VESSELS LIFESAVING SYSTEMS Requirements for All OSVs § 133.120 Launching stations. (a) Each launching station must be positioned to ensure...
46 CFR 133.120 - Launching stations.
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 4 2014-10-01 2014-10-01 false Launching stations. 133.120 Section 133.120 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY (CONTINUED) OFFSHORE SUPPLY VESSELS LIFESAVING SYSTEMS Requirements for All OSVs § 133.120 Launching stations. (a) Each launching station must be positioned to ensure...
Gorokhova, Elena
2015-10-15
Microplastics (MPs) are a newly recognized type of environmental pollution in aquatic systems; however no monitoring of these contaminants is conducted, mostly due to the lack of routine quantification. In the net samples collected with a 90-μm WP2 net, pelagic MP abundance was quantified by light microscopy and evaluated as a function of inshore-offshore gradient, depth, and season; the same samples were used for zooplankton analysis. The MP abundance was ∼10(2)-10(4)particlesm(-3), with no significant inshore-offshore gradient during summer but increasing offshore in winter. MP abundance in deeper layers was positively affected by zooplankton abundance in the upper layers and significantly lower during winter compared to summer. These findings indicate heterogeneity of MP distribution due to biotic and abiotic factors and suggest that samples collected for other purposes can be used for quantification of MPs in the Baltic Sea, thus facilitating integration of MP assessment into existing monitoring schemes. Copyright © 2015 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Dixon, T. H.; Xie, S.; Malservisi, R.; Lembke, C.; Iannaccone, G.; Law, J.; Rodgers, M.; Russell, R.; Voss, N. K.
2017-12-01
A GPS-buoy system has been built and is currently undergoing test to measure precise 3D sea floor motion in the shallow (less than 200 m) continental shelf environment. Offshore deformation is undersampled in most subduction zones. In Cascadia, the shallow shelf environment constitutes roughly 20%-25% of the offshore area between the coastline and the trench. In the system being tested, the GPS receiver at the top of the buoy is connected to the sea floor through a rigid structure supported by a float. A similar design has been used by INGV (Italy) to measure vertical deformation on the sea floor near the Campi Flegrei caldera. Synthetic analysis shows that by adding a 3-axis digital compass to measure heading and tilt, along with kinematic GPS measurements, position of the anchor can be recovered to an accuracy of several centimeters or better, depending on water depth and GPS baseline length. Synthetic resolution tests show that our ability to detect shallow slow slip events on subduction plate boundaries can be greatly improved by adding offshore GPS-buoy sites.
National Offshore Wind Energy Grid Interconnection Study
DOE Office of Scientific and Technical Information (OSTI.GOV)
Daniel, John P.; Liu, Shu; Ibanez, Eduardo
2014-07-30
The National Offshore Wind Energy Grid Interconnection Study (NOWEGIS) considers the availability and potential impacts of interconnecting large amounts of offshore wind energy into the transmission system of the lower 48 contiguous United States. A total of 54GW of offshore wind was assumed to be the target for the analyses conducted. A variety of issues are considered including: the anticipated staging of offshore wind; the offshore wind resource availability; offshore wind energy power production profiles; offshore wind variability; present and potential technologies for collection and delivery of offshore wind energy to the onshore grid; potential impacts to existing utility systemsmore » most likely to receive large amounts of offshore wind; and regulatory influences on offshore wind development. The technologies considered the reliability of various high-voltage ac (HVAC) and high-voltage dc (HVDC) technology options and configurations. The utility system impacts of GW-scale integration of offshore wind are considered from an operational steady-state perspective and from a regional and national production cost perspective.« less
NASA Astrophysics Data System (ADS)
Jaksic, V.; Wright, C.; Mandic, D. P.; Murphy, J.; Pakrashi, V.
2015-07-01
Although aspects of power generation of many offshore renewable devices are well understood, their dynamic responses under high wind and wave conditions are still to be investigated to a great detail. Output only statistical markers are important for these offshore devices, since access to the device is limited and information about the exposure conditions and the true behaviour of the devices are generally partial, limited, and vague or even absent. The markers can summarise and characterise the behaviour of these devices from their dynamic response available as time series data. The behaviour may be linear or nonlinear and consequently a marker that can track the changes in structural situations can be quite important. These markers can then be helpful in assessing the current condition of the structure and can indicate possible intervention, monitoring or assessment. This paper considers a Delay Vector Variance based marker for changes in a tension leg platform tested in an ocean wave basin for structural changes brought about by single column dampers. The approach is based on dynamic outputs of the device alone and is based on the estimation of the nonlinearity of the output signal. The advantages of the selected marker and its response with changing structural properties are discussed. The marker is observed to be important for monitoring the as- deployed structural condition and is sensitive to changes in such conditions. Influence of exposure conditions of wave loading is also discussed in this study based only on experimental data.
Dynamic Blowout Risk Analysis Using Loss Functions.
Abimbola, Majeed; Khan, Faisal
2018-02-01
Most risk analysis approaches are static; failing to capture evolving conditions. Blowout, the most feared accident during a drilling operation, is a complex and dynamic event. The traditional risk analysis methods are useful in the early design stage of drilling operation while falling short during evolving operational decision making. A new dynamic risk analysis approach is presented to capture evolving situations through dynamic probability and consequence models. The dynamic consequence models, the focus of this study, are developed in terms of loss functions. These models are subsequently integrated with the probability to estimate operational risk, providing a real-time risk analysis. The real-time evolving situation is considered dependent on the changing bottom-hole pressure as drilling progresses. The application of the methodology and models are demonstrated with a case study of an offshore drilling operation evolving to a blowout. © 2017 Society for Risk Analysis.
Estuarine Human Activities Modulate the Fate of Changjiang-derived Materials in Adjacent Seas
NASA Astrophysics Data System (ADS)
WU, H.
2017-12-01
Mega constructions have been built in many river estuaries, but their environmental consequences in the adjacent coastal oceans were often overlooked. This issue was addressed with an example of the Changjiang River Estuary, which was recently built with massive navigation and reclamation constructions in recent years. Based on the model validations against cruises data and the numerical scenario experiments, it is shown that the estuarine constructions profoundly affected the fates of riverine materials in an indeed large offshore area. This is because estuarine dynamics are highly sensitive to their bathymetries. Previously, the Three Gorges Dam (TGD) was thought to be responsible for some offshore environmental changes through modulating the river plume extension, but here we show that its influences are secondary. Since the TGD and the mega estuarine constructions were built during the similar period, their influences might be confused.
Floating Offshore WTG Integrated Load Analysis & Optimization Employing a Tuned Mass Damper
DOE Office of Scientific and Technical Information (OSTI.GOV)
Rodriguez Tsouroukdissian, Arturo; Lackner, Matt; Cross-Whiter, John
2015-09-25
Floating offshore wind turbines (FOWTs) present complex design challenges due to the coupled dynamics of the platform motion, mooring system, and turbine control systems, in response to wind and wave loading. This can lead to higher extreme and fatigue loads than a comparable fixed bottom or onshore system. Previous research[1] has shown the potential to reduced extreme and fatigue loads on FOWT using tuned mass dampers (TMD) for structural control. This project aims to reduce maximum loads using passive TMDs located at the tower top during extreme storm events, when grid supplied power for other controls systems may not bemore » available. The Alstom Haliade 6MW wind turbine is modelled on the Glosten Pelastar tension-leg platform (TLP). The primary objectives of this project are to provide a preliminary assessment of the load reduction potential of passive TMDs on real wind turbine and TLP designs.« less
The influence of ice on southern Lake Michigan coastal erosion
Barnes, P.W.; Kempema, E.W.; Reimnitz, E.; McCormick, M.
1994-01-01
Coastal ice does not protect the coast but enhances erosion by displacing severe winter wave energy from the beach to the shoreface and by entraining and transporting sediment alongshore and offshore. Three aspects of winter ice in Lake Michigan were studied over a 3-year period and found to have an important influence on coastal sediment dynamics and the coastal sediment budget: (1) the influence of coastal ice on shoreface morphology, (2) the transport of littoral sediments by ice, and (3) the formation of anchor and underwater ice as a frequent and important event entraining and transporting sediment. The nearshore ice complex contains a sediment load (0.2 - 1.2 t/m of coast) that is roughly equivalent to the average amount of sand eroded from the coastal bluffs and to the amount of sand ice- rafted offshore to the deep lake basin each year. -from Authors
Ocean Transport Pathways to a World Heritage Fringing Coral Reef: Ningaloo Reef, Western Australia.
Xu, Jiangtao; Lowe, Ryan J; Ivey, Gregory N; Jones, Nicole L; Zhang, Zhenlin
2016-01-01
A Lagrangian particle tracking model driven by a regional ocean circulation model was used to investigate the seasonally varying connectivity patterns within the shelf circulation surrounding the 300 km long Ningaloo Reef in Western Australia (WA) during 2009-2010. Forward-in-time simulations revealed that surface water was transported equatorward and offshore in summer due to the upwelling-favorable winds. In winter, however, water was transported polewards down the WA coast due to the seasonally strong Leeuwin Current. Using backward-in-time simulations, the subsurface transport pathways revealed two main source regions of shelf water reaching Ningaloo Reef: (1) a year-round source to the northeast in the upper 100 m of water column; and (2) during the summer, an additional source offshore and to the west of Ningaloo in depths between ~30 and ~150 m. Transient wind-driven coastal upwelling, onshore geostrophic transport and stirring by offshore eddies were identified as the important mechanisms influencing the source water origins. The identification of these highly time-dependent transport pathways and source water locations is an essential step towards quantifying how key material (e.g., nutrients, larvae, contaminants, etc.) is exchanged between Ningaloo Reef and the surrounding shelf ocean, and how this is mechanistically coupled to the complex ocean dynamics in this region.
Comparative management of offshore posidonia residues: composting vs. energy recovery.
Cocozza, Claudio; Parente, Angelo; Zaccone, Claudio; Mininni, Carlo; Santamaria, Pietro; Miano, Teodoro
2011-01-01
Residues of the marine plant posidonia (Posidonia oceanica, PO) beached in tourist zones represent a great environmental, economical, social and hygienic problem in the Mediterranean Basin, in general, and in the Apulia Region in particular, because of the great disturb to the bathers and population, and the high costs that the administrations have to bear for their removal and disposal. In the present paper, Authors determined the heating values of leaves and fibres of PO, the main offshore residues found on beaches, and, meantime, composted those residues with mowing and olive pruning wood. The final composts were characterized for pH, electrical conductivity, elemental composition, dynamic respiration index, phytotoxicity, fluorescence and infrared spectroscopic fingerprints. The aim of the paper was to investigate the composting and energy recovery of PO leaves and fibres in order to suggest alternative solutions to the landfill when offshore residues have to be removed from recreational beaches. The fibrous portion of PO residues showed heating values close to those of other biofuels, thus suggesting a possible utilization as source of energy. At the same time, compost obtained from both PO wastes showed high quality features on condition that the electrical conductivity and Na content are lowered by a correct management of wetting during the composting. Copyright © 2010 Elsevier Ltd. All rights reserved.
Challenges in Modelling and Control of Offshore De-oiling Hydrocyclone Systems
NASA Astrophysics Data System (ADS)
Durdevic, Petar; Pedersen, Simon; Yang, Zhenyu
2017-01-01
Offshore de-oiling installations are facing an increasing challenge with regards to removing oil residuals from produced water prior to discharge into the ocean. The de-oiling of produced water is initially achieved in the primary separation processes using gravity-based multi-phase separators, which can effectively handle large amounts of oil-well fluids but may struggle with the efficient separation of small dispersed oil particles. Thereby hydrocyclone systems are commonly employed in the downstream Produced Water Treatment (PWT) process for further reducing the oil concentration in the produced water before it can be discharged into the ocean. The popularity of hydrocyclone technology in the offshore oil and gas industry is mainly due to its rugged design and low maintenance requirements. However, to operate and control this type of system in an efficient way is far less simple, and alternatively this task imposes a number of key control challenges. Specifically, there is much research to be performed in the direction of dynamic modelling and control of de-oiling hydrocyclone systems. The current solutions rely heavily on empirical trial-and-error approaches. This paper gives a brief review of current hydrocyclone control solutions and the remaining challenges and includes some of our recent work in this topic and ends with a motivation for future work.
Ocean Transport Pathways to a World Heritage Fringing Coral Reef: Ningaloo Reef, Western Australia
Xu, Jiangtao; Lowe, Ryan J.; Ivey, Gregory N.; Jones, Nicole L.; Zhang, Zhenlin
2016-01-01
A Lagrangian particle tracking model driven by a regional ocean circulation model was used to investigate the seasonally varying connectivity patterns within the shelf circulation surrounding the 300 km long Ningaloo Reef in Western Australia (WA) during 2009–2010. Forward-in-time simulations revealed that surface water was transported equatorward and offshore in summer due to the upwelling-favorable winds. In winter, however, water was transported polewards down the WA coast due to the seasonally strong Leeuwin Current. Using backward-in-time simulations, the subsurface transport pathways revealed two main source regions of shelf water reaching Ningaloo Reef: (1) a year-round source to the northeast in the upper 100 m of water column; and (2) during the summer, an additional source offshore and to the west of Ningaloo in depths between ~30 and ~150 m. Transient wind-driven coastal upwelling, onshore geostrophic transport and stirring by offshore eddies were identified as the important mechanisms influencing the source water origins. The identification of these highly time-dependent transport pathways and source water locations is an essential step towards quantifying how key material (e.g., nutrients, larvae, contaminants, etc.) is exchanged between Ningaloo Reef and the surrounding shelf ocean, and how this is mechanistically coupled to the complex ocean dynamics in this region. PMID:26790154
Riethmeister, V; Bültmann, U; De Boer, M R; Gordijn, M; Brouwer, S
2018-05-16
To better understand sleep quality and sleepiness problems offshore, we examined courses of sleep quality and sleepiness in full 2-weeks on/2-weeks off offshore day shift rotations by comparing pre-offshore (1 week), offshore (2 weeks) and post-offshore (1 week) work periods. A longitudinal observational study was conducted among N=42 offshore workers. Sleep quality was measured subjectively with two daily questions and objectively with actigraphy, measuring: time in bed (TIB), total sleep time (TST), sleep latency (SL) and sleep efficiency percentage (SE%). Sleepiness was measured twice a day (morning and evening) with the Karolinska Sleepiness Scale. Changes in sleep and sleepiness parameters during the pre/post and offshore work periods were investigated using (generalized) linear mixed models. In the pre-offshore work period, courses of SE% significantly decreased (p=.038). During offshore work periods, the courses of evening sleepiness scores significantly increased (p<.001) and significantly decreased during post-offshore work periods (p=.004). During offshore work periods, TIB (p<.001) and TST (p<.001) were significantly shorter, SE% was significantly higher (p=.002), perceived sleep quality was significantly lower (p<.001) and level of rest after wake was significantly worse (p<.001) than during the pre- and post-offshore work periods. Morning sleepiness was significantly higher during offshore work periods (p=.015) and evening sleepiness was significantly higher in the post-offshore work period (p=.005) compared to the other periods. No significant changes in SL were observed. Courses of sleep quality and sleepiness parameters significantly changed during full 2-weeks on/2-weeks off offshore day shift rotation periods. These changes should be considered in offshore fatigue risk management programmes.
NASA Astrophysics Data System (ADS)
Schulz, E.; Grasso, F.; Le Hir, P.; Verney, R.; Thouvenin, B.
2018-01-01
Understanding the sediment dynamics in an estuary is important for its morphodynamic and ecological assessment as well as, in case of an anthropogenically controlled system, for its maintenance. However, the quantification of sediment fluxes and budgets is extremely difficult from in-situ data and requires thoroughly validated numerical models. In the study presented here, sediment fluxes and budgets in the lower Seine Estuary were quantified and investigated from seasonal to annual time scales with respect to realistic hydro- and meteorological conditions. A realistic three-dimensional process-based hydro- and sediment-dynamic model was used to quantify mud and sand fluxes through characteristic estuarine cross-sections. In addition to a reference experiment with typical forcing, three experiments were carried out and analyzed, each differing from the reference experiment in either river discharge or wind and waves so that the effects of these forcings could be separated. Hydro- and meteorological conditions affect the sediment fluxes and budgets in different ways and at different locations. Single storm events induce strong erosion in the lower estuary and can have a significant effect on the sediment fluxes offshore of the Seine Estuary mouth, with the flux direction depending on the wind direction. Spring tides cause significant up-estuary fluxes at the mouth. A high river discharge drives barotropic down-estuary fluxes at the upper cross-sections, but baroclinic up-estuary fluxes at the mouth and offshore so that the lower estuary gains sediment during wet years. This behavior is likely to be observed worldwide in estuaries affected by density gradients and turbidity maximum dynamics.
17 CFR 230.904 - Offshore resales.
Code of Federal Regulations, 2010 CFR
2010-04-01
... affiliates (except any officer or director who is an affiliate solely by virtue of holding such position), or... concession, fee or other remuneration in respect of the securities offered or sold: (i) Neither the seller... selling concession, fee or other remuneration in respect of the securities sold, the seller or a person...
Moving And Working On Space Structures
NASA Technical Reports Server (NTRS)
Mclaughlin, Pat B.
1992-01-01
Clawlike device attaches boots to rails. Memorandum presents, in sketches and brief text, concept for boot-toe clip helping astronaut move about outside on structures being built at Space Station. Clip also helps astronaut maintain stable position at worksite. Concept adaptable to underwater work on such structures as offshore oil rigs.
Student Affairs and Offshore Branch Campuses: A Case Study of Practitioner Experiences
ERIC Educational Resources Information Center
Cicchetti, Kaitlin Oyler; Park, Minkyung
2018-01-01
Internationalizing higher education is increasingly recognized as an important element of higher education today. Institutions want to produce graduates who are global citizens, and therefore attempt to strengthen their position in the global marketplace by internationalizing the campus community through the research, teaching, and service…
NASA Astrophysics Data System (ADS)
Kourafalou, Villy; Androulidakis, Yannis
2013-04-01
Large river plumes are a major supplier of freshwater, sediments and nutrients in coastal and shelf seas. Novel processes controlling the transport and fate of riverine waters (and associated materials) will be presented, under flood conditions and in the presence of complex topography, ambient shelf circulation and slope processes, controlled by the interaction with rim currents. The Mississippi River (MR) freshwater outflow is chosen as a test case, as a major circulation forcing mechanism for the Northern Gulf of Mexico and a unique river plume for the intense interactions with a large scale ocean current, namely the Loop Current branch of the Gulf Stream, and associated eddy field. The largest MR outflow in history (45,000 m3/sec in 2011) is compared with the second largest outflow in the last 8 years (41,000 m3/sec in 2008). Realistically forced simulations, based on the Hybrid Coordinate Ocean Model (HYCOM) with careful treatment of river plume dynamics and nested to a data assimilated, basin-wide model, reveal the synergistic effect of enhanced discharge, winds, stratification of ambient shelf waters and offshore circulation over the transport of plume waters. The investigation targets a broader understanding of the dynamics of large scale river plumes in general, and of the MR plume in particular. In addition, in situ observations from ship surveys and satellite chl-a data showed that the mathematical simulations with high temporal resolution river outflow input may reproduce adequately the buoyant waters spreading over the Northern Gulf of Mexico shelf and offshore areas. The fate of the river plume is strongly determined and affected by deep basin processes. The strong impacts of the Loop Current system (and its frontal eddies) on river plume evolution are of particular importance under conditions of increased offshore spreading, which is presumed under large discharge rates and can cause loss of riverine materials to the basin interior. Flood conditions can increase both downstream (westward) and upstream (eastward) spreading. The high outflow rates enhance the anticyclonic bulge, strengthen the downstream coastal current toward the western Louisiana-Texas shelf. The substantial eastward spreading over the eastern Mississippi-Alabama-Florida shelf was highly correlated with the Loop Current northward extension. On the contrary, cyclonic eddies east of the Delta effectively block the offshore eastward spreading of the plume and may keep the river waters away from the eastern shelf. We show that the proximity of eddies to the shelf break is a sufficient condition for shelf-to-offshore interaction, which is facilitated by the steep bottom topography near the Delta.
Analysis for the amplitude oscillatory movements of the ship in response to the incidence wave
NASA Astrophysics Data System (ADS)
Chiţu, M. G.; Zăgan, R.; Manea, E.
2015-11-01
Event of major accident navigation near offshore drilling rigs remains unacceptably high, known as the complications arising from the problematic of the general motions of the ship sailing under real sea. Dynamic positioning system is an effective instrument used on board of the ships operating in the extraction of oil and gas in the continental shelf of the seas and oceans, being essential that the personnel on board of the vessel can maintain position and operating point or imposed on a route with high precision. By the adoption of a strict safety in terms of handling and positioning of the vessel in the vicinity of the drilling platform, the risk of accidents can be reduced to a minimum. Possibilities in anticipation amplitudes of the oscillatory movements of the ships navigating in real sea, is a challenge for naval architects and OCTOPUS software is a tool used increasingly more in this respect, complementing navigational facilities offered by dynamic positioning systems. This paper presents a study on the amplitudes of the oscillations categories of supply vessels in severe hydro meteorological conditions of navigation. The study provides information on the RAO (Response Amplitude Operator) response operator of the ship, for the amplitude of the roll movements, in some incident wave systems, interpreted using the energy spectrum Jonswap and whose characteristics are known (significant height of the wave, wave period, pulsation of the wave). Ship responses are analyzed according to different positioning of the ship in relation to the wave front (incident angle ranging from 10 to 10 degree from 0 to 180), highlighting the value of the ship roll motion amplitude. For the study, was used, as a tool for modeling and simulation, the features offered by OCTOPUS software that allows the study of the computerized behavior of the ship on the waves, in the real conditions of navigation. Program library was used for both the vessel itself and navigation modeling environment, for regular waves as well for the irregular waves which was modeled using Jonswap energy spectrum.
NASA Astrophysics Data System (ADS)
Shaw, W. J.
2013-12-01
Offshore renewable energy represents a significant but essentially untapped electricity resource for the U.S. Offshore wind energy is attractive for a number of reasons, including the feasibility of using much larger and more efficient wind turbines than is possible on land. In many offshore regions near large population centers, the diurnal maximum in wind energy production is also closely matched to the diurnal maximum in electricity demand, easing the balancing of generation and load. Currently, however, the cost of offshore wind energy is not competitive with other energy sources, including terrestrial wind. Two significant contributing reasons for this are the cost of offshore wind resource assessment and fundamental gaps in knowledge of the behavior of winds and turbulence in the layer of the atmosphere spanned by the sweep of the turbine rotor. Resource assessment, a necessary step in securing financing for a wind project, is conventionally carried out on land using meteorological towers erected for a year or more. Comparable towers offshore are an order of magnitude more expensive to install. New technologies that promise to reduce these costs, such as Doppler lidars mounted on buoys, are being developed, but these need to be validated in the environment in which they will be used. There is currently no facility in the U.S. that can carry out such validations offshore. Research needs include evaluation and improvement of hub-height wind forecasts from regional forecast models in the marine boundary layer, understanding of turbulence characteristics that affect turbine loads and wind plant efficiency, and development of accurate representations of sea surface roughness and atmospheric thermodynamic stability on hub height winds. In response to these needs for validation and research, the U.S. Department of Energy is developing the Reference Facility for Offshore Renewable Energy (RFORE). The RFORE will feature a meteorological tower with wind, temperature, humidity, and turbulence sensors at nominally eight levels to a maximum measurement height of at least 100 m. In addition, remote sensing systems for atmospheric dynamic and thermodynamic profiles, sea state measurements including wave spectra, and subsurface measurements of current, temperature, and salinity profiles will be measured. Eventually, measurements from the platform are anticipated to include monitoring of marine and avian life as well as bats. All data collected at the RFORE will be archived and made available to all interested users. The RFORE is currently planned to be built on the structure of the Chesapeake Light Tower, approximately 25 km east of Virginia Beach, Virginia. This development is an active collaboration among U.S. DOE headquarters staff, the National Renewable Energy Laboratory (NREL), and Pacific Northwest National Laboratory (PNNL). NREL will design, construct, and operate the facility. PNNL will develop the research agenda, including the data archive. This presentation emphasizes the measurement capabilities of the facility in the context of research applications, user access to the data through the archive, and plans for user engagement and research management of the facility.
South Atlantic Bight Synoptic Offshore Observational Network
1999-09-30
GOAL The long term goal is to evaluate underwater television for providing fishery managers real-time visual data on reef fish communities which will... overfishing , that a complete moratorium on fishing for this species has been suggested by the South Atlantic Fishery Management Council. There is a...our understanding of fish community dynamics. Also, SC DNR fishery scientists are conducting research on fish communities of artificial reef that are
SOWFA Super-Controller: A High-Fidelity Tool for Evaluating Wind Plant Control Approaches
DOE Office of Scientific and Technical Information (OSTI.GOV)
Fleming, P.; Gebraad, P.; van Wingerden, J. W.
2013-01-01
This paper presents a new tool for testing wind plant controllers in the Simulator for Offshore Wind Farm Applications (SOWFA). SOWFA is a high-fidelity simulator for the interaction between wind turbine dynamics and the fluid flow in a wind plant. The new super-controller testing environment in SOWFA allows for the implementation of the majority of the wind plant control strategies proposed in the literature.
NASA Technical Reports Server (NTRS)
Kirk, R. G.; Simpson, M.
1985-01-01
The results for in-plant full load testing of a 13.4 MW (18000 HP) gas turbine driven centrifugal compressor are presented and compared to analytical predictions of compressor rotor stability. Unique problems from both oil seals and labyrinth gas seals were encountered during the testing. The successful resolution of these problems are summarized.
A comparison between the dynamics of horizontal and vertical axis offshore floating wind turbines.
Borg, M; Collu, M
2015-02-28
The need to further exploit offshore wind resources in deeper waters has led to a re-emerging interest in vertical axis wind turbines (VAWTs) for floating foundation applications. However, there has been little effort to systematically compare VAWTs to the more conventional horizontal axis wind turbine (HAWT). This article initiates this comparison based on prime principles, focusing on the turbine aerodynamic forces and their impact on the floating wind turbine static and dynamic responses. VAWTs generate substantially different aerodynamic forces on the support structure, in particular, a potentially lower inclining moment and a substantially higher torque than HAWTs. Considering the static stability requirements, the advantages of a lower inclining moment, a lower wind turbine mass and a lower centre of gravity are illustrated, all of which are exploitable to have a less costly support structure. Floating VAWTs experience increased motion in the frequency range surrounding the turbine [number of blades]×[rotational speed] frequency. For very large VAWTs with slower rotational speeds, this frequency range may significantly overlap with the range of wave excitation forces. Quantitative considerations are undertaken comparing the reference NREL 5 MW HAWT with the NOVA 5 MW VAWT. © 2015 The Author(s) Published by the Royal Society. All rights reserved.
NASA Astrophysics Data System (ADS)
Meng, Long; Zhou, Tao; He, Yan-ping; Zhao, Yong-sheng; Liu, Ya-dong
2017-10-01
Tower, Spar platform and mooring system are designed in the project based on a given 6-MW wind turbine. Under wind-induced only, wave-induced only and combined wind and wave induced loads, dynamic response is analyzed for a 6-MW Spar-type floating offshore wind turbine (FOWT) under operating conditions and parked conditions respectively. Comparison with a platform-fixed system (land-based system) of a 6-MW wind turbine is carried out as well. Results demonstrate that the maximal out-of-plane deflection of the blade of a Spar-type system is 3.1% larger than that of a land-based system; the maximum response value of the nacelle acceleration is 215% larger for all the designed load cases being considered; the ultimate tower base fore-aft bending moment of the Spar-type system is 92% larger than that of the land-based system in all of the Design Load Cases (DLCs) being considered; the fluctuations of the mooring tension is mainly wave-induced, and the safety factor of the mooring tension is adequate for the 6-MW FOWT. The results can provide relevant modifications to the initial design for the Spar-type system, the detailed design and model basin test of the 6-MW Spar-type system.
Cloud patterns lee of Hawaii Island: A synthesis of satellite observations and numerical simulation
NASA Astrophysics Data System (ADS)
Yang, Yang; Xie, Shang-Ping; Hafner, Jan
2008-08-01
Standing well above the trade wind inversion, Hawaii Island (maximum elevation ˜4.2 km) splits the northeast trade winds and induces a westerly reverse flow in the wake. Satellite observations and regional model simulations are used to investigate circulation effects on lee cloud formation during summer. Over the island, the cloud distribution is consistent with orographic-induced vertical motions. Over the lee ocean, our analysis reveals a cloud band that extends southwestward over a few tens of kilometers from the southwest coast of the island. This southwest lee cloud band is most pronounced in the afternoon, anchored by strong convergence and maintained by in situ cloud production in the upward motion. Such an offshore cloud band is not found off the northwest coast, an asymmetry possibly due to the Coriolis effect on the orographic flow. Off the Kona coast, the dynamically induced westerly reverse flow keeps the wake cool and nearly free of clouds during the day. Along the Kona coast, clouds are blown offshore from the island by the easterly trades in the afternoon in a layer above the reverse flow. Deprived of in situ production, these afternoon Kona coast clouds dissipate rapidly offshore. At night, the offshore land/valley breezes converge onto the onshore reverse flow, and a cloud deck forms on and off the Kona coast, bringing nighttime rain as observed at land stations. To illustrate the circulation effect, lee cloud formation is compared between tall Hawaii and short Kauai/Oahu Islands, which feature the flow-around and flow-over regimes, respectively. Effects of trade wind strength on the leeside cloudiness are also studied.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Copping, Andrea E.; Hanna, Luke A.
2011-11-01
Potential environmental effects of offshore wind (OSW) energy development are not well understood, and yet regulatory agencies are required to make decisions in spite of substantial uncertainty about environmental impacts and their long-term consequences. An understanding of risks associated with interactions between OSW installations and avian and aquatic receptors, including animals, habitats, and ecosystems, can help define key uncertainties and focus regulatory actions and scientific studies on interactions of most concern. During FY 2011, Pacific Northwest National Laboratory (PNNL) scientists adapted and applied the Environmental Risk Evaluation System (ERES), first developed to examine the effects of marine and hydrokinetic energymore » devices on aquatic environments, to offshore wind development. PNNL scientists conducted a risk screening analysis on two initial OSW cases: a wind project in Lake Erie and a wind project off the Atlantic coast of the United States near Atlantic City, New Jersey. The screening analysis revealed that top-tier stressors in the two OSW cases were the dynamic effects of the device (e.g., strike), accidents/disasters, and effects of the static physical presence of the device, such as alterations in bottom habitats. Receptor interactions with these stressors at the highest tiers of risk were dominated by threatened and endangered animals. Risk to the physical environment from changes in flow regime also ranked high. Peer review of this process and results will be conducted during FY 2012. The ERES screening analysis provides an assessment of the vulnerability of environmental receptors to stressors associated with OSW installations; a probability analysis is needed to determine specific risk levels to receptors. As more data become available that document effects of offshore wind farms on specific receptors in U.S. coastal and Great Lakes waters, probability analyses will be performed.« less
Distribution of dissolved manganese in the Peruvian Upwelling and Oxygen Minimum Zone
NASA Astrophysics Data System (ADS)
Vedamati, Jagruti; Chan, Catherine; Moffett, James W.
2015-05-01
The geochemistry of manganese (Mn) in seawater is dominated by its redox chemistry, as Mn(II) is soluble and Mn(IV) forms insoluble oxides, and redox transformations are mediated by a variety of processes in the oceans. Dissolved Mn (DMn) accumulates under reducing conditions and is depleted under oxidizing conditions. Thus the Peruvian upwelling region, characterized by highly reducing conditions over a broad continental shelf and a major oxygen minimum zone extending far offshore, is potentially a large source of Mn to the eastern Tropical South Pacific. In this study, DMn was determined on cruises in October 2005 and February 2010 in the Peruvian Upwelling and Oxygen Minimum Zone, to evaluate the relationship between Mn, oxygen and nitrogen cycle processes. DMn concentrations were determined using simple dilution and matrix-matched external standardization inductively coupled mass spectrometry. Surprisingly, DMn was depleted under the most reducing conditions along the Peruvian shelf. Concentrations of dissolved Mn in surface waters increased offshore, indicating that advection of Mn offshore from the Peruvian shelf is a minor source. Subsurface Mn maxima were observed within the oxycline rather than within the oxygen minimum zone (OMZ), indicating they arise from remineralization of organic matter rather than reduction of Mn oxides. The distribution of DMn appears to be dominated by non-redox processes and inputs from the atmosphere and from other regions associated with specific water masses. Lower than expected DMn concentrations on the shelf probably reflect limited fluvial inputs from the continent and efficient offshore transport. This behavior is in stark contrast to Fe, reported in a companion study which is very high on the shelf and undergoes dynamic redox cycling.
[Relationship between occupational stress and mental health in offshore oil platform workers].
Wu, Hongtao; Xiao, Taiqin; Zou, Jianfang; Shan, Yongle; Li, Zijian
2014-02-01
To investigate the relationship between occupational stress and mental health in offshore oil platform workers and to provide a scientific basis for protection of their mental health. A total of 768 workers on offshore oil platform were surveyed with the Occupational Stress Inventory Revised Edition and Symptom Check List-90 (SCL-90). The total score of Occupational Role Questionnaire (ORQ) for the workers (160.27±24.63) was significantly lower than the national norm (166.52±27.01) (P < 0.01); the total score of Personal Strain Questionnaire (PSQ) (101.96±19.8) was significantly higher than the national norm (92.45±17.33) (P < 0.01). The total score of Personal Resource Questionnaire (PRQ) for the workers was not significantly different from the national norm (P > 0.05), but the items of recreation, social support, and rational/cognitive found significant difference (P < 0.05). The total score of SCL-90 was positively correlated with all items of ORQ and PSQ (P < 0.01) and negatively correlated with all items of PRQ (P < 0.01). The multiple stepwise regression analysis showed that current work seniority, education background, drinking, role overload, role insufficiency, role ambiguity, responsibility, physical environment, and rational/cognitive conduct impacted the score of SCL-90 (P < 0.05). The mental health of workers on offshore oil platform is related to occupational stress, and role overload, role ambiguity, physical environment, and rational/cognitive conduct, etc, are closely associated with the workers' mental health.
Forcing and variability of nonstationary rip currents
Long, Joseph W.; H.T. Özkan-Haller,
2016-01-01
Surface wave transformation and the resulting nearshore circulation along a section of coast with strong alongshore bathymetric gradients outside the surf zone are modeled for a consecutive 4 week time period. The modeled hydrodynamics are compared to in situ measurements of waves and currents collected during the Nearshore Canyon Experiment and indicate that for the entire range of observed conditions, the model performance is similar to other studies along this stretch of coast. Strong alongshore wave height gradients generate rip currents that are observed by remote sensing data and predicted qualitatively well by the numerical model. Previous studies at this site have used idealized scenarios to link the rip current locations to undulations in the offshore bathymetry but do not explain the dichotomy between permanent offshore bathymetric features and intermittent rip current development. Model results from the month‐long simulation are used to track the formation and location of rip currents using hourly statistics, and results show that the direction of the incoming wave energy strongly controls whether rip currents form. In particular, most of the offshore wave spectra were bimodal and we find that the ratio of energy contained in each mode dictates rip current development, and the alongshore rip current position is controlled by the incident wave period. Additionally, model simulations performed with and without updating the nearshore morphology yield no significant change in the accuracy of the predicted surf zone hydrodyanmics indicating that the large‐scale offshore features (e.g., submarine canyon) predominately control the nearshore wave‐circulation system.
Chen, Wei-qing; Huang, Zi-hui; Yu, De-xin; Lin, Yan-zu; Ling, Zhi-ming; Tang, Ji-song
2003-02-01
To evaluate the validity and reliability of the Occupational Stress Scale (OSS) for Chinese offshore oil platform workers. A 51-item self-administered questionnaire developed in the light of Cooper's questionnaire and company's special situation was used to investigate 561 subjects. 51 occupational stress items relating to offshore oil production were subjected to factor analysis, and nine latent factors were identified, which explained 62.5% of the total variance. According to the contents described by the items included in each factor, they were respectively defined as: "the interface between job and family/social life (factor 1)", "career and achievement (factor 2)", "safety (factor 3)", "management problem and relationship with others at work (factor 4)", "physical factors of workplace (factor 5)", "platform living environment (factor 6)", "role in management (factor 7)", "ergonomics (factor 8)" and "organization structure (factor 9)". Significant difference in the score of five factors was observed among 12 different job categories by analysis of variance. After adjusting for potential confounding factors (age, educational level), hierarchical multiple regression analysis indicated that the score of the OSS was significantly and positively correlated with the poor mental health of the workers (P < 0.01). The consistent test between OSS and each factor showed that Cronbach's alpha were 0.72 - 0.91. The OSS is a valid and reliable tool for measuring occupational stress, and can be used to explore occupational stress and its influence on health and safety problems in offshore oil workers.
The Sorong Fault Zone, Indonesia: Mapping a Fault Zone Offshore
NASA Astrophysics Data System (ADS)
Melia, S.; Hall, R.
2017-12-01
The Sorong Fault Zone is a left-lateral strike-slip fault zone in eastern Indonesia, extending westwards from the Bird's Head peninsula of West Papua towards Sulawesi. It is the result of interactions between the Pacific, Caroline, Philippine Sea, and Australian Plates and much of it is offshore. Previous research on the fault zone has been limited by the low resolution of available data offshore, leading to debates over the extent, location, and timing of movements, and the tectonic evolution of eastern Indonesia. Different studies have shown it north of the Sula Islands, truncated south of Halmahera, continuing to Sulawesi, or splaying into a horsetail fan of smaller faults. Recently acquired high resolution multibeam bathymetry of the seafloor (with a resolution of 15-25 meters), and 2D seismic lines, provide the opportunity to trace the fault offshore. The position of different strands can be identified. On land, SRTM topography shows that in the northern Bird's Head the fault zone is characterised by closely spaced E-W trending faults. NW of the Bird's Head offshore there is a fold and thrust belt which terminates some strands. To the west of the Bird's Head offshore the fault zone diverges into multiple strands trending ENE-WSW. Regions of Riedel shearing are evident west of the Bird's Head, indicating sinistral strike-slip motion. Further west, the ENE-WSW trending faults turn to an E-W trend and there are at least three fault zones situated immediately south of Halmahera, north of the Sula Islands, and between the islands of Sanana and Mangole where the fault system terminates in horsetail strands. South of the Sula islands some former normal faults at the continent-ocean boundary with the North Banda Sea are being reactivated as strike-slip faults. The fault zone does not currently reach Sulawesi. The new fault map differs from previous interpretations concerning the location, age and significance of different parts of the Sorong Fault Zone. Kinematic analysis is underway to give a fresh understanding of the tectonic evolution of this complex zone of faulting and plate interaction.
Offshore Wind Energy Resource Assessment for Alaska
DOE Office of Scientific and Technical Information (OSTI.GOV)
Doubrawa Moreira, Paula; Scott, George N.; Musial, Walter D.
This report quantifies Alaska's offshore wind resource capacity while focusing on its unique nature. It is a supplement to the existing U.S. Offshore Wind Resource Assessment, which evaluated the offshore wind resource for all other U.S. states. Together, these reports provide the foundation for the nation's offshore wind value proposition. Both studies were developed by the National Renewable Energy Laboratory. The analysis presented herein represents the first quantitative evidence of the offshore wind energy potential of Alaska. The technical offshore wind resource area in Alaska is larger than the technical offshore resource area of all other coastal U.S. states combined.more » Despite the abundant wind resource available, significant challenges inhibit large-scale offshore wind deployment in Alaska, such as the remoteness of the resource, its distance from load centers, and the wealth of land available for onshore wind development. Throughout this report, the energy landscape of Alaska is reviewed and a resource assessment analysis is performed in terms of gross and technical offshore capacity and energy potential.« less
NASA Technical Reports Server (NTRS)
Wightman, William D.; Gernhardt, Michael
1993-01-01
Quick-connect/disconnect mechanism consists of two mating assemblies put together easily, even when initially misaligned by fairly large amounts. Used as electrical- or fluid-connection interface. Operated by humans or robots when fast connections must be made without precise positioning, -- for example, on offshore oil rigs, ship-to-dock links, nuclear facilities, and aircraft at loading gates.
Federal Register 2010, 2011, 2012, 2013, 2014
2012-11-23
... Equipment, Training and Drills Onboard Offshore Facilities and Mobile Offshore Drilling Units (MODUs... lifesaving and fire-fighting equipment, training and drills on board offshore facilities and MODUs operating... guidance concerning lifesaving and fire-fighting equipment, training, and drills onboard manned offshore...
Atmospheric Characterization of the US Offshore Sites and Impact on Turbine Performance (Poster)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Arora, Dhiraj; Ehrmann, Robert; Zuo, Delong
Reliable, long term offshore atmospheric data is critical to development of the US offshore wind industry. There exists significant lack of meteorological, oceanographic, and geological data at potential US offshore sites. Assessment of wind resources at heights in the range of 25-200m is needed to understand and characterize offshore wind turbine performance. Data from the US Department of Energy owned WindSentinel buoy from two US offshore sites and one European site is analyzed. Low Level Jet (LLJ) phenomena and its potential impact on the performance of an offshore wind turbine is investigated.
Projected Commercial Maritime Activity in the Western Arctic
1977-10-01
for Polar Icebreaking 1967. Coast GuarC, U.S., Office of Engineering, Life Cycle Costs of Diesel Electric Propulsion Plants for a 20,000 SHP Polar...Dynamics, Electric Boat Division, Program Plan for Arctic Offshore Drilling System. 1970. Geological Survey, U.S., Mineral and Water Resources of Alaska...Port and Ocean EngineerLng under Arctic Conditions, Vol. I, Trondheim, Norway: Terhnical Institute of ’Norway, Page 37 Weeks, W. F. and Frankenstein
NASA Astrophysics Data System (ADS)
Roegner, G. Curtis; Daly, Elizabeth A.; Brodeur, Richard D.
2013-06-01
In the California Current coastal boundary zone, the spring transition between downwelling and upwelling conditions, along with the fluctuating structure of the Columbia River plume, creates highly dynamic interactions. In this study, we investigated whether the surface distribution of brachyuran larvae and ichthyoplankton would track the dynamics of the Columbia River plume. By happenstance, the cruise period coincided with the spring transition from downwelling to sustained upwelling conditions in 2010, a year when the transition was delayed and Columbia River flow was substantially higher than average. We used time series of wind and freshwater input to evaluate the influence of physical forcing on oceanographic patterns, and sampled hydrography and surface plankton concentrations within a 182 km2 grid off Willapa Bay, WA. Additionally, two longer transects, one cross-shelf and the other along-shore, were made to discern the extent of plume influence on larval crab and fish abundance. We found that plume waters that were trapped in a northward-flowing coastal-boundary current during downwelling conditions were advected offshore after several days of upwelling-favorable winds. Neustonic collections of brachyuran larvae and ichthyoplankton varied in response to this large seaward advective event. Megalopae of cancrid crabs exhibited patterns of both offshore transport (Cancer oregonensis/productus) and nearshore retention (C. magister). Additionally, abundant numbers of large juvenile widow (Sebastes entomelas) and yellowtail (S. flavidus) rockfish of a size appropriate for settlement were sampled during a period when ocean conditions favored high recruitment success. These results demonstrated that the response of planktonic crab larvae and ichthyoplankton to large-scale advection varied by species, with larger and more vagile fish exhibiting less evidence of passive transport than smaller crab larvae. Importantly, portions of the planktonic fish and crab community were able to maintain nearshore distributions in favorable settlement habitat, despite physical advection offshore.
Validation of the Dynamic Wake Meander model with focus on tower loads
NASA Astrophysics Data System (ADS)
Larsen, T. J.; Larsen, G. C.; Pedersen, M. M.; Enevoldsen, K.; Madsen, H. A.
2017-05-01
This paper presents a comparison between measured and simulated tower loads for the Danish offshore wind farm Nysted 2. Previously, only limited full scale experimental data containing tower load measurements have been published, and in many cases the measurements include only a limited range of wind speeds. In general, tower loads in wake conditions are very challenging to predict correctly in simulations. The Nysted project offers an improved insight to this field as six wind turbines located in the Nysted II wind farm have been instrumented to measure tower top and tower bottom moments. All recorded structural data have been organized in a database, which in addition contains relevant wind turbine SCADA data as well as relevant meteorological data - e.g. wind speed and wind direction - from an offshore mast located in the immediate vicinity of the wind farm. The database contains data from a period extending over a time span of more than 3 years. Based on the recorded data basic mechanisms driving the increased loading experienced by wind turbines operating in offshore wind farm conditions have been identified, characterized and modeled. The modeling is based on the Dynamic Wake Meandering (DWM) approach in combination with the state-of-the-art aeroelastic model HAWC2, and has previously as well as in this study shown good agreement with the measurements. The conclusions from the study have several parts. In general the tower bending and yaw loads show a good agreement between measurements and simulations. However, there are situations that are still difficult to match. One is tower loads of single-wake operation near rated ambient wind speed for single wake situations for spacing’s around 7-8D. A specific target of the study was to investigate whether the largest tower fatigue loads are associated with a certain downstream distance. This has been identified in both simulations and measurements, though a rather flat optimum is seen in the measurements.
A Lagrangian description of motion in Northern California coastal transition filaments
NASA Astrophysics Data System (ADS)
Paduan, Jeffrey D.; Niiler, Pearn P.
1990-10-01
Lagrangian drifters deployed during May 1987 as part of the Coastal Transition Zone experiment were used to examine the motion in cold-water features seen in satellite AVHRR imagery. The drifters were drogued at 15 m depth and had temperature sensors at 0 m, 12 m, and 18 m. Drogue positions were obtained via service ARGOS at an average of 8 times per day. A cluster of nine drifters was deployed on May 18 near the base of a cold-water feature off Pt. Reyes. Drifter trajectories confirm the presence of strong (> 50 cm s-1) currents along the axis of the feature. Six of the drifters moved northward following a cyclonic circulation pattern between the Pt. Reyes jet and another feature originating near Pt. Arena. The remaining three drifters, together with three more deployed on May 20, moved offshore in the positive vorticity portion of the Reyes jet. Cluster analysis of the northern tracks indicates large convergence (˜0.5f;), but because relative vorticity during the same few-day period is found to be constant (˜-0.2f), a simple vorticity balance does not emerge. This is attributed to insufficient resolution of divergence of the water parcel by the small number in the cluster. Drifters reside on the negative vorticity side of the jet while the flow is upwind but on the positive vorticity side while the flow is downwind. Such behavior is consistent with the convergence or divergence patterns expected when along-jet winds blow over such strong and narrow ocean currents producing significant advection of relative vorticity. Temperature-salinity data from CTD surveys during the experiment show how the jets that were revealed in both the imagery and the drifter trajectories were advecting different water masses. In the nearshore area where the drifters were deployed a column of cold and salty water had upwelled about 80 m since leaving the source region far offshore. Within the offshore extension of the jets as traced by the drifters, this same water is found about 20 m deeper than it is in the nearshore area. We thus observe that cold filaments seen in AVHRR transport upwelled water offshore through the coastal transition zone. That water subducts in the offshore extension of the filaments. Analysis of the high-frequency motion from a cluster of five drifters in the Reyes jet shows a multitude of mixing scales. For periods shorter than a day, the cluster shows coherent oscillations of tidal/inertial period whose motions lead to excursions on the order of 2 to 4 km. This suggests that motions on these scales are organized and not random or turbulent. Conversely, motions at scales of 1 km and less appear turbulent. Over longer time periods (several days), the particles exchange places over the cross-jet scale of the feature (10 to 20 km).
Offshore gas hydrate sample database with an overview and preliminary analysis
Booth, James S.; Rowe, Mary M.; Fisher, Kathleen M.
1996-01-01
Synopsis -- A database of offshore gas hydrate samples was constructed from published observations and measurements. More than 90 samples from 15 distinct regions are represented in 13 data categories. This database has permitted preliminary description of gas hydrate (chiefly methane hydrate) tendencies and associations with respect to their geological environment. Gas hydrates have been recovered from offshore sediment worldwide and from total depths (water depth plus subseabed depth) ranging from 500 m to nearly 6,000 m. Samples have come from subbottom depths ranging from 0 to 400 m. Various physiographic provinces are represented in the data set including second order landforms such as continental margins and deep-sea trenches, and third order forms such as submarine canyons, continental slopes, continental margin ridges and intraslope basins. There is a clear association between fault zones and other manifestations of local, tectonic-related processes, and hydrate-bearing sediment. Samples of gas hydrate frequently consist of individual grains or particles. These types of hydrates are often further described as inclusions or disseminated in the sediment. Moreover, hydrates occur as a cement, as nodules, or as layers (mostly laminae) or in veins. The preponderance of hydrates that could be characterized as 2- dimensional (planar) were associated with fine sediment, either as intercalated layers or in fractures. Hydrate cements were commonly associated with coarser sediment. Hydrates have been found in association with grain sizes ranging from clay through gravel. More hydrates are associated with the more abundant finer-grained sediment than with coarser sediment, and many were discovered in the presence of both fine (silt and clay) and coarse sediment. The thickness of hydrate zones (i. e., sections of hydrate-bearing sediment) varies from a few centimeters to as much as 30 m. In contrast, the thickness of layers of pure hydrate or the dimensions of individual hydrate grains were most often characterized in terms of millimeters or centimeters, although a pure hydrate layer discovered in the Middle America Trench off Guatemala was as much as 3-4-m-thick. The data suggest that grains, or thin veins or laminae of pure gas hydrate may be ubiquitous in many hydrate zones but that typically they may only comprise a minor component of the thicker zones. In more than 80 percent of the hydrate samples the methane was of biogenic origin. The methane in the remainder was either classified as (or may be at least part) thermogenic. Each site where thermogenic gas was identified is characterized by faults or other manifestions of a dynamic geological environment (e.g., diapirs, mud volcanoes, gas seeps). Every sample in the database came from within the zone of theoretical methane hydrate stability, as determined on the basis of assumed regional pressure and temperature gradients. Most show that they were situated --- expressed in terms of depth --- well above the phase boundary and about 70% of the samples were located more than 100 m above the assumed regional position of that boundary. The calculated subseabed positions of the phase boundaries and the BSRs (bottom simulating reflector) are essentially identical. This may be taken as general corroboration of the regional phase boundary calculations and the concept of the BSR. Three provocative aspects of marine gas hydrates have been disclosed by the database: gas hydrates are frequently situated at much shallower subseabed depths than the assumed contemporary position of the regional phase boundary hydrates are often found in areas typified by faults or other indicators of a dynamic geological environment zones of gas hydrate-bearing sediment tend to be tens of centimeters to tens of meters thick but the hydrate within the thicker zones tends to be only a minor constituent. Whether existing as dispersed particles, cements, or pure layers or vein
NASA Astrophysics Data System (ADS)
Bodmer, M.; Toomey, D. R.; Hooft, E. E. E.; Bezada, M.; Schmandt, B.; Byrnes, J. S.
2017-12-01
Amphibious studies of subduction zones promise advances in understanding links between incoming plate structure, the subducting slab, and the upper mantle beneath the slab. However, joint onshore/offshore imaging is challenging due to contrasts between continental and oceanic structure. We present P-wave teleseismic tomography results for the Cascadia subduction zone (CSZ) that utilize existing western US datasets, amphibious seismic data from the Cascadia Initiative, and tomographic algorithms that permit 3D starting models, nonlinear ray tracing, and finite frequency kernels. Relative delay times show systematic onshore/offshore trends, which we attribute to structure in the upper 50 km. Shore-crossing CSZ seismic refraction models predict relative delays >1s, with equal contributions from elevation and crustal thickness. We use synthetic data to test methods of accounting for such shallow structure. Synthetic tests using only station static terms produce margin-wide, sub-slab low-velocity artifacts. Using a more realistic a priori 3D model for the upper 50 km better reproduces known input structures. To invert the observed delays, we use data-constrained starting models of the CSZ. Our preferred models utilize regional surface wave studies to construct a starting model, directly account for elevation, and use 3D nonlinear ray tracing. We image well-documented CSZ features, including the subducted slab down to 350 km, along strike slab variations below 150 km, and deep slab fragmentation. Inclusion of offshore data improves resolution of the sub-slab mantle, where we resolve localized low-velocity anomalies near the edges of the CSZ (beneath the Klamath and Olympic mountains). Our new imaging and resolution tests indicate that previously reported margin-wide, sub-slab low-velocity asthenospheric anomalies are an imaging artifact. Offshore, we observe low-velocity anomalies beneath the Gorda plate consistent with regional deformation and broad upwelling resulting from plate stagnation. At the Juan de Fuca Ridge we observe asymmetric low-velocity anomalies consistent with dynamic upwelling. Our results agree with recent offshore tomography studies using S wave data; however, differences in the recovered relative amplitudes are likely due to anisotropy, which we are exploring.
Fragmented coastal boundary layer induced by gap winds
NASA Astrophysics Data System (ADS)
Caldeira, Rui M. A.; Iglesias, Isabel; Sala, Iria; Vieira, Rui R.; Bastos, Luísa
2015-04-01
The oceanic impact of offshore-localized winds in the NW Iberian Peninsula was studied. Satellite and in situ observations showed the formation of plumes protruding offshore from the coast. To study the dynamics of such episodes tee Coupled-Ocean-Atmosphere-Wave- Sediment Transport Modeling System (COAWST) was used to reproduce the coastal conditions of the nortwestern Iberian Peninsula, allowing the concurrent representation of local winds, waves, currents, and rivers runoff. The use of coupled models is of outmost importance in order to accurately study the impact of the local winds on the coastal currents. The NW Iberian Peninsula has prominent capes, promontories and submarine canyons, which produce persistent hydrodynamic features. Thus far, the scientific literature shows that the western Iberian rivers produce a recurrent combined plume often denominated as the Western Iberian Buoyant Plume (WIBP) which increases the stratification of the water column and produces a vertical retention mechanism that keeps the biological material inshore. The WIBP extends northward along the coast (over the inner-shelf), and forms a front with the warmer and more saline surface (offshore) waters. However during episodes of strong offshore winds this coastal boundary layer is broken interrupting the WIBP. Coastal orography allows the formation of down-valley winds that produce coastal jets, promoting the offshore transport of pollutants, larvae and sediments. Acknowledgments: Acknowledgments: Numerical model solutions were calculated at CIIMARs HPC unit, acquired and maintained by FCT pluriannual funds (PesTC/Mar/LA0015/2013), and RAIA (0313-RAIA-1-E) and RAIA.co (0520-RAIACO-1-E) projects. The NICC (POCTI/CTA/49563/2002) project provided databases for this work. Rui Caldeira was supported by funds from the ECORISK project (NORTE-07-0124-FEDER-000054), co-financed by the North Portugal Regional Operational Programme (ON.2 - O Novo Norte), under the National Strategic Reference Framework (NSRF), through the European Regional Development Fund (ERDF). RAIA.co and RAIA tec (0688-RAIATEC-1-P) projects provided postdoctoral funds for Isabel Iglesias. The RAIA Coastal Observatory has been funded by the Programa Operativo de Cooperación Transfronteriza España-Portugal (POCTEP 2007-2013).
NASA Astrophysics Data System (ADS)
Wallace, L. M.; Hreinsdottir, S.; Hamling, I. J.; D'Anastasio, E.; Bartlow, N. M.
2017-12-01
Just after midnight on 14 Nov 2016 (NZ Local time), the M7.8 Kaikoura earthquake ruptured a complex sequence of strike-slip and reverse faults over an approximately 150 km length in the northeastern South Island of New Zealand (Hamling et al., 2017, Science). In the months following the earthquake, time-dependent inversions of InSAR observations and continuous and semi-continuous GPS measurements reveal up to 0.5 m of afterslip on the subduction interface beneath the northern South Island underlying the region of large coseismic slip on crustal faults in the M7.8 earthquake. The geodetic data also require significant afterslip on a subset of the crustal faults that ruptured in the earthquake, including the Needles, Jordan Thrust, and Kekerengu faults. Our best-fitting models also suggest significant afterslip on an offshore reverse fault, in a similar position to one inferred by Clark et al. (2017, EPSL) from coseismic coastal uplift data. The M7.8 earthquake also triggered widespread slow slip occurring over much of the Hikurangi subduction zone beneath the North Island. Immediately following the earthquake, continuous GPS sites operated by GeoNet (www.geonet.org.nz) along the North Island's east coast (above the Hikurangi subduction zone) detected several to 30 mm of eastward motion over the two-week period immediately following the M7.8 event. These sites are located 350-650 km from the M7.8 earthquake. Such large eastward motion along the North Island's east coast following the earthquake is consistent with the initiation of a large slow slip event along the shallow, offshore portion of the Hikurangi subduction zone. In addition to shallow slow slip (<15 km depth) triggered offshore the east coast, we also observe deeper slow slip (>30 km depth) triggered in the Kapiti region at the southern Hikurangi margin. The Kapiti SSE was still ongoing as of August 2017, although we expect it to finish before the end of 2017. Given the large distance of the shallow east coast SSE from the M7.8 earthquake, we suggest that the shallow SSE was more likely to be triggered by dynamic stress changes, while the deeper SSEs closer to the Mw 7.8 were more likely triggered by static stress changes.
Fair shares: a preliminary framework and case analyzing the ethics of offshoring.
Gordon, Cameron; Zimmerman, Alan
2010-06-01
Much has been written about the offshoring phenomenon from an economic efficiency perspective. Most authors have attempted to measure the net economic effects of the strategy and many purport to show that "in the long run" that benefits will outweigh the costs. There is also a relatively large literature on implementation which describes the best way to manage the offshoring process. But what is the morality of offshoring? What is its "rightness" or "wrongness?" Little analysis of the ethics of offshoring has been completed thus far. This paper develops a preliminary framework for analyzing the ethics of offshoring and then applies this framework to basic case study of offshoring in the U.S. The paper following discusses the definition of offshoring; shifts to the basic philosophical grounding of the ethical concepts; develops a template for conducting an ethics analysis of offshoring; applies this template using basic data for offshoring in the United States; and conducts a preliminary ethical analysis of the phenomenon in that country, using a form of utilitarianism as an analytical baseline. The paper concludes with suggestions for further research.
Spatial variations in δ13C and δ15N values of primary consumers in a coastal lagoon
NASA Astrophysics Data System (ADS)
Como, S.; Magni, P.; Van Der Velde, G.; Blok, F. S.; Van De Steeg, M. F. M.
2012-12-01
The analysis of the contribution of a food source to a consumer's diet or the trophic position of a consumer is highly sensitive to the variability of the isotopic values used as input data. However, little is known in coastal lagoons about the spatial variations in the isotopic values of primary consumers considered 'end members' in the isotope mixing models for quantifying the diet of secondary consumers or as a baseline for estimating the trophic position of consumers higher up in the food web. We studied the spatial variations in the δ13C and δ15N values of primary consumers and sedimentary organic matter (SOM) within a selected area of the Cabras lagoon (Sardinia, Italy). Our aim was to assess how much of the spatial variation in isotopic values of primary consumers was due to the spatial variability between sites and how much was due to differences in short distances from the shore. Samples were collected at four stations (50-100 m apart) selected randomly at two sites (1.5-2 km apart) chosen randomly at two distances from the shore (i.e. in proximity of the shore -Nearshore - and about 200 m away from the shore -Offshore). The sampling was repeated in March, May and August 2006 using new sites at the two chosen distances from the shore on each date. The isotopic values of size-fractionated seston and macrophytes were also analyzed as a complementary characterization of the study area. While δ15N did not show any spatial variations, the δ13C values of deposit feeders, Alitta (=Neanthes) succinea, Lekanesphaera hookeri, Hydrobia acuta and Gammarus aequicauda, were more depleted Offshore than Nearshore. For these species, there were significant effects of distance or distance × dates in the mean δ13C values, irrespective of the intrinsic variation between sites. SOM showed similar spatial variations in δ13C values, with Nearshore-Offshore differences up to 6‰. This indicates that the spatial isotopic changes are transferred from the food sources to the deposit feeders studied. In contrast, δ13C and δ15N values of suspension feeders, Ficopomatus enigmaticus and Amphibalanus amphitrite, did not show major variations, either between sites, or between Nearshore and Offshore. These different patterns between deposit feeders and suspension feeders are probably due to a weaker trophic link of the latter with SOM. We suggest that the Nearshore-Offshore gradient might be an important source of isotopic variation that needs to be considered in future web studies in coastal lagoons.
Rip currents and alongshore flows in single channels dredged in the surf zone
NASA Astrophysics Data System (ADS)
Moulton, Melissa; Elgar, Steve; Raubenheimer, Britt; Warner, John C.; Kumar, Nirnimesh
2017-05-01
To investigate the dynamics of flows near nonuniform bathymetry, single channels (on average 30 m wide and 1.5 m deep) were dredged across the surf zone at five different times, and the subsequent evolution of currents and morphology was observed for a range of wave and tidal conditions. In addition, circulation was simulated with the numerical modeling system COAWST, initialized with the observed incident waves and channel bathymetry, and with an extended set of wave conditions and channel geometries. The simulated flows are consistent with alongshore flows and rip-current circulation patterns observed in the surf zone. Near the offshore-directed flows that develop in the channel, the dominant terms in modeled momentum balances are wave-breaking accelerations, pressure gradients, advection, and the vortex force. The balances vary spatially, and are sensitive to wave conditions and the channel geometry. The observed and modeled maximum offshore-directed flow speeds are correlated with a parameter based on the alongshore gradient in breaking-wave-driven-setup across the nonuniform bathymetry (a function of wave height and angle, water depths in the channel and on the sandbar, and a breaking threshold) and the breaking-wave-driven alongshore flow speed. The offshore-directed flow speed increases with dissipation on the bar and reaches a maximum (when the surf zone is saturated) set by the vertical scale of the bathymetric variability.
The USGS role in mapping the nation's submerged lands
Schwab, Bill; Haines, John
2004-01-01
The seabed provides habitat for a diverse marine life having commercial, recreational, and intrinsic value. The habitat value of the seabed is largely a function of the geological structure and related geological, biological, oceanologic, and geochemical processes. Of equal importance, the nation's submerged lands contain energy and mineral resources and are utilized for the siting of offshore infrastructure and waste disposal. Seabed character and processes influence the safety and viability of offshore operations. Seabed and subseabed characterization is a prerequisite for the assessment, protection, and utilization of both living and non-living marine resources. A comprehensive program to characterize and understand the nation's submerged lands requires scientific expertise in the fields of geology, biology, hydrography, and oceanography. The U.S. Geological Survey (USGS) has long experience as the Federal agency charged with conducting geologic research and mapping in both coastal and offshore regions. The USGS Coastal and Marine Geology Program (CMGP) leads the nation in expertise related to characterization of seabed and subseabed geology, geological processes, seabed dynamics, and (in collaboration with the National Oceanic and Atmospheric Administration (NOAA) and international partners) habitat geoscience. Numerous USGS studies show that sea-floor geology and processes determine the character and distribution of biological habitats, control coastal evolution, influence the coastal response to storm events and human alterations, and determine the occurrence and concentration of natural resources.
Rip currents and alongshore flows in single channels dredged in the surf zone
Moulton, Melissa; Elgar, Steve; Raubenheimer, Britt; Warner, John C.; Kumar, Nirnimesh
2017-01-01
To investigate the dynamics of flows near nonuniform bathymetry, single channels (on average 30 m wide and 1.5 m deep) were dredged across the surf zone at five different times, and the subsequent evolution of currents and morphology was observed for a range of wave and tidal conditions. In addition, circulation was simulated with the numerical modeling system COAWST, initialized with the observed incident waves and channel bathymetry, and with an extended set of wave conditions and channel geometries. The simulated flows are consistent with alongshore flows and rip-current circulation patterns observed in the surf zone. Near the offshore-directed flows that develop in the channel, the dominant terms in modeled momentum balances are wave-breaking accelerations, pressure gradients, advection, and the vortex force. The balances vary spatially, and are sensitive to wave conditions and the channel geometry. The observed and modeled maximum offshore-directed flow speeds are correlated with a parameter based on the alongshore gradient in breaking-wave-driven-setup across the nonuniform bathymetry (a function of wave height and angle, water depths in the channel and on the sandbar, and a breaking threshold) and the breaking-wave-driven alongshore flow speed. The offshore-directed flow speed increases with dissipation on the bar and reaches a maximum (when the surf zone is saturated) set by the vertical scale of the bathymetric variability.
Building a stakeholder's vision of an offshore wind-farm project: A group modeling approach.
Château, Pierre-Alexandre; Chang, Yang-Chi; Chen, Hsin; Ko, Tsung-Ting
2012-03-15
This paper describes a Group Model Building (GMB) initiative that was designed to discuss the various potential effects that an offshore wind-farm may have on its local ecology and socioeconomic development. The representatives of various organizations in the study area, Lu-Kang, Taiwan, have held several meetings, and structured debates have been organized to promote the emergence of a consensual view on the main issues and their implications. A System Dynamics (SD) model has been built and corrected iteratively with the participants through the GMB process. The diverse interests within the group led the process toward the design of multifunctional wind-farms with different modalities. The scenario analyses, using the SD model under various policies, including no wind-farm policy, objectively articulates the vision of the local stakeholders. The results of the SD simulations show that the multifunctional wind-farms may have superior economic effects and the larger wind-farms with bird corridors could reduce ecological impact. However, the participants of the modeling process did not appreciate any type of offshore wind-farm development when considering all of the identified key factors of social acceptance. The insight gained from the study can provide valuable information to actualize feasible strategies for the green energy technique to meet local expectations. Copyright © 2012 Elsevier B.V. All rights reserved.
NASA Astrophysics Data System (ADS)
Franzetti, M.; Garlan, T.; Le Roy, P.; Delacourt, C.; Cancouët, R.; Graindorge, D.; Deschamps, A.
2011-12-01
Marine sand dunes and sandbanks are mainly observed in continental tidal shelves (North Sea, South China Sea, North Atlantic America) and may be highly dynamic (for example up to 75 m/y in the Marsdiep inlet). So they may pose a potential risk to offshore installations and shipping. Multitemporal mapping of sandwaves, necessary to mitigate this hazard, is complicated by their dynamic character, which is still poorly understood especially in the offshore domain. In consequence, these structures are often defined as moribund at depths greater than 30 meters. The aim of this investigation is to study evolution of deeper (110 meters) complex set of sand bedforms : "Banc du Four" located in the Iroise Sea. The study area is exposed to strong tidal currents and storm waves at the junction of the Northeast Atlantic Ocean and the Western English Channel, conditions favorable to sediment dynamics. The bathymetric data, which form the basis of this study, are two Digital Terrain Modeling's (DTM's) derived from MultiBeam Echosounder (MBES) surveys : "Pourquoi-Pas?" oceanographic research vessel (R/V) in February 2009 (5 meters resolution DTM) and R/V "Albert Lucas" in August 2010 (2 meters resolution DTM). Sandwave parameters (water depth, shape, wavelength, height, symmetry index, ...) have been derived from the 2009 bathymetric data. The Banc du Four is characterized by a large sandbank (45 meters height and 2 km width) flanked by dune fields. The morphological characteristics of the dunes vary greatly (range 30 to 110 meters depth, 40 meters maximal height, 600 meters maximal width, symmetrical to asymmetrical, ...). However, this complexity can be explained by the involved sandwave dynamic (range 0 to 30 meters per year migration velocity). Spatial correlation method, applied on the two DTM's, are used to measure the migration rate. The high migration rates for deeper giant dunes bring to light the dynamic sandwave existence at depths exceeding 30-40 meters, contrary to previously accepted models. Dune asymmetry is proportional to migration rates and the lee side is always oriented towards the direction of movement. These relationships confirm the observations reported in the literature for shallower structures.
Offshore safety case approach and formal safety assessment of ships.
Wang, J
2002-01-01
Tragic marine and offshore accidents have caused serious consequences including loss of lives, loss of property, and damage of the environment. A proactive, risk-based "goal setting" regime is introduced to the marine and offshore industries to increase the level of safety. To maximize marine and offshore safety, risks need to be modeled and safety-based decisions need to be made in a logical and confident way. Risk modeling and decision-making tools need to be developed and applied in a practical environment. This paper describes both the offshore safety case approach and formal safety assessment of ships in detail with particular reference to the design aspects. The current practices and the latest development in safety assessment in both the marine and offshore industries are described. The relationship between the offshore safety case approach and formal ship safety assessment is described and discussed. Three examples are used to demonstrate both the offshore safety case approach and formal ship safety assessment. The study of risk criteria in marine and offshore safety assessment is carried out. The recommendations on further work required are given. This paper gives safety engineers in the marine and offshore industries an overview of the offshore safety case approach and formal ship safety assessment. The significance of moving toward a risk-based "goal setting" regime is given.
Work environment, overtime and sleep among offshore personnel.
Parkes, Katharine R
2017-02-01
Personnel working on North Sea oil/gas installations are exposed to remote and potentially hazardous environments, and to extended work schedules (typically, 14×12h shifts). Moreover, overtime (additional to the standard 84-h week) is not uncommon among offshore personnel. Evidence from onshore research suggests that long work hours and adverse environmental characteristics are associated with sleep impairments, and consequently with health and safety risks, including accidents and injuries. However, little is known about the extent to which long hours and a demanding work environment combine synergistically in relation to sleep. The present study sought to address this issue, using survey data collected from offshore day-shift personnel (N=551). The multivariate analysis examined the additive and interactive effects of overtime and measures of the psychosocial/physical work environment (job demands, job control, supervisor support, and physical stressors) as predictors of sleep outcomes during offshore work weeks. Control variables, including age and sleep during leave weeks, were also included in the analysis model. Sleep duration and quality were significantly impaired among those who worked overtime (54% of the participants) relative to those who worked only 12-h shifts. A linear relationship was found between long overtime hours and short sleep duration; personnel who worked >33h/week overtime reported <6h/day sleep. Significant interactions were also found; sleep duration was negatively related to job demands, and positively related to supervisor support, only among personnel who worked overtime. Poor sleep quality was predicted by the additive effects of overtime, low support and an adverse physical environment. These findings highlight the need to further examine the potential health and safety consequences of impaired sleep associated with high overtime rates offshore, and to identify the extent to which adverse effects of overtime can be mitigated by favourable physical and psychosocial work environment characteristics. Copyright © 2015 Elsevier Ltd. All rights reserved.
NREL Researchers Play Integral Role in National Offshore Wind Strategy |
News | NREL Researchers Play Integral Role in National Offshore Wind Strategy NREL Researchers Play Integral Role in National Offshore Wind Strategy December 16, 2016 A photo of three offshore wind turbines in turbulent water. Offshore wind energy in the United States is just getting started, with the
NASA Technical Reports Server (NTRS)
Viterna, Larry A. (Inventor)
2009-01-01
A floating wind turbine system with a tower structure that includes at least one stability arm extending therefrom and that is anchored to the sea floor with a rotatable position retention device that facilitates deep water installations. Variable buoyancy for the wind turbine system is provided by buoyancy chambers that are integral to the tower itself as well as the stability arm. Pumps are included for adjusting the buoyancy as an aid in system transport, installation, repair and removal. The wind turbine rotor is located downwind of the tower structure to allow the wind turbine to follow the wind direction without an active yaw drive system. The support tower and stability arm structure is designed to balance tension in the tether with buoyancy, gravity and wind forces in such a way that the top of the support tower leans downwind, providing a large clearance between the support tower and the rotor blade tips. This large clearance facilitates the use of articulated rotor hubs to reduced damaging structural dynamic loads. Major components of the turbine can be assembled at the shore and transported to an offshore installation site.
Captivating Broad Audiences with an Internet-connected Ocean
NASA Astrophysics Data System (ADS)
Moran, K.; Elliott, L.; Gervais, F.; Juniper, K.; Owens, D.; Pirenne, B.
2012-12-01
NEPTUNE Canada, a network of Ocean Networks Canada and the first deep water cabled ocean observatory, began operations in December 2009. Located offshore Canada's west coast, the network streams data from passive, active, and interactive sensors positioned at five nodes along its 800 km long looped cable to the Internet. This technically advanced system includes a sophisticated data management and archiving system, which enables the collection of real-time physical, chemical, geological, and biological oceanographic data, including video, at resolutions relevant for furthering our understanding of the dynamics of the earth-ocean system. Scientists in Canada and around the world comprise the primary audience for these data, but NEPTUNE Canada is also serving these data to broader audiences including K-16 students and teachers, informal educators, citizen scientists, the press, and the public. Here we present our engagement tools, approaches, and experiences including electronic books, personal phone apps, Internet-served video, social media, mini-observatory systems, print media, live broadcasting from sea, and a citizen scientist portal.NEPTUNE Canada's ibook available on Apple's iBook store.
Geological Character and Mineral Resources of South Central Lake Erie.
1982-10-01
Presque Isle Peninsula, Erie , Pennsylvania , being conducted by the U.S. Army Engineer District...the Pennsylvania shoreline. Because of its position and morphology, Presque Isle acts as a natural offshore breakwater for Erie Harbor, blocking the...Research Center, Fort Belvoir, Va. (in preparation, 1982). U.S. ARMY ENGINEER DISTRICT, BUFFALO, " Presque Isle Peninsula, Erie , Pennsylvania ,"
2014 U.S. Offshore Wind Market Report: Industry Trends, Technology Advancement, and Cost Reduction
DOE Office of Scientific and Technical Information (OSTI.GOV)
Smith, Aaron; Stehly, Tyler; Walter Musial
2015 has been an exciting year for the U.S. offshore wind market. After more than 15 years of development work, the U.S. has finally hit a crucial milestone; Deepwater Wind began construction on the 30 MW Block Island Wind Farm (BIWF) in April. A number of other promising projects, however, have run into economic, legal, and political headwinds, generating much speculation about the future of the industry. This slow, and somewhat painful, start to the industry is not without precedent; each country in northern Europe began with pilot-scale, proof-of-concept projects before eventually moving to larger commercial scale installations. Now, aftermore » more than a decade of commercial experience, the European industry is set to achieve a new deployment record, with more than 4 GW expected to be commissioned in 2015, with demonstrable progress towards industry-wide cost reduction goals. DWW is leveraging 25 years of European deployment experience; the BIWF combines state-of-the-art technologies such as the Alstom 6 MW turbine with U.S. fabrication and installation competencies. The successful deployment of the BIWF will provide a concrete showcase that will illustrate the potential of offshore wind to contribute to state, regional, and federal goals for clean, reliable power and lasting economic development. It is expected that this initial project will launch the U.S. industry into a phase of commercial development that will position offshore wind to contribute significantly to the electric systems in coastal states by 2030.« less
Safak, Ilgar; List, Jeffrey; Warner, John C.; Schwab, William C.
2017-01-01
Mechanisms relating offshore geologic framework to shoreline evolution are determined through geologic investigations, oceanographic deployments, and numerical modeling. Analysis of shoreline positions from the past 50 years along Fire Island, New York, a 50 km long barrier island, demonstrates a persistent undulating shape along the western half of the island. The shelf offshore of these persistent undulations is characterized with shoreface-connected sand ridges (SFCR) of a similar alongshore length scale, leading to a hypothesis that the ridges control the shoreline shape through the modification of flow. To evaluate this, a hydrodynamic model was configured to start with the US East Coast and scale down to resolve the Fire Island nearshore. The model was validated using observations along western Fire Island and buoy data, and used to compute waves, currents and sediment fluxes. To isolate the influence of the SFCR on the generation of the persistent shoreline shape, simulations were performed with a linearized nearshore bathymetry to remove alongshore transport gradients associated with shoreline shape. The model accurately predicts the scale and variation of the alongshore transport that would generate the persistent shoreline undulations. In one location, however, the ridge crest connects to the nearshore and leads to an offshore-directed transport that produces a difference in the shoreline shape. This qualitatively supports the hypothesized effect of cross-shore fluxes on coastal evolution. Alongshore flows in the nearshore during a representative storm are driven by wave breaking, vortex force, advection and pressure gradient, all of which are affected by the SFCR.
Effects of offshore wind farms on marine wildlife—a generalized impact assessment
NASA Astrophysics Data System (ADS)
Bergström, Lena; Kautsky, Lena; Malm, Torleif; Rosenberg, Rutger; Wahlberg, Magnus; Åstrand Capetillo, Nastassja; Wilhelmsson, Dan
2014-03-01
Marine management plans over the world express high expectations to the development of offshore wind energy. This would obviously contribute to renewable energy production, but potential conflicts with other usages of the marine landscape, as well as conservation interests, are evident. The present study synthesizes the current state of understanding on the effects of offshore wind farms on marine wildlife, in order to identify general versus local conclusions in published studies. The results were translated into a generalized impact assessment for coastal waters in Sweden, which covers a range of salinity conditions from marine to nearly fresh waters. Hence, the conclusions are potentially applicable to marine planning situations in various aquatic ecosystems. The assessment considered impact with respect to temporal and spatial extent of the pressure, effect within each ecosystem component, and level of certainty. Research on the environmental effects of offshore wind farms has gone through a rapid maturation and learning process, with the bulk of knowledge being developed within the past ten years. The studies showed a high level of consensus with respect to the construction phase, indicating that potential impacts on marine life should be carefully considered in marine spatial planning. Potential impacts during the operational phase were more locally variable, and could be either negative or positive depending on biological conditions as well as prevailing management goals. There was paucity in studies on cumulative impacts and long-term effects on the food web, as well as on combined effects with other human activities, such as the fisheries. These aspects remain key open issues for a sustainable marine spatial planning.
i4OilSpill, an operational marine oil spill forecasting model for Bohai Sea
NASA Astrophysics Data System (ADS)
Yu, Fangjie; Yao, Fuxin; Zhao, Yang; Wang, Guansuo; Chen, Ge
2016-10-01
Oil spill models can effectively simulate the trajectories and fate of oil slicks, which is an essential element in contingency planning and effective response strategies prepared for oil spill accidents. However, when applied to offshore areas such as the Bohai Sea, the trajectories and fate of oil slicks would be affected by time-varying factors in a regional scale, which are assumed to be constant in most of the present models. In fact, these factors in offshore regions show much more variation over time than in the deep sea, due to offshore bathymetric and climatic characteristics. In this paper, the challenge of parameterizing these offshore factors is tackled. The remote sensing data of the region are used to analyze the modification of wind-induced drift factors, and a well-suited solution is established in parameter correction mechanism for oil spill models. The novelty of the algorithm is the self-adaptive modification mechanism of the drift factors derived from the remote sensing data for the targeted sea region, in respect to empirical constants in the present models. Considering this situation, a new regional oil spill model (i4OilSpill) for the Bohai Sea is developed, which can simulate oil transformation and fate processes by Eulerian-Lagrangian methodology. The forecasting accuracy of the proposed model is proven by the validation results in the comparison between model simulation and subsequent satellite observations on the Penglai 19-3 oil spill accident. The performance of the model parameter correction mechanism is evaluated by comparing with the real spilled oil position extracted from ASAR images.
Stuhr, M; Dethleff, D; Weinrich, N; Nielsen, M; Hory, D; Kowald, B; Seide, K; Kerner, T; Nau, C; Jürgens, C
2016-05-01
Offshore windfarms are constructed in the German North and Baltic Seas. The off-coast remoteness of the windfarms, particular environmental conditions, limitations in offshore structure access, working in heights and depths, and the vast extent of the offshore windfarms cause significant challenges for offshore rescue. Emergency response systems comparable to onshore procedures are not fully established yet. Further, rescue from offshore windfarms is not part of the duty of the German Maritime Search and Rescue Organization or SAR-Services due to statute and mandate reasons. Scientific recommendations or guidelines for rescue from offshore windfarms are not available yet. The present article reflects the current state of medical care and rescue from German offshore windfarms and related questions. The extended therapy-free interval until arrival of the rescue helicopter requires advanced first-aid measures as well as improved first-aider qualification. Rescue helicopters need to be equipped with a winch system in order to dispose rescue personnel on the wind turbines, and to hoist-up patients. For redundancy reasons and for conducting rendezvous procedures, adequate sea-bound rescue units need to be provided. In the light of experiences from the offshore oil and gas industry and first offshore wind analyses, the availability of professional medical personnel in offshore windfarms seems advisible. Operational air medical rescue services and specific offshore emergency reaction teams have established a powerful rescue chain. Besides the present development of medical standards, more studies are necessary in order to place the rescue chain on a long-term, evidence-based groundwork. A central medical offshore registry may help to make a significant contribution at this point.
Longnecker, K.; Sherr, B. F.; Sherr, E. B.
2005-01-01
We evaluated whether bacteria with higher cell-specific nucleic acid content (HNA) or an active electron transport system, i.e., positive for reduction of 5-cyano-2,3-ditolyl tetrazolium chloride (CTC), were responsible for the bulk of bacterioplankton metabolic activity. We also examined whether the phylogenetic diversity of HNA and CTC-positive cells differed from the diversity of Bacteria with low nucleic acid content (LNA). Bacterial assemblages were sampled both in eutrophic shelf waters and in mesotrophic offshore waters in the Oregon coastal upwelling region. Cytometrically sorted HNA, LNA, and CTC-positive cells were assayed for their cell-specific [3H]leucine incorporation rates. Phylogenetic diversity in sorted non-radioactively labeled samples was assayed using denaturing gradient gel electrophoresis (DGGE) of PCR-amplified 16S rRNA genes. Cell-specific rates of leucine incorporation of HNA and CTC-positive cells were on average only slightly greater than the cell-specific rates of LNA cells. HNA cells accounted for most bacterioplankton substrate incorporation due to high abundances, while the low abundances of CTC-positive cells resulted in only a small contribution by these cells to total bacterial activity. The proportion of the total bacterial leucine incorporation attributable to LNA cells was higher in offshore regions than in shelf waters. Sequence data obtained from DGGE bands showed broadly similar phylogenetic diversity across HNA, LNA, and CTC-positive cells, with between-sample and between-region variability in the distribution of phylotypes. Our results suggest that LNA bacteria are not substantially different from HNA bacteria in either cell-specific rates of substrate incorporation or phylogenetic composition and that they can be significant contributors to bacterial metabolism in the sea. PMID:16332746
Longnecker, K; Sherr, B F; Sherr, E B
2005-12-01
We evaluated whether bacteria with higher cell-specific nucleic acid content (HNA) or an active electron transport system, i.e., positive for reduction of 5-cyano-2,3-ditolyl tetrazolium chloride (CTC), were responsible for the bulk of bacterioplankton metabolic activity. We also examined whether the phylogenetic diversity of HNA and CTC-positive cells differed from the diversity of Bacteria with low nucleic acid content (LNA). Bacterial assemblages were sampled both in eutrophic shelf waters and in mesotrophic offshore waters in the Oregon coastal upwelling region. Cytometrically sorted HNA, LNA, and CTC-positive cells were assayed for their cell-specific [3H]leucine incorporation rates. Phylogenetic diversity in sorted non-radioactively labeled samples was assayed using denaturing gradient gel electrophoresis (DGGE) of PCR-amplified 16S rRNA genes. Cell-specific rates of leucine incorporation of HNA and CTC-positive cells were on average only slightly greater than the cell-specific rates of LNA cells. HNA cells accounted for most bacterioplankton substrate incorporation due to high abundances, while the low abundances of CTC-positive cells resulted in only a small contribution by these cells to total bacterial activity. The proportion of the total bacterial leucine incorporation attributable to LNA cells was higher in offshore regions than in shelf waters. Sequence data obtained from DGGE bands showed broadly similar phylogenetic diversity across HNA, LNA, and CTC-positive cells, with between-sample and between-region variability in the distribution of phylotypes. Our results suggest that LNA bacteria are not substantially different from HNA bacteria in either cell-specific rates of substrate incorporation or phylogenetic composition and that they can be significant contributors to bacterial metabolism in the sea.
Sea loads on ships and offshore structures
DOE Office of Scientific and Technical Information (OSTI.GOV)
Faltinsen, O.
1990-01-01
The book introduces the theory of the structural loading on ships and offshore structures caused by wind, waves and currents, and goes on to describe the applications of this theory in terms of real structures. The main topics described are linear-wave induced motions, loads on floating structures, numerical methods for ascertaining wave induced motions and loads, viscous wave loads and damping, stationkeeping and water impact and entry. The applications of the theoretical principles are introduced with extensive use of exercises and examples. Applications covered include conventional ships, barges, high speed marine vehicles, semisubmersibles, tension leg platforms, moored or dynamic positionedmore » ships, risers, buoys, fishing nets, jacket structures and gravity platforms. One aim of the book is to provide a physical understanding through simplified mathematical models. In this way one can develop analytical tools to evaluate results from test models, full scale trials or computer simulation, and learns which parameters represent the major contributions and influences on sea loads.« less
New insights into West Greenland ice sheet/stream dynamics during the last glacial cycle.
NASA Astrophysics Data System (ADS)
Roberts, David; Lane, Tim; Rea, Brice; Cofaigh, Colm O.; Jamieson, Stewart; Vieli, Andreas; Rodes, Angel
2015-04-01
Onshore and offshore geomorphological mapping and deglacial chronologies from West Greenland constrain the nature and magnitude of ice advance and decay of the Greenland Ice Sheet (GrIS) during the last glacial cycle. Several ice stream troughs are known to have fed ice to the shelf edge during the last glacial cycle. Their offshore expression suggests that many were coalescent systems fed by smaller outlet glaciers and ice streams onshore but their central flow pathways were also controlled by geology and preglacial topography. The bed morphology of these large ice streams shows they operated over soft, deforming beds with drumlins, mega-scale glacial lineations and grounding zone wedges marking an offshore transition from predominant areal scour onshore. Records of offshore deglacial chronology remain sparse but the Uummannaq and Disko Bugt ice stream corridors are now well constrained. The Uummannaq ice stream (UIS) completely deglaciated from the continental shelf between 14.8 ka and 11.0 ka in response to rising air temperatures, increasing JJA solar radiation and sea-level rise, but temporary standstills and the asynchronous retreat history of its feeder zones suggest that topography/bathymetry strongly modulated retreat rates as ice became 'locked' back into the coastal fjord system. Initial reconstructions of behaviour UIS discounted an oceanic role in early deglaciation and favoured retreat from the mid-shelf and inner-shelf prior to the Younger Dryas but both these concepts remain under investigation. In Disko Bugt, Jakobshavn Isbrae deglaciated later than the UIS and remained on the outer shelf during the Younger Dyras stadial (12.8 - 11.7 cal. kyrs BP) only reaching in the inner coast fjords at approximately 10.0 ka. The later deglaciation of the Disko system (despite similar external forcing mechanisms) was controlled by regional topographic/bathymetric contrasts in their respective trough morphologies. This hypothesis is supported by recent model output which indicates that non-linear retreat, grounding line stability and up-ice surface thinning is heavily influenced by both vertical and lateral constrictions in marine trough systems. While the offshore ice stream corridors are beginning to reveal their dynamic retreat history, knowledge of the inter-stream areas on the continental shelf remains very poor. The western, onshore sector of the GrIS has a much improved deglacial chronology derived from radiocarbon and new cosmogenic surface exposure dating undertaken in the last decade, but the deglacial history of wide swathes of the inner, mid and outer continental shelf remains completely unknown. The Hellefiske moraines on the West Greenland shelf were described in the late 1970's but little is known of ice sheet retreat behaviour across these areas. Understanding the deglacial signature of such regions is important if we are to use palaeo-reconstructions to understand ice sheet collapse/retreat mechanisms and to inform future model predictions.
Investigating daily fatigue scores during two-week offshore day shifts.
Riethmeister, Vanessa; Bültmann, Ute; Gordijn, Marijke; Brouwer, Sandra; de Boer, Michiel
2018-09-01
This study examined daily scores of fatigue and circadian rhythm markers over two-week offshore day shift periods. A prospective cohort study among N = 60 offshore day-shift workers working two-week offshore shifts was conducted. Offshore day shifts lasted from 07:00 - 19:00 h. Fatigue was measured objectively with pre- and post-shift scores of the 3-minute psychomotor vigilance tasks (PVT-B) parameters (reaction times, number of lapses, errors and false starts) and subjectively with pre- and post-shift Karolinska Sleepiness Scale (KSS) ratings. Evening saliva samples were collected on offshore days 2,7 and 13 to measure circadian rhythm markers such as dim-light melatonin onset times and cortisol. Generalized and linear mixed model analyses were used to examine daily fatigue scores over time. Complete data from N = 42 offshore day shift workers was analyzed. Daily parameters of objective fatigue, PVT-B scores (reaction times, average number of lapses, errors and false starts), remained stable over the course of the two-week offshore day shifts. Daily subjective post-shift fatigue scores significantly increased over the course of the two-week offshore shifts. Each day offshore was associated with an increased post-shift subjective fatigue score of 0.06 points (95%CI: .03 - .09 p < .001). No significant statistical differences in subjective pre-shift fatigue scores were found. Neither a circadian rhythm phase shift of melatonin nor an effect on the pattern and levels of evening cortisol was found. Daily parameters of objective fatigue scores remained stable over the course of the two-week offshore day shifts. Daily subjective post-shift fatigue scores significantly increased over the course of the two-week offshore shifts. No significant changes in circadian rhythm markers were found. Increased post-shift fatigue scores, especially during the last days of an offshore shift, should be considered and managed in (offshore) fatigue risk management programs and fatigue risk prediction models. Copyright © 2018 Elsevier Ltd. All rights reserved.
2013-09-30
a dynamical model for an acoustic enclosure using the wavelet Transform”. Applied Acoustics, 68 (4), 473-490. Liu, P.C. (1994). “Wavelet spectrum...Chapter 2 in ASCE Manual of Practice 110, Sedimentation Engineering: Processes, Measurements, Modelling and Practice. Edited by M. H. García, ASCE...Present Ripple Predictors”. 28th International Conference on Ocean, Offshore and Arctic Engineering. Mier, J.M., and Garcia, M.H. (2011). “ Erosion
NASA Astrophysics Data System (ADS)
Bajolet, Flora; Chardon, Dominique; Rouby, Delphine; Dall'Asta, Massimo; Roig, Jean-Yves; Loparev, Artiom; Coueffe, Renaud
2017-04-01
Our work aims at setting the evolving boundary conditions of erosion and sediments transfer, transit, and onshore-offshore accumulations on northern South America and along its Atlantic margins. Since the Early Mesozoic, the source-to-sink system evolved under the interplay of four main processes, which are (i) volcanism and arc building along the proto-Andes, (ii) long-term dynamics of the Amazon incratonic basin, (iii) rifting, relaxation and rejuvenation of the Atlantic margins and (iv) building of the Andes. We compiled information available from geological maps and the literature regarding tectonics, plate kinematics, magmatism, stratigraphy, sedimentology (including paleoenvironments and currents) and thermochronology to produce a series of paleogeographic maps showing the tectonic and kinematic framework of continental areas under erosion (sources), by-pass and accumulation (sinks) over the Amazonian craton, its adjacent regions and along its Atlantic margins. The maps also allow assessing the relative impact of (i) ongoing Pacific subduction, (ii) Atlantic rifting and its aftermath, and (iii) Atlantic slab retreat from under the Caribbean domain on the distribution and activity of onshore/offshore sedimentary basins. Stratigraphic and thermochronology data are also used to assess denudation / vertical motions due to sediment transfers and lithosphere-asthenosphere interactions. This study ultimately aims at linking the sediment routing system to long-wavelength deformation of northern South America under the influence of mountain building, intracratonic geodynamics, divergent margin systems and mantle dynamics.
Offshore submarine storage facility for highly chilled liquified gases
DOE Office of Scientific and Technical Information (OSTI.GOV)
Cook, S.F.
1982-12-28
Improvements in an offshore platform and submarine storage facility for highly chilled liquified gas, such as liquified natural gas, are disclosed. The improved facility includes an elongated, vertically oriented submerged anchoring frame to which one or more insulated storage tanks are moveably mounted so they can be positioned at a selected depth in the water. The double piston tank is constructed with improved seals to transfer ambient water pressure of the selected depth to the cryogenic liquified gas without intermixture. This transferred pressure at the depth selected aids in maintaining the liquified state of the stored liquified gas. Structural improvementsmore » to the tank facilitating ballasting, locking the double piston cylinders together and further facilitating surface access to the tank for inspection, repairs and removal, and structural improvements to the platform are disclosed.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Daley, C.; Johnson, R.G.; Thomson, J.C.
1981-07-01
The usefulness of Seasat-A SASS and altimeter measurements is reviewed. Five oceanic areas were selected: the Gulf of Alaska, central and western north Atlantic, eastern north Pacific, southern Indian Ocean, and the North Sea. Both Seasat-aided and conventional analyses were used in offshore hindcast and optimum ship routing situations. Where conventional observations are relatively dense, Seasat wind and wave data have greater impact in determining the shape of major map features than in positioning the features. In data sparse areas, Seasat data permit greater definition of surface features as well as their precise location. The use of Seasat data inmore » optimum ship routing is quantified by means of comparative studies in the Gulf of Alaska.« less
A fast and accurate method to predict 2D and 3D aerodynamic boundary layer flows
NASA Astrophysics Data System (ADS)
Bijleveld, H. A.; Veldman, A. E. P.
2014-12-01
A quasi-simultaneous interaction method is applied to predict 2D and 3D aerodynamic flows. This method is suitable for offshore wind turbine design software as it is a very accurate and computationally reasonably cheap method. This study shows the results for a NACA 0012 airfoil. The two applied solvers converge to the experimental values when the grid is refined. We also show that in separation the eigenvalues remain positive thus avoiding the Goldstein singularity at separation. In 3D we show a flow over a dent in which separation occurs. A rotating flat plat is used to show the applicability of the method for rotating flows. The shown capabilities of the method indicate that the quasi-simultaneous interaction method is suitable for design methods for offshore wind turbine blades.
Code of Federal Regulations, 2011 CFR
2011-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
Code of Federal Regulations, 2013 CFR
2013-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
Code of Federal Regulations, 2012 CFR
2012-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
Code of Federal Regulations, 2014 CFR
2014-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
Proceedings of the Conference Arctic '85; Civil Engineering in the Artic offshore
DOE Office of Scientific and Technical Information (OSTI.GOV)
Bennett, F.L.; Machemehl, J.L.
1985-01-01
Topics of the 1985 Conference included: Arctic construction, Arctic foundation, Arctic structures, and ocean effects. Arctic terminals and coastal offshore bases, protecting the Arctic environment, and probabilistic methods in Arctic offshore engineering were also discussed. Ice mechanics, marine pipelines in the Arctic, and the role of universities in training civil engineers for Arctic offshore development were highlighted. Sessions on remote sensing, surveying, and mapping were included, and offshore installations in the Bering Sea were discussed. Another topic of discussion was research in Civil Engineering for development of the Arctic offshore. The overall thrust of the conference was the application ofmore » Arctic offshore engineering principles and research in the field of oil and gas exploration and exploitation activity.« less
77 FR 17491 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2012-03-26
... from the Mobile Offshore Drilling Unit Guidance Policy, Notice of Availability, request for comments... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2012-0091] National Offshore Safety... Management; Notice of Federal Advisory Committee Meetings. SUMMARY: The National Offshore Safety Advisory...
Industrializing Offshore Wind Power with Serial Assembly and Lower-cost Deployment - Final Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Kempton, Willett
A team of engineers and contractors has developed a method to move offshore wind installation toward lower cost, faster deployment, and lower environmental impact. A combination of methods, some incremental and some breaks from past practice, interact to yield multiple improvements. Three designs were evaluated based on detailed engineering: 1) a 5 MW turbine on a jacket with pin piles (base case), 2) a 10 MW turbine on a conventional jacket with pin piles, assembled at sea, and 3) a 10 MW turbine on tripod jacket with suction buckets (caissons) and with complete turbine assembly on-shore. The larger turbine, assemblymore » ashore, and the use of suction buckets together substantially reduce capital cost of offshore wind projects. Notable capital cost reductions are: changing from 5 MW to 10 MW turbine, a 31% capital cost reduction, and assembly on land then single-piece install at sea an additional 9% capital cost reduction. An estimated Design 4) estimates further cost reduction when equipment and processes of Design 3) are optimized, rather than adapted to existing equipment and process. Cost of energy for each of the four Designs are also calculated, yielding approximately the same percentage reductions. The methods of Design 3) analyzed here include accepted structures such as suction buckets used in new ways, innovations conceived but previously without engineering and economic validation, combined with new methods not previously proposed. Analysis of Designs 2) and 3) are based on extensive engineering calculations and detailed cost estimates. All design methods can be done with existing equipment, including lift equipment, ports and ships (except that design 4 assumes a more optimized ship). The design team consists of experienced offshore structure designers, heavy lift engineers, wind turbine designers, vessel operators, and marine construction contractors. Comparing the methods based on criteria of cost and deployment speed, the study selected the third design. That design is, in brief: a conventional turbine and tubular tower is mounted on a tripod jacket, in turn atop three suction buckets. Blades are mounted on the tower, not on the hub. The entire structure is built in port, from the bottom up, then assembled structures are queued in the port for deployment. During weather windows, the fully-assembled structures are lifted off the quay, lashed to the vessel, and transported to the deployment site. The vessel analyzed is a shear leg crane vessel with dynamic positioning like the existing Gulliver, or it could be a US-built crane barge. On site, the entire structure is lowered to the bottom by the crane vessel, then pumping of the suction buckets is managed by smaller service vessels. Blades are lifted into place by small winches operated by workers in the nacelle without lift vessel support. Advantages of the selected design include: cost and time at sea of the expensive lift vessel are significantly reduced; no jack up vessel is required; the weather window required for each installation is shorter; turbine structure construction is continuous with a queue feeding the weather-dependent installation process; pre-installation geotechnical work is faster and less expensive; there are no sound impacts on marine mammals, thus minimal spotting and no work stoppage Industrializing Offshore Wind Power 6 of 96 9 for mammal passage; the entire structure can be removed for decommissioning or major repairs; the method has been validated for current turbines up to 10 MW, and a calculation using simple scaling shows it usable up to 20 MW turbines.« less
Schwab, William C.; Baldwin, Wayne E.; Warner, John C.; List, Jeffrey; Denny, Jane F.; Liste Munoz, Maria; Safak, Ilgar
2017-01-01
Seafloor mapping investigations conducted on the lower shoreface and inner continental shelf offshore of Fire Island, New York in 2011 and 2014, the period encompassing the impacts of Hurricanes Irene and Sandy, provide an unprecedented perspective regarding regional inner continental shelf sediment dynamics during large storm events. Analyses of these studies demonstrate that storm-induced erosion and sediment transport occurred throughout the study area in water depths up to 30 m. Acoustic backscatter patterns were observed to move from ~1 m to 450 m with a mean of 20 m and movement tended to decrease with increasing water depth. These patterns indicate that both of the primary inner continental shelf sedimentary features in the study area, linear sorted bedforms offshore of eastern Fire Island and shoreface-attached sand ridges offshore of central and western Fire island, migrated alongshore to the southwest. The migration of the sorted bedforms represents the modification of an active ravinement surface and is thought to have liberated a significant volume of sediment. Comparison of isopach maps of sediment thickness show that the volume of modern sediment composing the lower shoreface and shoreface-attached sand ridges decreased by ~2.8 × 106 m3 across the ~73 km2 of common seafloor mapped in both surveys. However, a similar analysis for the relatively calmer 15-yr period prior to 2011 revealed significant accretion. This allows speculation that the shoreface-attached sand ridges are maintained over decadal timescales via sediment supplied through erosion of Pleistocene outwash and lower Holocene transgressive channel-fill deposits exposed on the inner continental shelf, but that the sand ridges also periodically erode and move to the southwest during large storm events. Analyses show that significant storminduced erosion and sediment transport occurs far seaward of the 5 to 9 m depth of closure assumed for Fire Island, where it is thought that an onshore-directed sediment flux from the inner continental shelf to the littoral system is required to balance the coastal sediment budget. It is also thought that the morphology of the shoreface-attached sand ridges controls the persistent shape of the adjacent shoreline through modification of incident waves. Thus, we suggest that the sediment dynamics of the inner continental shelf and both storminduced and anthropogenic modification of the field of shoreface-attached sand ridges be considered in future coastal resiliency planning.
NASA Astrophysics Data System (ADS)
Krastel, Sebastian; Freudenthal, Tim; Hanebuth, Till; Preu, Benedict; Schwenck, Tilmann; Strasser, Michael; Violante, Roberto; Wefer, Gerold; Winkelmann, Daniel
2010-05-01
About 90% of the sediments generated by weathering and erosion on land get finally deposited at the ocean margins. The sediment distribution processes and landscape evolution on land are relatively well understood, but comparably little is known about the role and relative importance of marine sediment dynamics in controlling the architectural evolution of ocean margins. Important players include hemi-pelagic settling, down-slope and current-controlled along-slope sediment transport, depositional and post-depositional sedimentary processes (e.g. consolidation and diagenesis), as well as the destabilization of sediment bodies and their erosion. Submarine landslides in this context thus may represent an important sediment transport process, but also a major geo-hazard due to the increasing number of offshore constructions as well as their potential to instantaneously displace large water masses triggering waves in densely populated coastal areas. Here we present first results from a seagoing expedition that aimed at investigating the interaction processes of sediment redistribution, partitioning, deposition and diagenesis from the coast to the deep-sea along the western South-Atlantic passive continental margin. During RV Meteor Cruise M78/3 in May-July 2009 the shelf, slope and rise offshore Argentina and Uruguay have been investigated by means of hydroacoustic and seismic mapping as well as geological sampling with conventional coring tools as well as the new MARUM seafloor drill rig (MeBo) that revealed recovery of geological strata sampled from up to 50m below seafloor. The working area is characterized by a high amount of fluvial input by the Rio de la Plata river. The continental slope is relatively wide and shows average slope gradients between 1 and 2.5 but locally higher slope gradients may occur (>5). The transition for the continental rise with low slope gradients is found in ~ 3000m water depth. The working area is located in a highly dynamic oceanographic regime. Cold Antarctic water masses of the northward flowing Malvina current meet warm water masses of the southward flowing Brazil current in the working area. Various types of sediment instabilities have been imaged in geophysical and core data, documenting particularly the continental slope offshore Uruguay to be locus of frequent submarine landslides. Apart from individual landslides, however, gravitational downslope sediment transport along the continental slope is restricted to the prominent Mar del Plata Canyon and possibly to smaller canyons indentified in the bathymetric data. The location of the canyons might be controlled by tectonics. In contrast, many morphological features (e.g. progradational terraces and slope parallel scarps with scour-geometries) reveal that sediment transport is predominantly influenced/controlled by strong contour bottom currents. This suggests a significant impact of the western boundary currents on the overall architectural evolution of the margin. Future studies using the acquired geophysical, sedimentological, physical property and geochemical data will (i) quantify the relative contribution of gravitational down-slope vs. along-slope processes through time in shaping this ocean margin and how it relates to the global ocean circulation pattern and sea-level change through time, (ii) investigate depositional and post-depositional processes and how they control submarine slope stability and submarine landslide initiation and (iii) explore the interaction and relative contribution of the various processes in controlling margin evolution, sediment dynamics and geohazard off Uruguay and Northern Argentina.
78 FR 18614 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2013-03-27
... Continental Shelf (OCS); (b) Electrical Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2013-0182] National Offshore Safety... Advisory Committee Meetings. SUMMARY: The National Offshore Safety Advisory Committee (NOSAC) will meet on...
76 FR 11503 - National Offshore Safety Advisory Committee; Vacancies
Federal Register 2010, 2011, 2012, 2013, 2014
2011-03-02
... person representing enterprises specializing in offshore drilling. To be eligible, applicants for all... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2011-0040] National Offshore Safety... Coast Guard seeks applications for membership on the National Offshore Safety Advisory Committee. This...
76 FR 39410 - National Offshore Safety Advisory Committee; Vacancies
Federal Register 2010, 2011, 2012, 2013, 2014
2011-07-06
... energy industry; (d) One member representing enterprises specializing in offshore drilling; and, (e) One... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2011-0539] National Offshore Safety... Coast Guard seeks applications for membership on the National Offshore Safety Advisory Committee. This...
Mette, Janika; Velasco Garrido, Marcial; Harth, Volker; Preisser, Alexandra M; Mache, Stefanie
2017-01-01
Despite the particular demands inherent to offshore work, little is known about the working conditions of employees in the German offshore wind industry. To date, neither offshore employees' job demands and resources, nor their needs for improving the working conditions have been explored. Therefore, the aim of this study was to conduct a qualitative analysis to gain further insight into these topics. Forty-two semi-structured telephone interviews with German offshore employees ( n = 21) and offshore experts ( n = 21) were conducted. Employees and experts were interviewed with regard to their perceptions of their working conditions offshore. In addition, employees were asked to identify areas with potential need for improvement. The interviews were analysed in a deductive-inductive process according to Mayring's qualitative content analysis. Employees and experts reported various demands of offshore work, including challenging physical labour, long shifts, inactive waiting times, and recurrent absences from home. In contrast, the high personal meaning of the work, regular work schedule (14 days offshore, 14 days onshore), and strong comradeship were highlighted as job resources. Interviewees' working conditions varied considerably, e.g. regarding their work tasks and accommodations. Most of the job demands were perceived in terms of the work organization and living conditions offshore. Likewise, employees expressed the majority of needs for improvement in these areas. Our study offers important insight into the working conditions of employees in the German offshore wind industry. The results can provide a basis for further quantitative research in order to generalize the findings. Moreover, they can be utilized to develop needs-based interventions to improve the working conditions offshore.
Purcell, Kevin M.; Nance, James M.; Smith, Martin D.; Bennear, Lori S.
2017-01-01
The northwestern Gulf of Mexico shelf experiences one of the largest seasonal hypoxic zones in the western hemisphere. Hypoxia (dissolved oxygen, DO ≤ 2.0 mg·L-1) is most severe from May to August during the height of the Gulf shrimp fishery, but its effects on the fishery are not well known. Prior studies indicate that hypoxia alters the spatial dynamics of shrimp and other species through habitat loss and aggregation in nearby oxygenated refuge habitats. We hypothesized that hypoxia-induced changes in the distribution of shrimp also alter the spatial dynamics of the Gulf shrimp fleet. We integrated data on the geographic distribution of shrimp tows and bottom DO to evaluate the effects of hypoxia on spatial patterns in shrimping effort. Our analyses indicate that shrimping effort declines in low DO waters on both the Texas and Louisiana shelf, but that considerable effort still occurs in low DO waters off Louisiana, likely because riverine nutrients fuel both benthic production and low bottom DO in the same general regions. The response of the shrimp fleet to hypoxia on the Louisiana shelf was complex with shifts in effort inshore, offshore, westward, and eastward of the hypoxic zone, as well as to an oxygenated area between two hypoxia regimes associated with the Mississippi and the Atchafalaya River outflows. In contrast, effort on the Texas shelf mostly shifted offshore in response to low DO but also shifted inshore in some years. Spatial patterns in total shrimping effort were driven primarily by the number of shrimp tows, consistent with aggregation of the fleet outside of hypoxic waters, though tow duration also declined in low DO waters. Overall, our results demonstrate that hypoxia alters the spatial dynamics of the Gulf shrimp fishery with potential consequences for harvest interactions and the economic condition of the fishery. PMID:28837674
Purcell, Kevin M; Craig, J Kevin; Nance, James M; Smith, Martin D; Bennear, Lori S
2017-01-01
The northwestern Gulf of Mexico shelf experiences one of the largest seasonal hypoxic zones in the western hemisphere. Hypoxia (dissolved oxygen, DO ≤ 2.0 mg·L-1) is most severe from May to August during the height of the Gulf shrimp fishery, but its effects on the fishery are not well known. Prior studies indicate that hypoxia alters the spatial dynamics of shrimp and other species through habitat loss and aggregation in nearby oxygenated refuge habitats. We hypothesized that hypoxia-induced changes in the distribution of shrimp also alter the spatial dynamics of the Gulf shrimp fleet. We integrated data on the geographic distribution of shrimp tows and bottom DO to evaluate the effects of hypoxia on spatial patterns in shrimping effort. Our analyses indicate that shrimping effort declines in low DO waters on both the Texas and Louisiana shelf, but that considerable effort still occurs in low DO waters off Louisiana, likely because riverine nutrients fuel both benthic production and low bottom DO in the same general regions. The response of the shrimp fleet to hypoxia on the Louisiana shelf was complex with shifts in effort inshore, offshore, westward, and eastward of the hypoxic zone, as well as to an oxygenated area between two hypoxia regimes associated with the Mississippi and the Atchafalaya River outflows. In contrast, effort on the Texas shelf mostly shifted offshore in response to low DO but also shifted inshore in some years. Spatial patterns in total shrimping effort were driven primarily by the number of shrimp tows, consistent with aggregation of the fleet outside of hypoxic waters, though tow duration also declined in low DO waters. Overall, our results demonstrate that hypoxia alters the spatial dynamics of the Gulf shrimp fishery with potential consequences for harvest interactions and the economic condition of the fishery.
Dynamics of Cross-Shore Thermal Exchange Over Nonuniform Bathymetry
NASA Astrophysics Data System (ADS)
Safaie, A.; Davis, K. A.; Pawlak, G. R.
2016-02-01
The hydrodynamics of cross-shelf circulation on the inner shelf influence coastal ecosystems through the transport of heat, salt, nutrients, and planktonic organisms. While cross-shelf exchange on wide continental shelves has received a fair amount of attention in literature, the mechanisms for cross-shelf exchange on narrow shelves with steep, rough, and highly irregular bathymetry, characteristic of coral reef shorelines, is not well understood. Previous observational studies from reefs at Eilat, Israel and Oahu, Hawaii, have demonstrated the importance of surface heat flux in driving cross-shore transport. While both sites experienced offshore surface flow during daytime warming periods and offshore flow near the bed during nighttime cooling, the phase differences between the surface heat fluxes and thermal responses at the two sites indicate different dynamic flow regimes based on momentum and thermal balances. This study examines the dynamical structure of thermally driven flows using numerical modeling to investigate the hypothesis that thermally driven baroclinic exchange is important to cross-shore circulation for tropical coastlines. We use the open-source Regional Ocean Modeling System (ROMS), a free-surface, three-dimensional circulation model, considering a simple wedge case with uniform bathymetry in the alongshore direction, and heat flux applied uniformly to the surface. We examine different flow regimes using scaling of the momentum and thermal balance equations. We also explore the parameter space for the momentum balance describing cross-shore thermal exchange, and thoroughly characterize the exchange structure by investigating the dominant forcing regimes, the mechanisms responsible for modulating thermal circulation, and the effects of temporal variations in vertical mixing and heating/cooling buoyancy flux. Results are compared against existing data sets to evaluate the ability of the model to represent these flows.
Riley, Stephen C.; Dunlop, Erin S.
2016-01-01
Drastic recent and ongoing changes to fish populations and food webs in the Great Lakes have been well-described (Riley et al. 2008; Barbiero et al. 2009; Nalepa et al. 2009; Fahnenstiel et al. 2010;Evans et al. 2011; Gobin et al. 2015), and uncertainty regarding their potential effects on fisheries has caused concern among scientists and fishery managers (e.g., Dettmers et al. 2012). In particular, the relative importance of “bottom-up” (e.g., lower trophic level changes) versus “top-down” (e.g., predation) factors to fish community changes in the Great Lakes have been widely debated (e.g.,Barbiero et al. 2011; Eshenroder and Lantry 2012; Bunnell et al. 2014). In Lake Huron, recent ecosystem changes have been particularly profound, and populations of alewife (Alosa pseudoharengus), an offshore pelagic prey fish, collapsed in 2003 and have yet to recover (Riley et al. 2008, 2014). He et al. (2015) recently used a series of linked ecological models to assess the role of predation in the dynamics of the offshore prey fish community in Lake Huron. While we believe that they provide a novel method for combining bioenergetics and stock assessment modeling, we question the validity of their conclusions because of the misapplication of survey data and the lack of critical interpretation of their modeling efforts. Here we describe how He et al. (2015) have misapplied bottom trawl data from Lake Huron, and we provide examples of how this has resulted in erroneous conclusions regarding the importance of predation to the population dynamics and collapse of alewife in Lake Huron.
NASA Astrophysics Data System (ADS)
Bucklin, A. C.; Batta Lona, P. G.; Maas, A. E.; O'Neill, R. J.; Wiebe, P. H.
2015-12-01
In response to the changing Antarctic climate, the Southern Ocean salp Salpa thompsoni has shown altered patterns of distribution and abundance that are anticipated to have profound impacts on pelagic food webs and ecosystem dynamics. The physiological and molecular processes that underlay ecological function and biogeographical distribution are key to understanding present-day dynamics and predicting future trajectories. This study examined transcriptome-wide patterns of gene expression in relation to biological and physical oceanographic conditions in coastal, shelf and offshore waters of the Western Antarctic Peninsula (WAP) region during austral spring and summer 2011. Based on field observations and collections, seasonal changes in the distribution and abundance of salps of different life stages were associated with differences in water mass structure of the WAP. Our observations are consistent with previous suggestions that bathymetry and currents in Bransfield Strait could generate a retentive cell for an overwintering population of S. thompsoni, which may generate the characteristic salp blooms found throughout the region later in summer. The statistical analysis of transcriptome-wide patterns of gene expression revealed differences among salps collected in different seasons and from different habitats (i.e., coastal versus offshore) in the WAP. Gene expression patterns also clustered by station in austral spring - but not summer - collections, suggesting stronger heterogeneity of environmental conditions. During the summer, differentially expressed genes covered a wider range of functions, including those associated with stress responses. Future research using novel molecular transcriptomic / genomic characterization of S. thompsoni will allow more complete understanding of individual-, population-, and species-level responses to environmental variability and prediction of future dynamics of Southern Ocean food webs and ecosystems.
NASA Technical Reports Server (NTRS)
1974-01-01
Requirements for marine geodesy are examined, taking into account accuracy requirements for certain marine operations, boundary and positioning problems in offshore Norway, navigation requirements for nodule exploration and mining, and the determination of marine boundaries at sea. Subjects related to marine geodesy and positioning/navigation are discussed along with topics concerned with marine geodesy and ocean physics. Satellite altimetry and modern geoids method are considered and attention is given to marine gravity anomalies and geodesy. Individual items are announced in this issue.
1989-08-01
horizontal plane is defined as a plane normal to the geocentric position vector. Inertial Azimuth Heading Angle entries are the angles measured east of north...0CATICN: Enter the areas or locations that are to be staffed with redical perscnel, i.e., Vandenberg AFB Hospital, PMIC; or offshore boats, etc. NUMB
The Effects of Random and Nonlinear Waves on Coastal and Offshore Structures
1987-07-01
Barik and Paramasivam [2]. Dao and Penzien [3]. Leonard, et al. (4). and Tuali and Hudspeth [8). For a real sea state, the super- position of linear...34 Ocean Engng., Vol. 10, No. 5, 1983, p 303 312. [2] Barik , K. C. and V. Paramasivam, "Response Analysis of Offehore Struc- tures," J. Waterways Port
Gay men's experiences of surrogacy clinics in India.
Riggs, Damien W; Due, Clemence; Power, Jennifer
2015-01-01
While growing numbers of Australian gay men are entering into 'offshore' surrogacy arrangements in order to become parents, little empirical research has been conducted with this population. This article reports on a qualitative analysis of interviews with 12 gay men who had entered into surrogacy arrangements in India. The findings outline both positive and negative experiences in terms of support pre-conception, during the birth and post-birth. Changes to legislation in India mean that gay men can no longer access surrogacy services there, but it is important to understand the experiences of men who had previously accessed those services. The article concludes by highlighting aspects of the data that demonstrate the particular experiences of gay men who undertake offshore surrogacy arrangements, especially with regard to their need for support and involvement in all aspects of the process. A more thoroughly developed network of care may help to facilitate such support and this may further increase the positive outcomes reported by gay men who form families through surrogacy arrangements. Published by the BMJ Publishing Group Limited. For permission to use (where not already granted under a licence) please go to http://group.bmj.com/group/rights-licensing/permissions.
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2013 CFR
2013-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2013-10-01 2013-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2011 CFR
2011-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2011-10-01 2011-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2014 CFR
2014-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2014-10-01 2014-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2012 CFR
2012-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2012-10-01 2012-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
Sleipner mishap jolts booming Norway
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
1991-09-02
This paper reports on Norway's buoyant offshore industry that was stunned when the concrete substructure for Sleipner natural gas field's main production platform sank in the Grandsfjord off Stavanger late last month. The accident, a blow to Norway's gas sales program in Europe, came with offshore activity in the Norwegian North Sea moving into a new boom period. Currently, 10 oil and gas fields are under development, and several projects are on the drawing board. Aker Oil and Gas, a leading offshore firm, says the country's construction industry will be working at capacity for the next 4 years. Norwegian oilmore » production has been hovering just below 2 million b/d since the beginning of this year, making Norway the North Sea's largest producer, a position formerly held by the U.K. Gas production averages about 3 bcfd. With European gas demand sharply increasing, Norway is under pressure to increase output from new fields in the mid to late 1990s. The Sleipner setback forces state owned Den norske stats oljeselskap AS (Statoil) to cast around for supplies. Sleipner was to have begun deliveries to a consortium of continental gas companies in October 1993. Statoil believes it can fill the gap from existing fields in Norwegian waters.« less
Garel, Erwan; Rey, Cibran Camba; Ferreira, Oscar; van Koningsveld, Mark
2014-08-01
This paper assesses the applicability of the Frame of Reference (FoR) approach for the environmental monitoring of large-scale offshore Marine Renewable Energy (MRE) projects. The focus is on projects harvesting energy from winds, waves and currents. Environmental concerns induced by MRE projects are reported based on a classification scheme identifying stressors, receptors, effects and impacts. Although the potential effects of stressors on most receptors are identified, there are large knowledge gaps regarding the corresponding (positive and negative) impacts. In that context, the development of offshore MRE requires the implementation of fit-for-purpose monitoring activities aimed at environmental protection and knowledge development. Taking European legislation as an example, it is suggested to adopt standardized monitoring protocols for the enhanced usage and utility of environmental indicators. Towards this objective, the use of the FoR approach is advocated since it provides guidance for the definition and use of coherent set of environmental state indicators. After a description of this framework, various examples of applications are provided considering a virtual MRE project located in European waters. Finally, some conclusions and recommendations are provided for the successful implementation of the FoR approach and for future studies. Copyright © 2014 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Carlotti, F.; Eisenhauer, L.; Campbell, R.; Diaz, F.
2014-07-01
The spatio-temporal dynamics of a simulated Centropages typicus (Kröyer) population during the year 2001 at the regional scale of the northwestern Mediterranean Sea are addressed using a 3D coupled physical-biogeochemical model. The setup of the coupled biological model comprises a pelagic plankton ecosystem model and a stage-structured population model forced by the 3D velocity and temperature fields provided by an eddy-resolving regional circulation model. The population model for C. typicus (C. t. below) represents demographic processes through five groups of developmental stages, which depend on underlying individual growth and development processes and are forced by both biotic (prey and predator fields) and abiotic (temperature, advection) factors from the coupled physical-biogeochemical model. The objective is to characterize C. t. ontogenic habitats driven by physical and trophic processes. The annual dynamics are presented for two of the main oceanographic stations in the Gulf of Lions, which are representative of shelf and open sea conditions, while the spatial distributions over the whole area are presented for three dates during the year, in early and late spring and in winter. The simulated spatial patterns of C. t. developmental stages are closely related to mesoscale hydrodynamic features and circulation patterns. The seasonal and spatial distributions on the Gulf of Lions shelf depend on the seasonal interplay between the Rhône river plume, the mesoscale eddies on the shelf and the Northern Current acting as either as a dynamic barrier between the shelf and the open sea or allowing cross-shelf exchanges. In the central gyre of the northwestern Mediterranean Sea, the patchiness of plankton is tightly linked to mesoscale frontal systems, surface eddies and filaments and deep gradients. Due to its flexibility in terms of its diet, C. t. succeeds in maintaining its population in both coastal and offshore areas year round. The simulations suggest that the winte-spring food conditions are more favorable on the shelf for C. t., whereas in late summer and fall, the offshore depth-integrated food biomasses represent a larger resource for C. t., particularly when mesoscale structures and vertical discontinuities increase food patchiness. The development and reproduction of C. t. depend on the prey field within the mesoscale structures that induce a contrasting spatial distribution of successive developmental stages on a given observation date. In late fall and winter, the results of the model suggest the existence of three refuge areas where the population maintains winter generations near the coast and within the Rhone River plume, or offshore within canyons within the shelf break, or in the frontal system related to the Northern Current. The simulated spatial and temporal distributions as well as the life cycle and physiological features of C. t. are discussed in light of recent reviews on the dynamics of C. t. in the northwestern Mediterranean Sea.
Estimating the Economic Potential of Offshore Wind in the United States
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, P.; Musial, W.; Smith, A.
The potential for cost reduction and market deployment for offshore wind varies considerably within the United States. This analysis estimates the future economic viability of offshore wind at more than 7,000 sites under a variety of electric sector and cost reduction scenarios. Identifying the economic potential of offshore wind at a high geospatial resolution can capture the significant variation in local offshore resource quality, costs, and revenue potential. In estimating economic potential, this article applies a method initially developed in Brown et al. (2015) to offshore wind and estimates the sensitivity of results under a variety of most likely electricmore » sector scenarios. For the purposes of this analysis, a theoretical framework is developed introducing a novel offshore resource classification system that is analogous to established resource classifications from the oil and gas sector. Analyzing economic potential within this framework can help establish a refined understanding across industries of the technology and site-specific risks and opportunities associated with future offshore wind development. The results of this analysis are intended to inform the development of the U.S. Department of Energy's offshore wind strategy.« less
Boundary Spanning in Offshored Information Systems Development Projects
ERIC Educational Resources Information Center
Krishnan, Poornima
2010-01-01
Recent growth in offshore outsourcing of information systems (IS) services is accompanied by managing the offshore projects successfully. Much of the project failures can be attributed to geographic and organizational boundaries which create differences in culture, language, work patterns, and decision making processes among the offshore project…
78 FR 63233 - National Offshore Safety Advisory Committee; Meeting
Federal Register 2010, 2011, 2012, 2013, 2014
2013-10-23
... Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling Units. (4) Safety Impact of Liftboat... Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling Units (MODUs); (d) Safety Impact of... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2013-0886] National Offshore Safety...
Federal Register 2010, 2011, 2012, 2013, 2014
2011-12-20
... DEPARTMENT OF THE INTERIOR Bureau of Ocean Energy Management Carpinteria Offshore Field Redevelopment Project--Developmental Drilling Into the Carpinteria Offshore Field Oil and Gas Reserves... Lands Commission (CSLC) intend to jointly review a proposal to develop offshore oil and gas resources...
77 FR 71607 - Mobile Offshore Drilling Unit (MODU) Electrical Equipment Certification Guidance
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-03
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2012-0839] Mobile Offshore Drilling... hazardous areas on foreign-flagged Mobile Offshore Drilling Units (MODUs) that have never operated, but... International Maritime Organization (IMO) Code for the Construction and Equipment of Mobile Offshore Drilling...
46 CFR 15.520 - Mobile offshore drilling units (MODUs).
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 1 2014-10-01 2014-10-01 false Mobile offshore drilling units (MODUs). 15.520 Section... MANNING REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units... endorsement on an MMC as offshore installation manager (OIM), barge supervisor (BS), or ballast control...
46 CFR 11.470 - Officer endorsements as offshore installation manager.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Officer endorsements as offshore installation manager... Officer endorsements as offshore installation manager. (a) Officer endorsements as offshore installation manager (OIM) include: (1) OIM Unrestricted; (2) OIM Surface Units on Location; (3) OIM Surface Units...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Fidler, Courtney, E-mail: crfidler@gmail.com; Noble, Bram, E-mail: b.noble@usask.ca
2012-04-15
Abstract: Strategic environmental assessment (SEA) for offshore oil and gas planning and development is utilized in select international jurisdictions, but the sector has received limited attention in the SEA literature. While the potential benefits of and rationale for SEA are well argued, there have been few empirical studies of SEA processes for the offshore sector. Hence, little is known about the efficacy of SEA offshore, in particular its influence on planning and development decisions. This paper examines SEA practice and influence in three international offshore systems: Norway, Atlantic Canada and the United Kingdom, with the intent to identify the challenges,more » lessons and opportunities for advancing SEA in offshore planning and impact assessment. Results demonstrate that SEA can help inform and improve the efficacy and efficiency of project-based assessment in the offshore sector, however weak coordination between higher and lower tiers limit SEA's ability to influence planning and development decisions in a broad regional environmental and socioeconomic context. - Highlights: Black-Right-Pointing-Pointer SEA can inform and improve the efficacy and efficiency of project EA offshore Black-Right-Pointing-Pointer Scope and deliverables of SEA offshore often differ from stakeholder expectations Black-Right-Pointing-Pointer Considerable variability in influence of SEA output beyond licensing decisions Black-Right-Pointing-Pointer Sector-based SEA offshore is often too restrictive to generate expected benefits.« less
Mette, Janika; Velasco Garrido, Marcial; Harth, Volker; Preisser, Alexandra M; Mache, Stefanie
2018-01-23
Offshore work has been described as demanding and stressful. Despite this, evidence regarding the occupational strain, health, and coping behaviors of workers in the growing offshore wind industry in Germany is still limited. The purpose of our study was to explore offshore wind employees' perceptions of occupational strain and health, and to investigate their strategies for dealing with the demands of offshore work. We conducted 21 semi-structured telephone interviews with employees in the German offshore wind industry. The interviews were transcribed and analyzed in a deductive-inductive approach following Mayring's qualitative content analysis. Workers generally reported good mental and physical health. However, they also stated perceptions of stress at work, fatigue, difficulties detaching from work, and sleeping problems, all to varying extents. In addition, physical health impairment in relation to offshore work, e.g. musculoskeletal and gastrointestinal complaints, was documented. Employees described different strategies for coping with their job demands. The strategies comprised of both problem and emotion-focused approaches, and were classified as either work-related, health-related, or related to seeking social support. Our study is the first to investigate the occupational strain, health, and coping of workers in the expanding German offshore wind industry. The results offer new insights that can be utilized for future research in this field. In terms of practical implications, the findings suggest that measures should be carried out aimed at reducing occupational strain and health impairment among offshore wind workers. In addition, interventions should be initiated that foster offshore wind workers' health and empower them to further expand on effective coping strategies at their workplace.
NASA Astrophysics Data System (ADS)
Sutton, Tracey; Hopkins, Thomas; Remsen, Andrew; Burghart, Scott
2001-01-01
Sampling was conducted on the west Florida continental shelf ecosystem modeling site to estimate zooplankton grazing impact on primary production. Samples were collected with the high-resolution sampler, a towed array bearing electronic and optical sensors operating in tandem with a paired net/bottle verification system. A close biological-physical coupling was observed, with three main plankton communities: 1. a high-density inshore community dominated by larvaceans coincident with a salinity gradient; 2. a low-density offshore community dominated by small calanoid copepods coincident with the warm mixed layer; and 3. a high-density offshore community dominated by small poecilostomatoid and cyclopoid copepods and ostracods coincident with cooler, sub-pycnocline oceanic water. Both high-density communities were associated with relatively turbid water. Applying available grazing rates from the literature to our abundance data, grazing pressure mirrored the above bio-physical pattern, with the offshore sub-pycnocline community contributing ˜65% of grazing pressure despite representing only 19% of the total volume of the transect. This suggests that grazing pressure is highly localized, emphasizing the importance of high-resolution sampling to better understand plankton dynamics. A comparison of our grazing rate estimates with primary production estimates suggests that mesozooplankton do not control the fate of phytoplankton over much of the area studied (<5% grazing of daily primary production), but "hot spots" (˜25-50% grazing) do occur which may have an effect on floral composition.
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 4 2014-10-01 2014-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 4 2011-10-01 2011-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 4 2010-10-01 2010-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 4 2013-10-01 2013-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
76 FR 39885 - Risk-Based Targeting of Foreign Flagged Mobile Offshore Drilling Units (MODUs)
Federal Register 2010, 2011, 2012, 2013, 2014
2011-07-07
... Foreign Flagged Mobile Offshore Drilling Units (MODUs) AGENCY: Coast Guard, DHS. ACTION: Notice of... 11-06, Risk-Based Targeting of Foreign Flagged Mobile Offshore Drilling Units (MODUs). This policy... applicable regulations, every foreign-flagged mobile offshore drilling unit (MODU) must undergo a Coast Guard...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 4 2012-10-01 2012-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
30 CFR 285.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2010 CFR
2010-07-01
... offshore renewable energy industry. 285.116 Section 285.116 Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER... the state of the offshore renewable energy industry, including the identification of potential...
75 FR 2153 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-CHARIOT
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-14
... Compliance for the Offshore Supply Vessel C-CHARIOT AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply..., telephone 202-366-9826. SUPPLEMENTARY INFORMATION: Background and Purpose The offshore supply vessel C...
75 FR 4579 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-AGGRESSOR
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-28
... Compliance for the Offshore Supply Vessel C-AGGRESSOR AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... Operations, telephone 202-366-9826. SUPPLEMENTARY INFORMATION: Background and Purpose The offshore supply...
77 FR 54908 - TC Offshore, LLC; Notice Establishing Deadline for Comments
Federal Register 2010, 2011, 2012, 2013, 2014
2012-09-06
... DEPARTMENT OF ENERGY Federal Energy Regulatory Commission [Docket No. RP12-908-000] TC Offshore, LLC; Notice Establishing Deadline for Comments On August 29, 2012, TC Offshore, LLC (TC Offshore... is hereby given that participants in the captioned proceedings may file comments to TC Offshsore's...
75 FR 29397 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling
Federal Register 2010, 2011, 2012, 2013, 2014
2010-05-26
... National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling By the authority vested in... Deepwater Horizon Oil Spill and Offshore Drilling (the ``Commission''). Sec. 2. Membership. (a) The... impact of, oil spills associated with offshore drilling, taking into consideration the environmental...
Using Temperature as a Tracer to Study Fluid Flow Patterns On and Offshore Taiwan
NASA Astrophysics Data System (ADS)
Chi, W. C.
2017-12-01
Fluid flows are a dynamic system in the crust that affect crustal deformation and formation of natural resources. It is difficult to study fluid flow velocity instrumentally, but temperature data offers a quantitative tool that can be used as a tracer to study crustal hydrogeology. Here we present numerical techniques we have applied to study the fluid migration velocity along conduits including faults in on and offshore settings. Offshore SW Taiwan, we use a bottom-simulating reflector (BSR) from seismic profiles to study the temperature field at several hundred meters subbottom depth. The BSR is interpreted as the base of a gas hydrate stability zone under the seabed. Gas hydrates are solid-state water with gas molecules enclosed, which can be found where the temperature, pressure, and salinity conditions allow hydrates to be stable. Using phase diagrams and hydro pressure information we can derive the temperature at the BSR. BSRs are widespread in the study area, providing very dense temperature field information which shows upward bending of the BSR near faults. We have quantitatively estimated the 1D and 2D fluid flow patterns required to fit the BSR-based temperature field. This shows that fault zones can act as conduits with high permeability parallel to the fault planes. On the other hand, fault zones can also act as barriers to fluid flow, as demonstrated in our onland temperature data. We have collected temperature profiles at several bore holes onland that are very close together. The preliminary results show that the fault zones separate the ground water systems, causing very different geothermal gradients. Our results show that the physical properties of fault zones can be anisotropic, as demonstrated in previous work. Future work includes estimating the regional water expulsion budget offshore SW Taiwan, in particular for several gas hydrate sites.
Summertime grazing impact of the dominant macrozooplankton off the Western Antarctic Peninsula
NASA Astrophysics Data System (ADS)
Bernard, Kim S.; Steinberg, Deborah K.; Schofield, Oscar M. E.
2012-04-01
The Western Antarctic Peninsula (WAP) is a region of rapid climate change that is altering plankton community structure. To investigate how these changes may impact carbon and energy transfer in the pelagic food web, grazing rates of the five dominant macrozooplankton species (euphausiids Euphausia superba, Euphausia crystallorophias, and Thysanöessa macrura; the pteropod Limacina helicina, and the salp Salpa thompsoni) in the WAP were measured in January 2009 and 2010 as part of the Palmer Antarctica Long-Term Ecological Research (LTER) study. Measurements were made across the coastal-shelf-offshore and north-south gradients of the LTER survey grid. Highest grazing rates occurred offshore in both years, and in the south during 2009 and north during 2010, all associated with the presence of large localized salp blooms. During both years, E. superba was the major grazer at the coast, while S. thompsoni dominated grazing offshore. L. helicina was an important grazer throughout the study area during both years, but especially so over the shelf during 2009. During 2009, there was little difference in the relative importance of the macrozooplankton grazers along the north-south gradient. The presence of a salp bloom in the north during 2010, though, resulted in a distinct shift in the relative importance of major grazers from the euphausiids and L. helicina in the south to salps in the north. Grazing impact was low in coastal waters (≤0.3% of phytoplankton standing stock and ≤0.6% of primary productivity). In contrast, in the offshore waters, where salp blooms were observed, grazing impacts of up to 30% of standing stock and 169% of primary productivity were recorded. If S. thompsoni and L. helicina continue to expand their ranges and increase in abundance, the associated shift in the food web dynamics of the WAP will alter the regional flow of carbon through the WAP food webs and the export of carbon to depth.
Carolina Offshore Wind Integration Case Study: Phases I and II Final Technical Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Fallon, Christopher; Piper, Orvane; Hazelip, William
2015-04-30
Duke Energy performed a phase 1 study to assess the impact of offshore wind development in the waters off the coasts of North Carolina and South Carolina. The study analyzed the impacts to the Duke Energy Carolinas electric power system of multiple wind deployment scenarios. Focusing on an integrated utility system in the Carolinas provided a unique opportunity to assess the impacts of offshore wind development in a region that has received less attention regarding renewables than others in the US. North Carolina is the only state in the Southeastern United States that currently has a renewable portfolio standard (RPS)more » which requires that 12.5% of the state’s total energy requirements be met with renewable resources by 2021. 12.5% of the state’s total energy requirements in 2021 equates to approximately 17,000 GWH of energy needed from renewable resources. Wind resources represent one of the ways to potentially meet this requirement. The study builds upon and augments ongoing work, including a study by UNC to identify potential wind development sites and the analysis of impacts to the regional transmission system performed by the NCTPC, an Order 890 planning entity of which DEC is a member. Furthermore, because the region does not have an independent system operator (ISO) or regional transmission organization (RTO), the study will provide additional information unique to non-RTO/ISO systems. The Phase 2 study builds on the results of Phase 1 and investigates the dynamic stability of the electrical network in Task 4, the operating characteristics of the wind turbines as they impact operating reserve requirements of the DEC utility in Task 5, and the production cost of integrating the offshore wind resources into the DEC generation fleet making comparisons to future planned operation without the addition of the wind resources in Task 6.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dill, R.F.; Slosson, J.E.; McEachen, D.B.
1990-05-01
A Macintosh II{sup TM} computer and commercially available software were used to analyze and depict the topography, construct an isopach sediment thickness map, plot core positions, and locate the geology of an offshore area facing an active landslide on the southern side of Palos Verdes Peninsula California. Profile data from side scan sonar, 3.5 kHz, and Boomer subbottom, high-resolution seismic, diving, echo sounder traverses, and cores - all controlled with a mini Ranger II navigation system - were placed in MacGridzo{sup TM} and WingZ{sup TM} software programs. The computer-plotted data from seven sources were used to construct maps with overlaysmore » for evaluating the possibility of a shoreside landslide extending offshore. The poster session describes the offshore survey system and demonstrates the development of the computer data base, its placement into the MacGridzo{sup TM} gridding program, and transfer of gridded navigational locations to the WingZ{sup TM} data base and graphics program. Data will be manipulated to show how sea-floor features are enhanced and how isopach data were used to interpret the possibility of landslide displacement and Holocene sea level rise. The software permits rapid assessment of data using computerized overlays and a simple, inexpensive means of constructing and evaluating information in map form and the preparation of final written reports. This system could be useful in many other areas where seismic profiles, precision navigational locations, soundings, diver observations, and core provide a great volume of information that must be compared on regional plots to develop of field maps for geological evaluation and reports.« less
Formation Mechanisms for Spur and Groove Features on Fringing Reefs
NASA Astrophysics Data System (ADS)
Bramante, J. F.; Ashton, A. D.; Perron, J. T.
2016-12-01
Spur and groove systems (SAGs) are ubiquitous morphological features found on fore-reef slopes globally. SAGs consist of parallel, roughly shore-normal ridges of actively growing coral and coralline algae (spurs) separated by offshore-sloping depressions typically carpeted by a veneer of sediment (grooves). Although anecdotal observations and recent statistical analyses have reported correlations between wave exposure and the distribution of SAGs on fore-reef slopes, the physical mechanisms driving SAG formation remain poorly understood. For example, there remains significant debate regarding the importance of coral growth versus bed erosion for SAG formation. Here we investigate a hypothesis that SAG formation is controlled by feedbacks between sediment production and diffusion and coral growth. Using linear stability analysis, we find that sediment production, coral growth, and the feedbacks between them are unable to produce stable periodic structures without a sediment sink. However, if incipient grooves act as conduits for sediment transport offshore, a positive feedback can develop as the groove bed erodes through wave-driven abrasion during offshore transport. Eventually a negative feedback slows groove deepening when the groove bed is armored by sediment, and the groove bed relaxes to a sediment-veneered equilibrium profile analogous to sediment-rich shorefaces. To test this hypothesis, we apply a numerical model that incorporates coral growth and sediment production, sediment diffusion, non-linear wave-driven abrasion, and sediment advection offshore. This model produces the periodic, linear features characteristic of SAG morphology. The relative magnitude of growth, production, diffusion, abrasion, and advection rates affect periodic spacing or wavelength of the modeled SAGs. Finally, we evaluate the ability of the model to replicate geographical variability in SAG characteristics using previously published datasets and reanalysis wave data.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Seni, S.J.; Desselle, B.A.; Standen, A.
1994-09-01
The search for additional hydrocarbons in the Gulf of Mexico is directing exploration toward both deep-water frontier trends and historically productive areas on the shelf. The University of Texas at Austin, Bureau of Economic Geology, in cooperation with the Minerals Management Service, the Gas Research Institute, and the U.S. Department of Energy, is responding to this need through a coordinated research effort to develop an oil and gas atlas series for the offshore northern Gulf of Mexico. The atlas series will group regional trends of oil and gas reservoirs into subregional plays and will display graphical location and reservoir datamore » on a computerized information system. Play methodology includes constructing composite type logs with producing zones for all fields, identifying progradational, aggradational, and retrogradational depositional styles, and displaying geologic data for type fields. Deep-water sand-rich depositional systems are identified separately on the basis of faunal ecozones, chronostratigraphic facies position, and log patterns. To date, 4 Oligocene, 19 Lower Miocene, and 5 Upper Miocene plays have been identified in Texas state offshore waters. Texas state offshore plays are gas prone and are preferentially trapped in rollover anticlines. Lower Miocene plays include deep-water sandstones of Lenticulina hanseni and jeffersonensis; progradational sandstones of Marginulina, Discorbis b, Siphonia davisi, and Lenticulina; transgressive sandstones associated with a barrier-bar system in the Matagorda area; and transgressive sandstones below Amphistegina B shale. Particularly productive gas-prone plays are progradational Siphonia davisi, shelf-margin deltas in the High Island area, and progradational Marginulina shelf and deltaic sands in association with large rollover anticlines in the Matagorda Island and Brazos areas.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Laska, S.; Baxter, V.K.; Seydlitz, R.
1993-08-01
The research contained in the report considers the relationship of oil production--a primary economic activity--to five social institutions: the family; poverty and social service provision; communities; government; and the political economy. Findings suggest a direct impact of offshore oil and gas production on these institutions. The impact is both positive and negative. It is long-term as well as short-term. It affects different institutions and sub-populations differently. The effects are on the entire state, not just the area directly involved with oil production. Mitigation recommendations range from research, data collection, impact monitoring, a national policy requiring the use of American contractors,more » the sharing of severance taxes with the affected area, the escrowing of monies by oil companies, and the expansion of government assistance to mitigate impacts.« less
Offshore Wind Market and Economic Analysis
DOE Office of Scientific and Technical Information (OSTI.GOV)
Hamilton, Bruce Duncan
2014-08-27
This report is the third annual assessment of the U.S. offshore wind market. It includes the following major sections: Section 1: key data on developments in the offshore wind technology sector and the global development of offshore wind projects, with a particular focus on progress in the United States; Section 2: analysis of policy developments at the federal and state levels that have been effective in advancing offshore wind deployment in the United States; Section 3: analysis of actual and projected economic impact, including regional development and job creation; Section 4: analysis of developments in relevant sectors of the economymore » with the potential to affect offshore wind deployment in the United States« less
[Offshore work and the work of nurses on board: an integrative review].
Antoniolli, Silvana Aline Cordeiro; Emmel, Suzel Vaz; Ferreira, Gímerson Erick; Paz, Potiguara de Oliveira; Kaiser, Dagmar Elaine
2015-08-01
To know the production of theoretical approaches on issues related to offshore work and the work of offshore nurses. Integrative literature review conducted in the databases of LILACS, BDENF, MEDLINE, SciELO and Index PSI. We selected 33 studies published in national and international journals between 1997 and 2014. The thematic analysis corpus resulted in four central themes: offshore work environment; amid work adversities, an escape; structuring of offshore health and safety services; in search of safe practices. This study contributes to the offshore work of nurses in relation to the nature of work, acting amid adversities and the restless search for safe practices in the open sea.
Controlling factors of the OMZ in the Arabian Sea
NASA Astrophysics Data System (ADS)
Resplandy, L.; Lévy, M.; Bopp, L.; Echevin, V.; Pous, S.; Sarma, V. V. S. S.; Kumar, D.
2012-05-01
In-situ observations indicate that the Arabian Sea oxygen minimum zone (OMZ) is only weakly influenced by the strong seasonal cycle of ocean dynamic and biogeochemistry forced by the asian monsoon system and it is spatially decorrelated from the coastal upwelling systems where the biological production is the strongest. In this study we examine the factors controlling the seasonality and the spatial distribution of the OMZ in the Arabian Sea using a coupled bio-physical model. We find that the oxygen concentration in the OMZ displays a seasonal cycle with an amplitude of 5-15 % of the annual mean oxygen concentration. The OMZ is ventilated by lateral ventilation along the western boundary current and in the coastal undercurrent along India during the summer monsoon and by coastal downwelling and negative Ekman pumping during the fall intermonsoon and winter monsoon. This ventilation is counterbalanced by strong coastal upwelling and positive Ekman pumping of low oxygen waters at the base of the OMZ during the spring intermonsoon. Although the factors controlling the OMZ seasonality are associated with the men circulation, we find that mesoscale dynamics modulates them by limiting the vertical ventilation during winter and enhancing it through lateral advection during the rest of the year. Processes explaining the establishment and spatial distribution of the OMZ were quantified using a perturbation experiment initialised with no OMZ. As expected, the oxygen depletion is triggered by strong biological activity in central Arabian Sea during winter and in western and eastern boundary coastal upwelling systems during summer. We find that the 3-D ocean dynamic largely controls the spatial distribution of the OMZ. The eastward shift ensues from the northward lateral transport of ventilated waters along the western and eastern coasts and the advection offshore of low oxygen waters formed in the upwelling system.
NASA Astrophysics Data System (ADS)
Abarca, Elena; Karam, Hanan; Hemond, Harold F.; Harvey, Charles F.
2013-05-01
Detailed field measurements are combined with a numerical modeling to characterize the groundwater dynamics beneath the discharge zone at Waquoit Bay, Massachusetts. Groundwater salinity values revealed a saline circulation cell that overlaid the discharging freshwater and grew and disappeared with the lunar cycle. The cell was initiated by a greater bay water infiltration during the new moon when high tides overtopped the mean high-tide mark, flooding the flatter beach berm and inundating a larger area of the beach. The dynamics of this cell were further characterized by a tracer test and by constructing a density-dependent flow model constrained to salinity and head data. The numerical model captured the growing and diminishing behavior of the circulation cell and provided the estimates of freshwater and saline water fluxes and travel times. Furthermore, the model enabled quantification of the relationship between the characteristics of the observed tidal cycle (maximum, minimum, and mean tidal elevations) and the different components of the groundwater circulation (freshwater discharge, intertidal saline cycling, and deep saline cycling). We found that (1) recharge to the intertidal saline cell is largely controlled by the high-tide elevation; (2) freshwater discharge is positively correlated to the low-tide elevation, whereas deep saline discharge from below the discharging freshwater is negatively correlated to the low-tide elevation. So, when the low-tide elevation is relatively high, more freshwater discharges and less deep saltwater discharges. In contrast when low tides are very low, less freshwater discharges and more deep salt water discharges; (3) offshore inflow of saline water is largely insensitive to tides and the lunar cycle.
Offshore Wind Initiatives at the U.S. Department of Energy
DOE Office of Scientific and Technical Information (OSTI.GOV)
None, None
Coastal and Great Lakes states account for nearly 80% of U.S. electricity demand, and the winds off the shores of these coastal load centers have a technical resource potential twice as large as the nation’s current electricity use. With the costs of offshore wind energy falling globally and the first U.S. offshore wind farm installed off the coast of Block Island, Rhode Island in 2016, offshore wind has the potential to contribute significantly to a clean, affordable, and secure national energy mix. To support the development of a world-class offshore wind industry, the U.S. Department of Energy has been supportingmore » a broad portfolio of offshore wind research, development, and demonstration projects since 2011 and released a new National Offshore Wind Strategy jointly with the U.S. Department of the Interior in 2016.« less
Ground-water flow and quality in the Atlantic City 800-foot sand, New Jersey
McAuley, Steven D.; Barringer, Julia L.; Paulachok, Gary N.; Clark, Jeffrey S.; Zapecza, Otto S.
2001-01-01
The regional, confined Atlantic City 800-foot sand is the principal source of water supply for coastal communities of southern New Jersey. In response to extensive use of the aquifer--nearly 21 million gallons per day in 1986--water levels have declined to about 100 feet below sea level near Atlantic City and remain below sea level throughout the coastal areas of southern New Jersey, raising concerns about the potential for saltwater intrusion into well fields. Water levels in the Atlantic City 800-foot sand have declined in response to pumping from the aquifer since the 1890's. Water levels in the first wells drilled into the Atlantic City 800-foot sand were above land surface, and water flowed continuously from the wells. By 1986, water levels were below sea level throughout most of the coastal areas. Under current conditions, wells near the coast derive most of their supply from lateral flow contributed from the unconfined part of the aquifer northwest of the updip limit of the confining unit that overlies the Atlantic City 800- foot sand. Ground water also flows laterally from offshore areas and leaks vertically through the overlying and underlying confining units into the Atlantic City 800-foot sand. The decline in water levels upsets the historical equilibrium between freshwater and ancient saltwater in offshore parts of the aquifer and permits the lateral movement of saltwater toward pumping centers. The rate of movement is accelerated as the decline in water levels increases. The chloride concentration of aquifer water 5.3 miles offshore of Atlantic City was measured as 77 mg/L (milligrams per liter) in 1985 at a U.S. Geological Survey observation well. Salty water has also moved toward wells in Cape May County. The confined, regional nature of the Atlantic City 800-foot sand permits water levels in Cape May County to decline in response to pumping in Atlantic County and vice versa. Historically, chloride concentrations as great as 1 ,510 mg/L have been reported for water in a former supply well in southern Cape May County. These data indicate that salty water has moved inland in Cape May County. Analysis of the chloride-concentration data indicates that ground water with a chloride concentration of 250 mg/L is within 4 miles of supply wells in Stone Harbor, Cape May County, and is about 10 miles offshore of supply wells near Atlantic City. Results of numerical simulations of ground-water flow were analyzed to determine the effects of four water-supply alternatives on water levels, the flow budget, and potential saltwater movement toward pumping centers during 1986-2040. In the supply alternatives, pumpage is (1) held constant at 1986 rates of pumpage; (2) increased by 35 percent at 1986 locations; (3) increased by 35 percent, but with relocation of some supply wells further inland; and (4) increased by 35 percent but with some of the increase derived from inland wells tapping the Kirkwood-Cohansey aquifer system rather than the Atlantic City 800-foot sand. Inland relocation of supply wells closer to the updip limit of the overlying confining unit results in the smallest decline in water levels and the smallest rate of ground-water flow between the offshore location of salty water and coastal supply wells. Increased pumpage from coastal supply wells results in the greatest water-level declines and the greatest increase in the rate of ground-water flow from offshore to coastal wells. Flow of undesirable salty ground water from offshore locations remains nearly the same as for current (1986) conditions when pumping rates do not change, and the flow-rate increase is smallest for the relocated pumpage (fourth) alternative. In comparing the two conditions of a 35-percent increase in pumpage, the flow from undesirable salty water positions is lessened and flow from the unconfined aquifer is increased when some of the pumping centers are relocated farther inland. Ground water from the 250-mg/L isochlor position does not reach supply wells during any simulated conditions predicted for 1986-2040. The analysis of the simulation, however, includes only advective freshwater flow from an estimated 250-mg/L isochlor position and does not include density effects. A chloride concentration data-collection network could be designed to monitor for saltwater intrusion and serve as an early warning system for the communities of southern Cape May County and the coastal communities near Atlantic City. Data from existing offshore wells could continue to serve as an early warning system for the Atlantic City area; however, observation wells south of Stone Harbor, in the Wildwood area, would be useful as an early warning system for southern Cape May County.
33 CFR 147.T08-849 - DEEPWATER HORIZON Mobile Offshore Drilling Unit Safety Zone.
Code of Federal Regulations, 2010 CFR
2010-07-01
... DEEPWATER HORIZON Mobile Offshore Drilling Unit Safety Zone. (a) Location. All areas within 500 meters (1640... area surrounds the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU), that sank in the... 33 Navigation and Navigable Waters 2 2010-07-01 2010-07-01 false DEEPWATER HORIZON Mobile Offshore...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-02-03
... to encourage and incentivize offshore wind energy development. While a state may promote such development through activities such as the creation of financial incentives, an offshore wind project cannot... information resource for the state on Virginia's coastal energy resources, including offshore wind. For more...
30 CFR 285.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore renewable energy industry. 285.116 Section 285.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES... information on the state of the offshore renewable energy industry. (a) The Director may, from time to time...
30 CFR 585.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore renewable energy industry. 585.116 Section 585.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON... offshore renewable energy industry. (a) The Director may, from time to time, and at his discretion, solicit...
30 CFR 585.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore renewable energy industry. 585.116 Section 585.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON... offshore renewable energy industry. (a) The Director may, from time to time, and at his discretion, solicit...
30 CFR 585.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore renewable energy industry. 585.116 Section 585.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON... offshore renewable energy industry. (a) The Director may, from time to time, and at his discretion, solicit...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-12-29
... No. BOEM-2010-0063] Commercial Leasing for Wind Power on the Outer Continental Shelf (OCS) Offshore..., Interior. ACTION: RFI in Commercial Wind Energy Leasing Offshore Massachusetts, and Invitation for Comments... the construction of a wind energy project(s) on the Outer Continental Shelf (OCS) offshore...
Eighteenth annual offshore technology conference. Volume 1
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
1986-01-01
These sixty papers were given at a conference on offshore technology. Topics covered include friction effects of driving piles into sea beds of various compositions, wave forces on offshore platforms, stability, materials testing of various components such as plates, legs, wellheads, pipe joints, and protection of offshore platforms against ice and collision with icebergs.
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2013 CFR
2013-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2011 CFR
2011-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2012 CFR
2012-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2014 CFR
2014-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
75 FR 32802 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-CONTENDER
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-09
... Compliance for the Offshore Supply Vessel C-CONTENDER AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... for the offshore supply vessel C-CONTENDER. The horizontal distance between the forward and aft...
75 FR 45648 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-COURAGEOUS
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-03
... Compliance for the Offshore Supply Vessel C-COURAGEOUS AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... 89, has been issued for the offshore supply vessel C-COURAGEOUS, O.N. 1060716. The horizontal...
75 FR 17755 - Certificate of Alternative Compliance for the Offshore Supply Vessel GULF TIGER
Federal Register 2010, 2011, 2012, 2013, 2014
2010-04-07
... Compliance for the Offshore Supply Vessel GULF TIGER AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... for the h offshore supply vessel GULF TIGER. Full compliance with 72 COLREGS and the Inland Rules Act...
75 FR 32803 - Certificate of Alternative Compliance for the Offshore Supply Vessel JONCADE
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-09
... Compliance for the Offshore Supply Vessel JONCADE AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... offshore supply vessel JONCADE, O.N. 1224528. Full compliance with 72 COLREGS and Inland Rules Act would...
75 FR 53323 - Certificate of Alternative Compliance for the Offshore Supply Vessel LYMAN MARTIN
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-31
... Compliance for the Offshore Supply Vessel LYMAN MARTIN AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... 89, has been issued for the offshore supply vessel LYMAN MARTIN, O.N. 11227085. The horizontal...
75 FR 32802 - Certificate of Alternative Compliance for the Offshore Supply Vessel ROSS CANDIES
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-09
... Compliance for the Offshore Supply Vessel ROSS CANDIES AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... the offshore supply vessel ROSS CANDIES, O.N. 1222260. Full compliance with 72 COLREGS [[Page 32803...
International Offshore Students' Perceptions of Virtual Office Hours
ERIC Educational Resources Information Center
Wdowik, Steven; Michael, Kathy
2013-01-01
Purpose: The main aim of this study is to gauge international offshore students' perceptions of virtual office hours (VOH) to consult with their offshore unit coordinators in Australia. Design/methodology/approach: This paper employs a quantitative and qualitative approach where data was sourced from three offshore campuses over a 12-month period…
Offshore Fish Community: Ecological Interactions | Science ...
The offshore (>80 m) fish community of Lake Superior is made up of predominately native species. The most prominent species are deepwater sculpin, kiyi, cisco, siscowet lake trout, burbot, and the exotic sea lamprey. Bloater and shortjaw cisco are also found in the offshore zone. Bloater is abundant in the offshore zone but appears restricted to depths shallower than 150 m (Selgeby and Hoff 1996; Stockwell et al. 2010), although it occuppied greater depths several decades ago (Dryer 1966; Peck 1977). Shortjaw is relatively rare in the offshore zone (Hoff and Todd 2004; Gorman and Hoff 2009; Gorman and Todd 2007). Lake whitefish is also known to frequent bathymetric depths >100 m (Yule et al. 2008b). In this chapter, we develop a conceptual model of the offshore food web based on data collected during 2001-2005 and on inferences from species interactions known for the nearshore fish community. We then develop a framework for examination of energy and nutrient movements within the pelagic and benthic habitats of the offshore zone and across the offshore and nearshore zones. To document research results.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Yu, Bingbin; Karr, Dale G.; Song, Huimin
It is a fact that developing offshore wind energy has become more and more serious worldwide in recent years. Many of the promising offshore wind farm locations are in cold regions that may have ice cover during wintertime. The challenge of possible ice loads on offshore wind turbines raises the demand of modeling capacity of dynamic wind turbine response under the joint action of ice, wind, wave, and current. The simulation software FAST is an open source computer-aided engineering (CAE) package maintained by the National Renewable Energy Laboratory. In this paper, a new module of FAST for assessing the dynamicmore » response of offshore wind turbines subjected to ice forcing is presented. In the ice module, several models are presented which involve both prescribed forcing and coupled response. For conditions in which the ice forcing is essentially decoupled from the structural response, ice forces are established from existing models for brittle and ductile ice failure. For conditions in which the ice failure and the structural response are coupled, such as lock-in conditions, a rate-dependent ice model is described, which is developed in conjunction with a new modularization framework for FAST. In this paper, analytical ice mechanics models are presented that incorporate ice floe forcing, deformation, and failure. For lower speeds, forces slowly build until the ice strength is reached and ice fails resulting in a quasi-static condition. For intermediate speeds, the ice failure can be coupled with the structural response and resulting in coinciding periods of the ice failure and the structural response. A third regime occurs at high speeds of encounter in which brittle fracturing of the ice feature occurs in a random pattern, which results in a random vibration excitation of the structure. An example wind turbine response is simulated under ice loading of each of the presented models. This module adds to FAST the capabilities for analyzing the response of wind turbines subjected to forces resulting from ice impact on the turbine support structure. The conditions considered in this module are specifically addressed in the International Organization for Standardization (ISO) standard 19906:2010 for arctic offshore structures design consideration. Special consideration of lock-in vibrations is required due to the detrimental effects of such response with regard to fatigue and foundation/soil response. Finally, the use of FAST for transient, time domain simulation with the new ice module is well suited for such analyses.« less
Towers for Offshore Wind Turbines
NASA Astrophysics Data System (ADS)
Kurian, V. J.; Narayanan, S. P.; Ganapathy, C.
2010-06-01
Increasing energy demand coupled with pollution free production of energy has found a viable solution in wind energy. Land based windmills have been utilized for power generation for more than two thousand years. In modern times wind generated power has become popular in many countries. Offshore wind turbines are being used in a number of countries to tap the energy from wind over the oceans and convert to electric energy. The advantages of offshore wind turbines as compared to land are that offshore winds flow at higher speed than onshore winds and the more available space. In some land based settings, for better efficiency, turbines are separated as much as 10 rotor diameters from each other. In offshore applications where only two wind directions are likely to predominate, the distances between the turbines arranged in a line can be shortened to as little as two or four rotor diameters. Today, more than a dozen offshore European wind facilities with turbine ratings of 450 kw to 3.6 MW exist offshore in very shallow waters of 5 to 12 m. Compared to onshore wind turbines, offshore wind turbines are bigger and the tower height in offshore are in the range of 60 to 80 m. The water depths in oceans where offshore turbines can be located are within 30 m. However as the distance from land increases, the costs of building and maintaining the turbines and transmitting the power back to shore also increase sharply. The objective of this paper is to review the parameters of design for the maximum efficiency of offshore wind turbines and to develop types offshore towers to support the wind turbines. The methodology of design of offshore towers to support the wind turbine would be given and the environmental loads for the design of the towers would be calculated for specific cases. The marine corrosion on the towers and the methods to control the corrosion also would be briefly presented. As the wind speeds tend to increase with distance from the shore, turbines build father offshore will be able to capture more wind energy. Currently two types of towers are considered. Cylindrical tubular structures and truss type structures. But truss type structures have less weight and flexibility in design. The construction of the offshore towers to harness the wind energy is also presented. The results will include the calculation of wind and wave forces on the tower and the design details for the tower.
Using Automatic Identification System Technology to Improve Maritime Border Security
2014-12-01
digital selective calling EPIRB Emergency Position Indicting Radio Beacon EU European Union FAA Federal Aviation Administration GAO U. S. Government...that has visited a hovering vessel or received merchandise outside the territorial sea. A hovering vessel is defined as a vessel loitering offshore...often with the intent to introduce merchandise into the United States illegally. Departing the United States and transiting international or foreign
Guedes, R.M.C.; Calliari, L.J.; Holland, K.T.; Plant, N.G.; Pereira, P.S.; Alves, F.N.A.
2011-01-01
Time-exposure intensity (averaged) images are commonly used to locate the nearshore sandbar position (xb), based on the cross-shore locations of maximum pixel intensity (xi) of the bright bands in the images. It is not known, however, how the breaking patterns seen in Variance images (i.e. those created through standard deviation of pixel intensity over time) are related to the sandbar locations. We investigated the suitability of both Time-exposure and Variance images for sandbar detection within a multiple bar system on the southern coast of Brazil, and verified the relation between wave breaking patterns, observed as bands of high intensity in these images and cross-shore profiles of modeled wave energy dissipation (xD). Not only is Time-exposure maximum pixel intensity location (xi-Ti) well related to xb, but also to the maximum pixel intensity location of Variance images (xi-Va), although the latter was typically located 15m offshore of the former. In addition, xi-Va was observed to be better associated with xD even though xi-Ti is commonly assumed as maximum wave energy dissipation. Significant wave height (Hs) and water level (??) were observed to affect the two types of images in a similar way, with an increase in both Hs and ?? resulting in xi shifting offshore. This ??-induced xi variability has an opposite behavior to what is described in the literature, and is likely an indirect effect of higher waves breaking farther offshore during periods of storm surges. Multiple regression models performed on xi, Hs and ?? allowed the reduction of the residual errors between xb and xi, yielding accurate estimates with most residuals less than 10m. Additionally, it was found that the sandbar position was best estimated using xi-Ti (xi-Va) when xb was located shoreward (seaward) of its mean position, for both the first and the second bar. Although it is unknown whether this is an indirect hydrodynamic effect or is indeed related to the morphology, we found that this behavior can be explored to optimize sandbar estimation using video imagery, even in the absence of hydrodynamic data. ?? 2011 Elsevier B.V..
Characterizing habitat suitability for a central-place forager in a dynamic marine environment.
Briscoe, Dana K; Fossette, Sabrina; Scales, Kylie L; Hazen, Elliott L; Bograd, Steven J; Maxwell, Sara M; McHuron, Elizabeth A; Robinson, Patrick W; Kuhn, Carey; Costa, Daniel P; Crowder, Larry B; Lewison, Rebecca L
2018-03-01
Characterizing habitat suitability for a marine predator requires an understanding of the environmental heterogeneity and variability over the range in which a population moves during a particular life cycle. Female California sea lions ( Zalophus californianus ) are central-place foragers and are particularly constrained while provisioning their young. During this time, habitat selection is a function of prey availability and proximity to the rookery, which has important implications for reproductive and population success. We explore how lactating females may select habitat and respond to environmental variability over broad spatial and temporal scales within the California Current System. We combine near-real-time remotely sensed satellite oceanography, animal tracking data ( n = 72) from November to February over multiple years (2003-2009) and Generalized Additive Mixed Models (GAMMs) to determine the probability of sea lion occurrence based on environmental covariates. Results indicate that sea lion presence is associated with cool ( <14°C ), productive waters, shallow depths, increased eddy activity, and positive sea-level anomalies. Predictive habitat maps generated from these biophysical associations suggest winter foraging areas are spatially consistent in the nearshore and offshore environments, except during the 2004-2005 winter, which coincided with an El Niño event. Here, we show how a species distribution model can provide broadscale information on the distribution of female California sea lions during an important life history stage and its implications for population dynamics and spatial management.
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 1 2014-10-01 2014-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-02-03
... incentivize offshore wind energy development. While a state may promote such development through activities such as the creation of financial incentives, it is important to note that an offshore wind project... evaluate and determine areas of the OCS that may be suitable for offshore wind energy development. This...
Federal Register 2010, 2011, 2012, 2013, 2014
2013-01-04
... Offshore Wind Collaborative,'' a public-private entity consisting of NYPA, the Long Island Power Authority... Island-New York City Offshore Wind Project'', is designed to generate at least 350 megawatts (MW) of electricity from offshore wind resources, with the ability to expand generation capacity to as much as 700 MW...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 33 Navigation and Navigable Waters 3 2013-07-01 2013-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 33 Navigation and Navigable Waters 3 2012-07-01 2012-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 33 Navigation and Navigable Waters 3 2014-07-01 2014-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2010 CFR
2010-07-01
... 33 Navigation and Navigable Waters 3 2010-07-01 2010-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 33 Navigation and Navigable Waters 3 2011-07-01 2011-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
76 FR 24813 - Safety Zone; Fourth Annual Offshore Challenge, Sunny Isles Beach, FL
Federal Register 2010, 2011, 2012, 2013, 2014
2011-05-03
... Annual Offshore Challenge will consist of a series of high-speed boat races. The boat races are scheduled... Events, LLC is hosting the Fourth Annual Offshore Challenge, a series of high-speed boat races. The Fourth Annual Offshore Challenge will commence on June 17, 2011 and conclude on June 19, 2011. The boat...
Offshore Wind Jobs and Economic Development Impacts in the United States: Four Regional Scenarios
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, S.; Keyser, D.; Flores-Espino, F.
This report uses the offshore wind Jobs and Economic Development Impacts (JEDI) model and provides four case studies of potential offshore deployment scenarios in different regions of the United States: the Southeast, the Great Lakes, the Gulf Coast, and the Mid-Atlantic. Researchers worked with developers and industry representatives in each region to create potential offshore wind deployment and supply chain growth scenarios, specific to their locations. These scenarios were used as inputs into the offshore JEDI model to estimate jobs and other gross economic impacts in each region.
Construction of VLCC marine oil storage cost index system
NASA Astrophysics Data System (ADS)
Li, Yuan; Li, Yule; Lu, Jinshu; Wu, Wenfeng; Zhu, Faxin; Chen, Tian; Qin, Beichen
2018-04-01
VLCC as the research object, the basic knowledge of VLCC is summarized. According to the phenomenon that VLCC is applied to offshore oil storage gradually, this paper applies the theoretical analysis method to analyze the excess capacity from VLCC, the drop of oil price, the aging VLCC is more suitable for offshore storage The paper analyzes the reason of VLCC offshore oil storage from three aspects, analyzes the cost of VLCC offshore storage from the aspects of manpower cost and shipping cost, and constructs the cost index system of VLCC offshore oil storage.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walt
2015-11-12
Specifically, the work under this CRADA includes, but is not limited to, the development of test procedures for an offshore test site in Delaware waters; testing of installed offshore wind turbines; performance monitoring of those turbines; and a program of research and development on offshore wind turbine blades, components, coatings, foundations, installation and construction of bottom-fixed structures, environmental impacts, policies, and more generally on means to enhance the reliability, facilitate permitting, and reduce costs for offshore wind turbines. This work will be conducted both at NREL's National Wind Technology Center and participant facilities, as well as the established offshore windmore » test sites.« less
NASA Astrophysics Data System (ADS)
Bennett, J. T.; Sorlien, C. C.; Cormier, M.; Bauer, R. L.
2011-12-01
The San Andreas fault system is distributed across hundreds of kilometers in southern California. This transform system includes offshore faults along the shelf, slope and basin- comprising part of the Inner California Continental Borderland. Previously, offshore faults have been interpreted as being discontinuous and striking parallel to the coast between Long Beach and San Diego. Our recent work, based on several thousand kilometers of deep-penetration industry multi-channel seismic reflection data (MCS) as well as high resolution U.S. Geological Survey MCS, indicates that many of the offshore faults are more geometrically continuous than previously reported. Stratigraphic interpretations of MCS profiles included the ca. 1.8 Ma Top Lower Pico, which was correlated from wells located offshore Long Beach (Sorlien et. al. 2010). Based on this age constraint, four younger (Late) Quaternary unconformities are interpreted through the slope and basin. The right-lateral Newport-Inglewood fault continues offshore near Newport Beach. We map a single fault for 25 kilometers that continues to the southeast along the base of the slope. There, the Newport-Inglewood fault splits into the San Mateo-Carlsbad fault, which is mapped for 55 kilometers along the base of the slope to a sharp bend. This bend is the northern end of a right step-over of 10 kilometers to the Descanso fault and about 17 km to the Coronado Bank fault. We map these faults for 50 kilometers as they continue over the Mexican border. Both the San Mateo - Carlsbad with the Newport-Inglewood fault and the Coronado Bank with the Descanso fault are paired faults that form flower structures (positive and negative, respectively) in cross section. Preliminary kinematic models indicate ~1km of right-lateral slip since ~1.8 Ma at the north end of the step-over. We are modeling the slip on the southern segment to test our hypothesis for a kinematically continuous right-lateral fault system. We are correlating four younger Quaternary unconformities across portions of these faults to test whether the post- ~1.8 Ma deformation continues into late Quaternary. This will provide critical information for a meaningful assessment of the seismic hazards facing Newport beach through metropolitan San Diego.
NASA Astrophysics Data System (ADS)
Romagnan, Jean Baptiste; Aldamman, Lama; Gasparini, Stéphane; Nival, Paul; Aubert, Anaïs; Jamet, Jean Louis; Stemmann, Lars
2016-10-01
The present work aims to show that high throughput imaging systems can be useful to estimate mesozooplankton community size and taxonomic descriptors that can be the base for consistent large scale monitoring of plankton communities. Such monitoring is required by the European Marine Strategy Framework Directive (MSFD) in order to ensure the Good Environmental Status (GES) of European coastal and offshore marine ecosystems. Time and cost-effective, automatic, techniques are of high interest in this context. An imaging-based protocol has been applied to a high frequency time series (every second day between April 2003 to April 2004 on average) of zooplankton obtained in a coastal site of the NW Mediterranean Sea, Villefranche Bay. One hundred eighty four mesozooplankton net collected samples were analysed with a Zooscan and an associated semi-automatic classification technique. The constitution of a learning set designed to maximize copepod identification with more than 10,000 objects enabled the automatic sorting of copepods with an accuracy of 91% (true positives) and a contamination of 14% (false positives). Twenty seven samples were then chosen from the total copepod time series for detailed visual sorting of copepods after automatic identification. This method enabled the description of the dynamics of two well-known copepod species, Centropages typicus and Temora stylifera, and 7 other taxonomically broader copepod groups, in terms of size, biovolume and abundance-size distributions (size spectra). Also, total copepod size spectra underwent significant changes during the sampling period. These changes could be partially related to changes in the copepod assemblage taxonomic composition and size distributions. This study shows that the use of high throughput imaging systems is of great interest to extract relevant coarse (i.e. total abundance, size structure) and detailed (i.e. selected species dynamics) descriptors of zooplankton dynamics. Innovative zooplankton analyses are therefore proposed and open the way for further development of zooplankton community indicators of changes.
Wilberg, Michael J.; Bronte, Charles R.; Hansen, Michael J.
2004-01-01
Understanding fishing fleet dynamics is important when using fishery dependent data to infer the status of fish stocks. We analyzed data from mandatory catch reports from the commercial lake trout (Salvelinus namaycush) fishery in Michigan waters of Lake Superior during 1929-1961, a period when lake trout populations collapsed through the combined effects of overfishing and sea lamprey (Petromyzon marinus) predation. The number of full-time fishermen increased during 1933-1943 and then decreased during 1943-1957. Addition of new fishermen was related to past yield, market prices, World War II draft exemptions, and lost fishing opportunities in Lake Huron and Lake Michigan. Loss of existing fishermen was related to declining lake trout density. Large mesh (a?Y 114-mm stretch-measure) gill net effort increased during 1929-1951 because fishermen fished more net inshore as lake trout density declined, even though catch per effort (CPE) was often higher in deeper waters. The most common gill net mesh size increased from 114-mm to 120-mm stretch-measure during 1929-1957, as lake trout growth increased. More effort was fished inshore than offshore and the amount of inshore effort was less variable over time than offshore effort. Relatively stable yield was maintained by increasing gill net effort and by moving some effort to better grounds. Because fishing-up caused yield and CPE to remain high despite declining lake trout abundance, caution must be used when basing goals for lake trout restoration on historical fishery indices.
Aerodynamic Simulation of the MARINTEK Braceless Semisubmersible Wave Tank Tests
NASA Astrophysics Data System (ADS)
Stewart, Gordon; Muskulus, Michael
2016-09-01
Model scale experiments of floating offshore wind turbines are important for both platform design for the industry as well as numerical model validation for the research community. An important consideration in the wave tank testing of offshore wind turbines are scaling effects, especially the tension between accurate scaling of both hydrodynamic and aerodynamic forces. The recent MARINTEK braceless semisubmersible wave tank experiment utilizes a novel aerodynamic force actuator to decouple the scaling of the aerodynamic forces. This actuator consists of an array of motors that pull on cables to provide aerodynamic forces that are calculated by a blade-element momentum code in real time as the experiment is conducted. This type of system has the advantage of supplying realistically scaled aerodynamic forces that include dynamic forces from platform motion, but does not provide the insights into the accuracy of the aerodynamic models that an actual model-scale rotor could provide. The modeling of this system presents an interesting challenge, as there are two ways to simulate the aerodynamics; either by using the turbulent wind fields as inputs to the aerodynamic model of the design code, or by surpassing the aerodynamic model and using the forces applied to the experimental turbine as direct inputs to the simulation. This paper investigates the best practices of modeling this type of novel aerodynamic actuator using a modified wind turbine simulation tool, and demonstrates that bypassing the dynamic aerodynamics solver of design codes can lead to erroneous results.
NASA Astrophysics Data System (ADS)
Ostrander, C. M.; Kendall, B.; Roy, M.; Romaniello, S. J.; Nunn, S. J.; Gordon, G. W.; Olson, S. L.; Lyons, T. W.; Zheng, W.; Anbar, A. D.
2016-12-01
Molybdenum (Mo) isotope compositions of Archean shales can provide important insights into ocean and atmosphere redox dynamics prior to the Great Oxidation Event (GOE). Unfortunately, the relatively limited Mo isotope database and small number of sample sets for Archean shales do not allow for in-depth reconstructions and specifically make it difficult to differentiate global from local effects. To accurately estimate the Mo isotope composition of Archean seawater and better investigate the systematics of local and global redox, more complete sample sets are needed. We carried out a Mo isotope analysis of the euxinic 2.65 Ga Roy Hill Shale sampled in two stratigraphically correlated cores, and revisited the well-studied euxinic 2.5 Ga Mt. McRae Shale in higher resolution. Our data show contrasting Mo isotope values in the 2.65 Ga Roy Hill Shale between near- and offshore depositional environments, with systematically heavier isotope values in the near-shore environment. High-resolution analysis of the Mt. McRae Shale yields oscillating Mo concentrations and isotope values at the cm- to dm-scale during the well-characterized "whiff of O2" interval, with the heaviest isotope values measured during euxinic deposition. Variations in the measured isotope values within each section are primarily associated with redox changes in the local depositional environment and amount of detrital content. Both non-quantitative removal of Mo associated with incorporation into non-euxinic sediments and large detrital Mo contributions shift some measured isotopic compositions toward lighter values. This is readily apparent in the near-shore Roy Hill Shale section and the Mt. McRae Shale, but may not fully explain variations observed in the offshore Roy Hill Shale deposit. Here, euxinic deposition is not accompanied by Mo enrichments or isotopic compositions as heavy as the near-shore equivalent, even after detrital correction. This disparity between the near- and offshore environment could signify spatial variation in the Mo isotope composition of 2.65 Ga seawater and highlights the need for multi-site and high-resolution studies in order to best assess paleoenvironmental conditions.
NASA Astrophysics Data System (ADS)
Heinrich, C.; Feldens, P.; Schwarzer, K.
2017-06-01
Hydroacoustic surveys are common tools for habitat investigation and monitoring that aid in the realisation of the aims of the EU Marine Directives. However, the creation of habitat maps is difficult, especially when benthic organisms densely populate the seafloor. This study assesses the sensitivity of entropy and homogeneity image texture parameters derived from backscatter strength data to benthic habitats dominated by the tubeworm Lanice conchilega. Side scan sonar backscatter surveys were carried out in 2010 and 2011 in the German Bight (southern North Sea) at two sites approx. 20 km offshore of the island of Sylt. Abiotic and biotic seabed facies, such as sorted bedforms, areas of fine to medium sand and L. conchilega beds with different tube densities, were identified and characterised based on manual expert analysis and image texture analysis. Ground truthing was performed by grab sampling and underwater video observations. Compared to the manual expert analysis, the k- means classification of image textures proves to be a semi-automated method to investigate small-scale differences in a biologically altered seabed from backscatter data. The texture parameters entropy and homogeneity appear linearly interrelated with tube density, the former positively and the latter negatively. Reinvestigation of one site after 1 year showed an extensive change in the distribution of the L. conchilega-altered seabed. Such marked annual fluctuations in L. conchilega tube cover demonstrate the need for dense time series and high spatial coverage to meaningfully monitor ecological patterns on the seafloor with acoustic backscatter methods in the study region and similar settings worldwide, particularly because the sand mason plays a pivotal role in promoting biodiversity. In this context, image texture analysis provides a cost-effective and reproducible method to track biologically altered seabeds from side scan sonar backscatter signatures.
NASA Astrophysics Data System (ADS)
Benadja, Mounir
Dans ce travail est presente un systeme de generation d'energie d'un parc eolien offshore et un systeme de transport utilisant les stations VSC-HVDC connectees au reseau principal AC onshore. Trois configurations ont ete etudiees, modelisees et validees par simulation. Dans chacune des configurations, des contributions ameliorant les cotes techniques et economiques sont decrites ci-dessous : La premiere contribution concerne un nouvel algorithme MPPT (Maximum Power Point Tracking) utilise pour l'extraction de la puissance maximale disponible dans les eoliennes des parcs offshores. Cette technique d'extraction du MPPT ameliore le rendement energetique de la chaine de conversion des energies renouvelables notamment l'energie eolienne a petite et a grande echelles (parc eolien offshore) qui constitue un probleme pour les constructeurs qui se trouvent confrontes a developper des dispositifs MPPT simples, moins couteux, robustes, fiables et capable d'obtenir un rendement energetique maximal. La deuxieme contribution concerne la reduction de la taille, du cout et de l'impact des defauts electriques (AC et DC) dans le systeme construit pour transporter l'energie d'un parc eolien offshore (OWF) vers le reseau principal AC onshore via deux stations 3L-NPC VSCHVDC. La solution developpee utilise des observateurs non-lineaires bases sur le filtre de Kalman etendu (EKF). Ce filtre permet d'estimer la vitesse de rotation et la position du rotor de chacune des generatrices du parc eolien offshore et de la tension du bus DC de l'onduleur DC-AC offshore et des deux stations 3L-NPC-VSC-HVDC (offshore et onshore). De plus, ce developpement du filtre de Kalman etendu a permis de reduire l'impact des defauts AC et DC. Deux commandes ont ete utilisees, l'une (commande indirect dans le plan abc) avec EKF integre destinee pour controler le convertisseur DC-AC offshore et l'autre (commande d-q) avec EKF integre pour controler les convertisseurs des deux stations AC-DC et DC-AC tout en tenant compte des entrees de chacune des stations. L'integration des observateurs non-lineaires (EKF) dans le controle des convertisseurs permet de resoudre le probleme des incertitudes de mesure, des incertitudes dans la modelisation, en cas du dysfonctionnement ou de panne des capteurs de mesure ainsi que le probleme de l'impact des defauts (AC et DC) sur la qualite d'energie dans les systemes de transmission. Ces estimations contribuent a rendre le cout global du systeme moins cher et sa taille moins encombrante ainsi que la reduction de l'impact des defauts (AC et DC) sur le systeme. La troisieme contribution concerne la reduction de la taille, du cout et de l'impact des defauts electriques (AC et DC) dans le systeme construit pour transporter l'energie d'un parc eolien offshore (OWF) vers le reseau principal AC onshore via deux stations VSC-HVDC. La solution developpee utilise des observateurs non-lineaires bases sur le filtre de Kalman etendu (EKF). Ce filtre permet d'estimer la vitesse de rotation et la position du rotor de chacune des generatrices du parc eolien et de la tension du bus DC de l'onduleur DC-AC offshore. La contribution porte surtout sur le developpement des deux commandes des deux stations. La premiere, la commande non-lineaire modifiee pour controler le premier convertisseur de la station VSC-HVDC offshore assurant le transfert de la puissance generee par le parc eolien vers la station VSC-HVDC onshore. La deuxieme commande non-lineaire modifiee avec integration de la regulation de la tension du bus DC et de la commande a modele de reference adaptative (MRAC) pour la compensation des surintensites et surtensions durant les defauts AC et DC. On peut constater que lors d'un defaut AC au PCC (Point of Common Coupling) du cote reseau onshore, la profondeur de l'impact du defaut AC sur l'amplitude des courants du reseau principal AC onshore qui etait reduit a 60% par les travaux de recherche (Erlich, Feltes et Shewarega, 2014), comparativement a la nouvelle commande proposee MRAC qui reduit la profondeur de l'impact a 35%. Lors de l'apparition des defauts AC et DC, une reduction de l'impact des defauts sur l'amplitude des courants de reseau AC terrestre et du temps de reponse a ete observee et la stabilite du systeme a ete renforcee par l'utilisation de la commande adaptative basee sur le modele de reference MRAC. La quatrieme contribution concerne une nouvelle commande basee sur le mode de glissement (SM) appliquee pour la station VSC-HVDC qui relie le parc eolien offshore (OWF) au reseau principal AC. Ce parc est compose de dix eoliennes basees sur des generatrices synchrones a aimant permanent (VSWT/PMSGs) connectees en parallele et chacune est controlee par son propre convertisseur DC-DC. Une comparaison des performances entre la commande SM et de la commande non-lineaire avec des controleurs PI pour les deux conditions (presence et absence de defaut DC) a ete analysee et montre la superiorite de la commande par SM. Un prototype du systeme etudie a echelle reduite a ete realise et teste au laboratoire GREPCI en utilisant la carte dSPACE-DS1104 pour la validation experimentale. L'analyse et la simulation des systemes etudies sont developpees sous l'environnement Matlab/Simulink/Simpowersystem. Les resultats obtenus a partir des configurations developpees sont valides par simulation et par experimentation. Les performances sont tres satisfaisantes du point de vue reponse dynamique, reponse en regime permanent, stabilite du systeme et qualite de l'energie.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Pandey, D. K., E-mail: pandey@ncaor.org; Pandey, A.; Rajan, S.
2011-03-15
The Deccan basalts in central western India are believed to occupy large onshore-offshore area. Using geophysical and geological observations, onshore sub-surface structural information has been widely reported. On the contrary, information about offshore structural variations has been inadequate due to scarcity of marine geophysical data and lack of onshore-offshore lithological correlations. Till date, merely a few geophysical studies are reported that gauge about the offshore extent of Deccan Traps and the Mesozoic sediments (pre-Deccan). To fill this gap in knowledge, in this article, we present new geophysical evidences to demonstrate offshore continuation of the Deccan volcanics and the Mesozoic sediments.more » The offshore multi-channel seismic and onshore-offshore lithological correlations presented here confirm that the Mesozoic sedimentary column in this region is overlain by 0.2-1.2-km-thick basaltic cover. Two separate phases of Mesozoic sedimentation, having very distinctive physical and lithological characteristics, are observed between overlying basaltic rocks and underlying Precambrian basement. Using onshore-offshore seismic and borehole data this study provides new insight into the extent of the Deccan basalts and the sub-basalt structures. This study brings out a much clearer picture than that was hitherto available about the offshore continuation of the Deccan Traps and the Mesozoic sediments of Kachchh. Further, its implications in identifying long-term storage of anthropogenic CO{sub 2} within sub-basalt targets are discussed. The carbon sequestration potential has been explored through the geological assessment in terms of the thickness of the strata as well as lithology.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Ramli, N.
1986-01-01
The J sandstone is an important hydrocarbon-bearing reservoir in the southeastern part of the Malay basin. The lower and upper members of the J sandstone are composed of shoreface and offshore sediments. The shoreface sequence contains depositional structures characteristic of a barred wave- and storm-dominated shoreface. Each shoreface sequence is laterally associated with a series of stacked offshore bars. Offshore bars can be subdivided into proximal and distal types. Two types of proximal offshore bars have been identified: (1) proximal bars formed largely above fair-weather wave base (inner proximal bars), and (2) proximal bars formed below fair-weather wave base (outermore » proximal bars). The inner proximal bars are closely associated with the shoreface sequence and are similar to the middle and lower shoreface. The presence of poorly sorted, polymodal, very fine to very coarse-grained sandstone beneath well-sorted crestal sandstones of inner proximal bars suggests that these offshore bars may have been deposited rapidly by storms. The crests of the inner proximal offshore bars were subsequently reworked by fair-weather processes, and the crests of the outer proximal and distal offshore bars were reworked by waning storm currents and oscillatory waves. Thick marine shales overlying offshore bars contain isolated sheet sandstones. Each sheet sandstone exhibits features that may be characteristic of distal storm shelf deposits. 15 figures, 2 tables.« less
2016 Offshore Wind Market Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walter; Beiter, Philipp; Schwabe, Paul
The 2016 Offshore Wind Technologies Market Report is intended to provide stakeholders with quantitative information about the offshore wind market, technology, and cost trends in the United States and worldwide.
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL... plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a...
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL... plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a...
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2010 CFR
2010-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and... a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a) Fitness...
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL... plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a...
ERIC Educational Resources Information Center
Zambon, Franco
A major applied research project evaluated the effectiveness of a novel course, Offshore Survival Systems Training. The major course outcome that was evaluated was the increase in frequency with which offshore personnel correctly launched the covered powered survival craft on offshore drilling rigs. The evaluation methodology included the 628…
Offshore Wind Jobs and Economic Development Impact: Four Regional Scenarios (Presentation)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, S.
NREL's Jobs and Economic Development Impact (JEDI) Model for Offshore Wind, is a computer tool for studying the economic impacts of fixed-bottom offshore wind projects in the United States. This presentation provides the results of an analysis of four offshore wind development scenarios in the Southeast Atlantic, Great Lakes, Mid-Atlantic, and Gulf of Mexico regions.
75 FR 418 - Certificate of Alternative Compliance for the Offshore Supply Vessel KELLY ANN CANDIES
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-05
... Compliance for the Offshore Supply Vessel KELLY ANN CANDIES AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel KELLY ANN CANDIES as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate... Purpose The offshore supply vessel KELLY ANN CANDIES will be used for offshore supply operations. Full...
75 FR 4547 - High Island Offshore System, L.L.C.; Notice of Application
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-28
... Offshore System, L.L.C.; Notice of Application January 21, 2010. Take notice that on January 12, 2010, High Island Offshore System, L.L.C. (HIOS), 1100 Louisiana St., Houston, Texas 77002, filed in Docket No. CP10... directed to Jeff Molinaro, High Island Offshore System, L.L.C., 1100 Louisiana St., Houston, Texas 77002...
NREL Offshore Balance-of-System Model
DOE Office of Scientific and Technical Information (OSTI.GOV)
Maness, Michael; Maples, Benjamin; Smith, Aaron
The U.S. Department of Energy (DOE) has investigated the potential for 20% of nationwide electricity demand to be generated from wind by 2030 and, more recently, 35% by 2050. Achieving this level of wind power generation may require the development and deployment of offshore wind technologies. DOE (2008) has indicated that reaching these 2030 and 2050 scenarios could result in approximately 10% and 20%, respectively, of wind energy generation to come from offshore resources. By the end of 2013, 6.5 gigawatts of offshore wind were installed globally. The first U.S. project, the Block Island Wind Farm off the coast ofmore » Rhode Island, has recently begun operations. One of the major reasons that offshore wind development in the United States is lagging behind global trends is the high capital expenditures required. An understanding of the costs and associated drivers of building a commercial-scale offshore wind plant in the United States will inform future research and help U.S. investors feel more confident in offshore wind development. In an effort to explain these costs, the National Renewable Energy Laboratory has developed the Offshore Balance-of-System model.« less
Finite element methods in a simulation code for offshore wind turbines
NASA Astrophysics Data System (ADS)
Kurz, Wolfgang
1994-06-01
Offshore installation of wind turbines will become important for electricity supply in future. Wind conditions above sea are more favorable than on land and appropriate locations on land are limited and restricted. The dynamic behavior of advanced wind turbines is investigated with digital simulations to reduce time and cost in development and design phase. A wind turbine can be described and simulated as a multi-body system containing rigid and flexible bodies. Simulation of the non-linear motion of such a mechanical system using a multi-body system code is much faster than using a finite element code. However, a modal representation of the deformation field has to be incorporated in the multi-body system approach. The equations of motion of flexible bodies due to deformation are generated by finite element calculations. At Delft University of Technology the simulation code DUWECS has been developed which simulates the non-linear behavior of wind turbines in time domain. The wind turbine is divided in subcomponents which are represented by modules (e.g. rotor, tower etc.).
Hydraulics and geology related to beach restoration in Lee County, Florida. [Captiva Island
NASA Technical Reports Server (NTRS)
Winton, T. (Principal Investigator); Brooks, H. K.; Degner, J.; Ruth, B.
1981-01-01
The erosion problem on Captiva Island is discussed. It is due to a deficit in the sand budget of the littoral drift system; a system with losses due to attrition of the particles and mass losses into the lagoons, to offshore, and to lateral transport. The effect that reopening Blind Pass would have, and the placement of sediment retaining structures in the surf zone at the northern and southern limits of the Captiva beach system, wave examined. A geological approach was used to study the origin and dynamic changes that have occurred. Through hydraulic modeling, changes that will occur by reopening and stabilizing Blind Pass are predicted. It is concluded that if the island is to be stabilized, beach nourishment with proper amounts and particle size is a necessity and that jetties adequate to restrict lateral and offshore losses are essential. It is shown that the reopening of Blind Pass would have minimal effects on the passes to the north and south, and would improve the environmental conditions in the sound with no adverse effects on the beach system.
Lake Michigan offshore ecosystem structure and food web changes from 1987 to 2008
Rogers, Mark W.; Bunnell, David B.; Madenjian, Charles P.; Warner, David M.
2014-01-01
Ecosystems undergo dynamic changes owing to species invasions, fisheries management decisions, landscape modifications, and nutrient inputs. At Lake Michigan, new invaders (e.g., dreissenid mussels (Dreissena spp.), spiny water flea (Bythotrephes longimanus), round goby (Neogobius melanostomus)) have proliferated and altered energy transfer pathways, while nutrient concentrations and stocking rates to support fisheries have changed. We developed an ecosystem model to describe food web structure in 1987 and ran simulations through 2008 to evaluate changes in biomass of functional groups, predator consumption, and effects of recently invading species. Keystone functional groups from 1987 were identified as Mysis, burbot (Lota lota), phytoplankton, alewife (Alosa pseudoharengus), nonpredatory cladocerans, and Chinook salmon (Oncorhynchus tshawytscha). Simulations predicted biomass reductions across all trophic levels and predicted biomasses fit observed trends for most functional groups. The effects of invasive species (e.g., dreissenid grazing) increased across simulation years, but were difficult to disentangle from other changes (e.g., declining offshore nutrient concentrations). In total, our model effectively represented recent changes to the Lake Michigan ecosystem and provides an ecosystem-based tool for exploring future resource management scenarios.
Coastal Erosion in a Coral Reef Island, Taiping Island, South China Sea
NASA Astrophysics Data System (ADS)
Su, S.; Ma, G.; Liang, M.; Chu, J.
2011-12-01
Reef flats surrounding islands are known to dissipate much offshore wave energy, and thereby protect beaches from erosion. Taiping Island, the largest coral reef islands of the Spratly Islands in the South China Sea, has been observed the shorelines erosion on the southwest coast over past decades. It is recognized that wave and current processes across coral reefs affect reef-island development and morphology. A number of studies suggest effects of climate changes, sea-level rise and storm-intensity increase, determine the magnitude of wave energy on the reef platform and will likely intensify the erosion. The topographical change in the local region, the southwest reef flat was dredged a channel for navigation, may be a significant factor in influencing current characteristics. Numerical modeling is used to describe both hydrodynamics and sediment dynamics because there are no field measurements available around the reef flat. Field observations off the island conducted in August 2004 and November 2005 provides offshore wave characteristics of the predominant wind seasons. Numerical simulations perform the spatial and temporal variation of waves and current patterns and coastal erosion potential on the reef platform.
Study on optimized decision-making model of offshore wind power projects investment
NASA Astrophysics Data System (ADS)
Zhao, Tian; Yang, Shangdong; Gao, Guowei; Ma, Li
2018-02-01
China’s offshore wind energy is of great potential and plays an important role in promoting China’s energy structure adjustment. However, the current development of offshore wind power in China is inadequate, and is much less developed than that of onshore wind power. On the basis of considering all kinds of risks faced by offshore wind power development, an optimized model of offshore wind power investment decision is established in this paper by proposing the risk-benefit assessment method. To prove the practicability of this method in improving the selection of wind power projects, python programming is used to simulate the investment analysis of a large number of projects. Therefore, the paper is dedicated to provide decision-making support for the sound development of offshore wind power industry.
Assessment of Technologies Used to Characterize Wildlife Populations in the Offshore Environment
DOE Office of Scientific and Technical Information (OSTI.GOV)
Duberstein, Corey A.; Tagestad, Jerry D.; Larson, Kyle B.
Wind energy development in the offshore environment can have both direct and indirect effects on wildlife, yet little is known about most species that use near-shore and offshore waters due in part to the difficulty involved in studying animals in remote, challenging environments. Traditional methods to characterize offshore wildlife populations include shipboard observations. Technological advances have provided researches with an array of technologies to gather information about fauna from afar. This report describes the use and application of radar, thermal and optical imagery, and acoustic detection technologies for monitoring birds, bats, and marine mammals in offshore environments.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Baldock, Nick; Sevilla, Fernando; Redfern, Robin
The United States Department of Energy (DOE) awarded a grant to GL Garrad Hassan (GL GH) to investigate the logistics, opportunities, and costs associated with existing and emerging installation and operation and maintenance (O&M) activities at offshore wind projects as part of the DOE’s program to reduce barriers facing offshore wind project development in the United States (U.S.). This report (the Report) forms part of Subtopic 5.3 “Optimized Installation, Operation and Maintenance Strategies Study” which in turn is part of the “Removing Market Barriers in U.S. Offshore Wind” set of projects for the DOE. The purpose of Subtopic 5.3 ismore » to aid and facilitate informed decision-making regarding installation and O&M during the development, installation, and operation of offshore wind projects in order to increase efficiency and reduce the levelized cost of energy (LCoE). Given the large area of U.S. territorial waters, the generally higher mean wind speeds offshore, and the proximity to the coast of many large U.S. cities, offshore wind power has the potential to become a significant contributor of energy to U.S. markets. However, for the U.S. to ensure that the development of offshore wind energy projects is carried out in an efficient and cost-effective manner, it is important to be cognizant of the current and emerging practices in both the domestic and international offshore wind energy industries. The U.S. can harness the experience gained globally and combine this with the skills and assets of an already sizeable onshore wind industry, as well as the resources of a mature offshore oil and gas industry, to develop a strong offshore wind sector. The work detailed in this report is aimed at assisting with that learning curve, particularly in terms of offshore specific installation and O&M activities. This Report and the Installation and O&M LCoE Analysis Tool, which were developed together by GL GH as part of this study, allow readers to identify, model and probe the economic merits and sensitivities of various approaches to construction and O&M practices, using illustrative offshore projects across a wide range of alternative offshore development areas located in U.S. waters. The intention is to assist decision-makers in clearly understanding the relative economic benefits of both conventional and novel construction installation methodologies and maintenance techniques within the critical parameters of a Project’s LCoE.« less
Work, eat and sleep: towards a healthy ageing at work program offshore.
Riethmeister, Vanessa; Brouwer, Sandra; van der Klink, Jac; Bültmann, Ute
2016-02-09
Health management tools need to be developed to foster healthy ageing at work and sustain employability of ageing work-forces. The objectives of this study were to 1) perform a needs assessment to identify the needs of offshore workers in the Dutch Continental Shelf with regard to healthy ageing at work and 2) to define suitable program objectives for a future healthy ageing at work program in the offshore working population. A mixed methods design was used applying an intervention mapping procedure. Qualitative data were gathered in N = 19 semi-structured interviews and six focus-group sessions (N = 49). Qualitative data were used to develop a questionnaire, which was administered among N = 450 offshore workers. Subgroup analyses were performed to investigate age-related differences relating to health status and work-related factors. The importance of good working environments, food, as well as sleep/fatigue management was identified by the qualitative data analysis. A total of 260 offshore workers completed the questionnaire. Significant differences in work ability were found between offshore workers aged <45 and 45-54 years (mean 8.63 vs. 8.19; p = 0.005) and offshore workers aged <45 and >55 years (mean 8.63 vs. 8.22; p = 0.028). Offshore workers had a high BMI (M = 27.06, SD = 3.67), with 46 % classified as overweight (BMI 25-30) and 21 % classified as obese (BMI >30). A significant difference in BMI was found between offshore workers aged <45 and ≥55 years (mean 26.3 vs. 28.6; p <0.001). In total, 73 % of offshore workers reported prolonged fatigue. A significant difference in fatigue scores was found between offshore workers aged <45 and ≥55 years (mean 36.0 vs. 37.6; p = 0.024). Further, a "dip" was reported by 41 % of offshore workers. Dips were mainly experienced at day 10 or 11 (60 %), with 45 % experiencing the dip both as physical and mental fatigue, whereas 39 % experienced the dip as only mental fatigue. Both qualitative and quantitative analyses identified work, food and sleep/fatigue management as most important program objectives for a healthy ageing at work and sustainable employability program offshore. Future studies should investigate possible causes of dip occurrences and high fatigue scores to identify suitable interventions.
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE... must I provide if I plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-07-13
... Compliance for the Offshore Supply Vessel/Well Stimulation Vessel BLUE TARPON AGENCY: Coast Guard, DHS... issued for the offshore supply vessel BLUE TARPON as required by 33 U.S.C. 1605(c) and 33 CFR 81.18... Regulation, Parts 81 and 89, has been issued for the offshore supply vessel BLUE TARPON, O.N. 1226288. The...
Using Sentinel-1 SAR satellites to map wind speed variation across offshore wind farm clusters
NASA Astrophysics Data System (ADS)
James, S. F.
2017-11-01
Offshore wind speed maps at 500m resolution are derived from freely available satellite Synthetic Aperture Radar (SAR) data. The method for processing many SAR images to derive wind speed maps is described in full. The results are tested against coincident offshore mast data. Example wind speed maps for the UK Thames Estuary offshore wind farm cluster are presented.
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
The onshore influence of offshore fresh groundwater
NASA Astrophysics Data System (ADS)
Knight, Andrew C.; Werner, Adrian D.; Morgan, Leanne K.
2018-06-01
Freshwater contained within the submarine extensions of coastal aquifers is increasingly proposed as a freshwater source for coastal communities. However, the extent to which offshore freshwater supports onshore pumping is currently unknown on a global scale. This study provides the first attempt to examine the likely prevalence of situations where offshore freshwater influences onshore salinities, considering various sites from around the world. The groundwater conditions in twenty-seven confined and semi-confined coastal aquifers with plausible connections to inferred or observed offshore freshwater are explored. The investigation uses available onshore salinities and groundwater levels, and offshore salinity knowledge, in combination with analytical modelling, to develop simplified conceptual models of the study sites. Seven different conceptual models are proposed based on the freshwater-saltwater extent and insights gained from analytical modelling. We consider both present-day and pre-development conditions in assessing potential modern contributions to offshore fresh groundwater. Conceptual models also include interpretations of whether offshore freshwater is a significant factor influencing onshore salinities and well pumping sustainability. The results indicate that onshore water levels have declined between pre-development and present-day conditions in fourteen of the fifteen regions for which pre-development data are available. Estimates of the associated steady-state freshwater extents show the potential for considerable offshore fresh groundwater losses accompanying these declines. Both present-day and pre-development heads are insufficient to account for the observed offshore freshwater in all cases where adequate data exist. This suggests that paleo-freshwater and/or aquifer heterogeneities contribute significantly to offshore freshwater extent. Present-day heads indicate that active seawater intrusion (SWI) will eventually impact onshore pumping wells at fourteen of the twenty-seven sites, while passive SWI is expected onshore in an additional ten regions. Albeit the number of field sites is limited, there is sufficient evidence to indicate that when offshore freshwater has an onshore linkage, it is being mined either passively or actively by onshore use. Thus, offshore freshwater should be assessed in coastal water balances presuming that it serves as an existing freshwater input, rather than as a new potential freshwater resource.
Foundations of Wind Turbines as Stepping Stones for Non-Indigenous Species in the Southern North Sea
NASA Astrophysics Data System (ADS)
De Mesel, I.; Degraer, S.; Kerckhof, F.; Schön, I.; Martens, K.
2016-02-01
Since 2008, offshore wind farms have been constructed in the shallow waters (<50m) of the Southern North Sea. At present, hundreds of turbines are operational and many more are planned. A new habitat for benthos has been created, with vertical hard structures in the offshore environment, extending from the sandy seabed to the sea surface. Monitoring in Belgian waters focussed on the succession of the fouling community in the sub- and intertidal zone, with special attention to non-indigenous species (NIS). A Metridium senile-Jassa herdmani dominated community developed in the subtidal, and only few NIS were present (3 out of a total of 90 species observed). Their presence was however most striking in the intertidal zone, where we identified 17 obligate intertidal species with about half of them being non-indigenous. This study confirmed the hypothesis that the introduced hard substrata within offshore wind farms play an important role in the establishment and the expansion of the population of both indigenous and non-indigenous species. Foundations of wind turbines strengthen the strategic position of NIS in the southern North Sea. An ongoing study on the population genetics of a fouling species (Patella vulgata) will, in combination with dispersal modelling, elucidate the dispersal pattern and connectivity with neighbouring areas, and the role of the foundations as stepping stones.
Yanagawa, Katsunori; Morono, Yuki; Yoshida-Takashima, Yukari; Eitoku, Masamitsu; Sunamura, Michinari; Inagaki, Fumio; Imachi, Hiroyuki; Takai, Ken; Nunoura, Takuro
2014-04-01
We studied the relationship between viral particle and microbial cell abundances in marine subsurface sediments from three geographically distinct locations in the continental margins (offshore of the Shimokita Peninsula of Japan, the Cascadia Margin off Oregon, and the Gulf of Mexico) and found depth variations in viral abundances among these sites. Viruses in sediments obtained offshore of the Shimokita and in the Cascadia Margin generally decreased with increasing depth, whereas those in sediments from the Gulf of Mexico were relatively constant throughout the investigated depths. In addition, the abundance ratios of viruses to microbial cells notably varied among the sites, ranging between 10(-3) and 10(1) . The subseafloor viral abundance offshore of the Shimokita showed a positive relationship with the microbial cell abundance and the sediment porosity. In contrast, no statistically significant relationship was observed in the Cascadia Margin and the Gulf of Mexico sites, presumably due to the long-term preservation of viruses from enzymatic degradation within the low-porosity sediments. Our observations indicate that viral abundance in the marine subsurface sedimentary environment is regulated not only by in situ production but also by the balance of preservation and decay, which is associated with the regional sedimentation processes in the geological settings. © 2013 Federation of European Microbiological Societies. Published by John Wiley & Sons Ltd. All rights reserved.
Offshore Energy Knowledge Exchange Workshop Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
none,
2012-04-12
A report detailing the presentations and topics discussed at the Offshore Energy Knowledge Exchange Workshop, an event designed to bring together offshore energy industry representatives to share information, best practices, and lessons learned.
Goldstein, Jason S; Watson, Winsor H
2015-02-01
Some egg-bearing (ovigerous) American lobsters (Homarus americanus) make seasonal inshore-to-offshore movements, subjecting their eggs to different thermal regimes than those of eggs carried by lobsters that do not make these movements. Our goal was to determine if differences in thermal regimes influence the rate of egg development and the subsequent time of hatch. We subjected ovigerous lobsters to typical inshore or offshore water temperatures from September to August in the laboratory (n=8 inshore and 8 offshore, each year) and in the field (n=8 each, inshore and offshore), over 2 successive years. Although the rate of egg development did not differ significantly between treatments in the fall (P∼0.570), eggs exposed to inshore thermal regimes developed faster in the spring (P<0.001). "Inshore" eggs hatched about 30 days earlier (mean=26 June) than "offshore" eggs (mean=27 July), and their time of development from the onset of eyespot to hatch was significantly shorter (inshore=287±11 days vs. offshore: 311.5±7.5 days, P=0.034). Associated growing degree-days (GDD) did not differ significantly between inshore and offshore thermal treatments (P=0.061). However, eggs retained by lobsters exposed to offshore thermal regimes accumulated more GDD in the winter than did eggs carried by inshore lobsters, while eggs exposed to inshore temperatures acquired them more rapidly in the spring. Results suggest that seasonal movements of ovigerous lobsters influence the time and location of hatching, and thus the transport and recruitment of larvae to coastal and offshore locations. © 2015 Marine Biological Laboratory.
Final Technical Report. DeepCwind Consortium Research Program. January 15, 2010 - March 31, 2013
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dagher, Habib; Viselli, Anthony; Goupee, Andrew
This is the final technical report for the U.S. Department of Energy-funded program, DE-0002981: DeepCwind Consortium Research Program. The project objective was the partial validation of coupled models and optimization of materials for offshore wind structures. The United States has a great opportunity to harness an indigenous abundant renewable energy resource: offshore wind. In 2010, the National Renewable Energy Laboratory (NREL) estimated there to be over 4,000 GW of potential offshore wind energy found within 50 nautical miles of the US coastlines (Musial and Ram, 2010). The US Energy Information Administration reported the total annual US electric energy generation inmore » 2010 was 4,120 billion kilowatt-hours (equivalent to 470 GW) (US EIA, 2011), slightly more than 10% of the potential offshore wind resource. In addition, deep water offshore wind is the dominant US ocean energy resource available comprising 75% of the total assessed ocean energy resource as compared to wave and tidal resources (Musial, 2008). Through these assessments it is clear offshore wind can be a major contributor to US energy supplies. The caveat to capturing offshore wind along many parts of the US coast is deep water. Nearly 60%, or 2,450 GW, of the estimated US offshore wind resource is located in water depths of 60 m or more (Musial and Ram, 2010). At water depths over 60 m building fixed offshore wind turbine foundations, such as those found in Europe, is likely economically infeasible (Musial et al., 2006). Therefore floating wind turbine technology is seen as the best option for extracting a majority of the US offshore wind energy resource. Volume 1 - Test Site; Volume 2 - Coupled Models; and Volume 3 - Composite Materials« less
Hystad, Sigurd W; Saus, Evelyn-Rose; Sætrevik, Bjørn; Eid, Jarle
2013-01-01
This study examined the influence of safety climate and psychosocial work environment on the reported fatigue of seafarers working in the offshore oil and gas re-supply industry (n = 402). We found that seafarers who reported high psychological demands and perceived the organisational-level safety climate negatively,reported significantly more mental fatigue, physical fatigue, and lack of energy. In addition, seafarers who reported having high levels of job control reported being significantly less mentally fatigued. We also found some combined effects of safety climate and shift arrangement. Organisational-level safety climate did not influence the levels of physical fatigue in seafarers working on the night shift. On the contrary, seafarers working during the days reported to be more physically fatigued when they perceived the organisational-level climate to be negative compared with the positive. The opposite effect was found for group-level safety climate: seafarers working during the nights reported to be more physically fatigued when they perceived the group-level climate to be negative compared with the positive. The results from this study point to the importance of taking into consideration aspects of the psychosocial work environment and safety climate,and their potential impact on fatigue and safety in the maritime organisations.
Bi-directional vibration control of offshore wind turbines using a 3D pendulum tuned mass damper
NASA Astrophysics Data System (ADS)
Sun, C.; Jahangiri, V.
2018-05-01
Offshore wind turbines suffer from excessive bi-directional vibrations due to wind-wave misalignment and vortex induced vibrations. However, most of existing research focus on unidirectional vibration attenuation which is inadequate for real applications. The present paper proposes a three dimensional pendulum tuned mass damper (3d-PTMD) to mitigate the tower and nacelle dynamic response in the fore-aft and side-side directions. An analytical model of the wind turbine coupled with the 3d-PTMD is established wherein the interaction between the blades, the tower and the 3d-PTMD is modeled. Aerodynamic loading is computed using the Blade Element Momentum method where the Prandtls tip loss factor and the Glauert correction are considered. JONSWAP spectrum is adopted to generate wave data. Wave loading is computed using Morisons equation in collaboration with the strip theory. Via a numerical search approach, the design formula of the 3d-PTMD is obtained and examined on a National Renewable Energy Lab (NREL) monopile 5 MW baseline wind turbine model under misaligned wind, wave and seismic loading. Dual linear tuned mass dampers (TMDs) deployed in the fore-aft and side-side directions are utilized for comparison. It is found that the 3d-PTMD with a mass ratio of 2 % can improve the mitigation of the root mean square and peak response by around 10 % when compared with the dual linear TMDs in controlling the bi-directional vibration of the offshore wind turbines under misaligned wind, wave and seismic loading.
Transient response of the Northwestern Iberian upwelling regime.
Ferreira Cordeiro, Nuno Gonçalo; Dubert, Jesus; Nolasco, Rita; Desmond Barton, Eric
2018-01-01
The hydrography and dynamics of NW Iberian margin were explored for July 2009, based on a set of in situ and remote sensing observations. Zonal sections of standard CTD casts, towed CTD (SeaSoar), Acoustic Doppler Current Profilers (ADCP) and Lagrangian surveys were made to characterize cycles of upwelling and relaxation in this region. Two periods of northerly winds, bounded by relaxation periods, were responsible for the formation of an upwelling front extending to the shelf edge. An equatorward flow was quickly set up on the shelf responding to the northerly wind pulses. South of Cape Silleiro, the development and subsequent relaxation of an upwelling event was intensively surveyed in the shelf, following a Lagrangian drifter transported by the upwelling jet. This region is part of an upwelling center extending from Cape Silleiro to Porto, where the surface temperature was colder than the neighboring regions, under upwelling favorable winds. As these winds relaxed, persistent poleward flow developed, originating south of the upwelling center and consisting in an inner-shelf tongue of warm waters. During an event of strong southerly wind, the poleward flow was observed to extend to the whole continental shelf. Although the cruise was executed during summertime, the presence of river-plumes was observed over the shelf. The interaction of the plumes with the circulation on the shelf was also described in terms of coastal convergence and offshore advection. The sampling of the offshore and slope regions showed the presence of the Iberian poleward current offshore and a persistent equatorward flow over the upper slope.
NASA Astrophysics Data System (ADS)
Pulvirenti, Fabio; Jin, Shuanggen; Aloisi, Marco
2014-12-01
The 11 March 2011 Tohoku earthquake was the strongest event recorded in recent historic seismicity in Japan. Several researchers reported the deformation and possible mechanism as triggered by a mega thrust fault located offshore at the interface between the Pacific and the Okhotsk Plate. The studies to estimate the deformation in detail and the dynamics involved are still in progress. In this paper, coseismic GPS displacements associated with Tohoku earthquake are used to infer the amount of slip on the fault plane. Starting from the fault displacements configuration proposed by Caltech-JPL ARIA group and Geoazur CNRS, an optimization of these displacements is performed by developing a 3D finite element method (FEM) model, including the data of GPS-acoustic stations located offshore. The optimization is performed for different scenarios which include the presence of topography and bathymetry (DEM) as well as medium heterogeneities. By mean of the optimized displacement distribution for the most complete case (heterogeneous with DEM), a broad slip distribution, not narrowly centered east of hypocenter, is inferred. The resulting displacement map suggests that the beginning of the area of subsidence is not at east of MYGW GPS-acoustic station, as some researchers have suggested, and that the area of polar reversal of the vertical displacement is rather located at west of MYGW. The new fault slip distribution fits well for all the stations at ground and offshore and provides new information on the earthquake generation process and on the kinematics of Northern Japan area.
Hoeke, R.; Storlazzi, C.; Ridd, P.
2011-01-01
This paper examines the relationship between offshore wave climate and nearshore waves and currents at Hanalei Bay, Hawaii, an exposed bay fringed with coral reefs. Analysis of both offshore in situ data and numerical hindcasts identify the predominance of two wave conditions: a mode associated with local trade winds and an episodic pattern associated with distant source long-period swells. Analysis of 10 months of in situ data within the bay show that current velocities are up to an order of magnitude greater during long-period swell episodes than during trade wind conditions; overall circulation patterns are also fundamentally different. The current velocities are highly correlated with incident wave heights during the swell episodes, while they are not during the modal trade wind conditions. A phase-averaged wave model was implemented with the dual purpose of evaluating application to bathymetrically complex fringing reefs and to examine the propagation of waves into the nearshore in an effort to better explain the large difference in observed circulation during the two offshore wave conditions. The prediction quality of this model was poorer for the episodic condition than for the lower-energy mode, however, it illustrated how longer-period swells are preferentially refracted into the bay and make available far more nearshore wave energy to drive currents compared to waves during modal conditions. The highly episodic circulation, the nature of which is dependent on complex refraction patterns of episodic, long-period swell has implications for flushing and sediment dynamics for incised fringing reef-lined bays that characterize many high islands at low latitudes around the world.
Flocks, James G.; Kindinger, Jack G.; Kelso, Kyle W.
2015-01-01
Between 2008 and 2013, high-resolution geophysical surveys were conducted around the Mississippi barrier islands and offshore. The sonar surveys included swath and single-beam bathymetry, sidescan, and chirp subbottom data collection. The geophysical data were groundtruthed using vibracore sediment collection. The results provide insight into the evolution of the inner shelf and the relationship between the near surface geologic framework and the morphology of the coastal zone. This study focuses on the buried Pleistocene fluvial deposits and late Holocene shore-oblique sand ridges offshore of Petit Bois Island and Petit Bois Pass. Prior to this study, the physical characteristics, evolution, and interrelationship of the ridges between both the shelf geology and the adjacent barrier island platform had not been evaluated. Numerous studies elsewhere along the coastal margin attribute shoal origin and sand-ridge evolution to hydrodynamic processes in shallow water (<20 m). Here we characterize the correlation between the geologic framework and surface morphology and demonstrate that the underlying stratigraphy must also be considered when developing an evolutionary conceptual model. It is important to understand this near surface, nearshore dynamic in order to understand how the stratigraphy influences the long-term response of the coastal zone to sea-level rise. The study also contributes to a growing body of work characterizing shore-oblique sand ridges which, along with the related geology, are recognized as increasingly important components to a nearshore framework whose origins and evolution must be understood and inventoried to effectively manage the coastal zone.
NASA Astrophysics Data System (ADS)
Flocks, James G.; Kindinger, Jack L.; Kelso, Kyle W.
2015-06-01
Between 2008 and 2013, high-resolution geophysical surveys were conducted around the Mississippi barrier islands and offshore. The sonar surveys included swath and single-beam bathymetry, sidescan, and chirp subbottom data collection. The geophysical data were groundtruthed using vibracore sediment collection. The results provide insight into the evolution of the inner shelf and the relationship between the near surface geologic framework and the morphology of the coastal zone. This study focuses on the buried Pleistocene fluvial deposits and late Holocene shore-oblique sand ridges offshore of Petit Bois Island and Petit Bois Pass. Prior to this study, the physical characteristics, evolution, and interrelationship of the ridges between both the shelf geology and the adjacent barrier island platform had not been evaluated. Numerous studies elsewhere along the coastal margin attribute shoal origin and sand-ridge evolution to hydrodynamic processes in shallow water (<20 m). Here we characterize the correlation between the geologic framework and surface morphology and demonstrate that the underlying stratigraphy must also be considered when developing an evolutionary conceptual model. It is important to understand this near surface, nearshore dynamic in order to understand how the stratigraphy influences the long-term response of the coastal zone to sea-level rise. The study also contributes to a growing body of work characterizing shore-oblique sand ridges which, along with the related geology, are recognized as increasingly important components to a nearshore framework whose origins and evolution must be understood and inventoried to effectively manage the coastal zone.
Rebuilding Biodiversity of Patagonian Marine Molluscs after the End-Cretaceous Mass Extinction
Aberhan, Martin; Kiessling, Wolfgang
2014-01-01
We analysed field-collected quantitative data of benthic marine molluscs across the Cretaceous–Palaeogene boundary in Patagonia to identify patterns and processes of biodiversity reconstruction after the end-Cretaceous mass extinction. We contrast diversity dynamics from nearshore environments with those from offshore environments. In both settings, Early Palaeogene (Danian) assemblages are strongly dominated by surviving lineages, many of which changed their relative abundance from being rare before the extinction event to becoming the new dominant forms. Only a few of the species in the Danian assemblages were newly evolved. In offshore environments, however, two newly evolved Danian bivalve species attained ecological dominance by replacing two ecologically equivalent species that disappeared at the end of the Cretaceous. In both settings, the total number of Danian genera at a locality remained below the total number of late Cretaceous (Maastrichtian) genera at that locality. We suggest that biotic interactions, in particular incumbency effects, suppressed post-extinction diversity and prevented the compensation of diversity loss by originating and invading taxa. Contrary to the total number of genera at localities, diversity at the level of individual fossiliferous horizons before and after the boundary is indistinguishable in offshore environments. This indicates an evolutionary rapid rebound to pre-extinction values within less than ca 0.5 million years. In nearshore environments, by contrast, diversity of fossiliferous horizons was reduced in the Danian, and this lowered diversity lasted for the entire studied post-extinction interval. In this heterogeneous environment, low connectivity among populations may have retarded the recolonisation of nearshore habitats by survivors. PMID:25028930
NASA Astrophysics Data System (ADS)
Kubryakov, A. A.; Stanichny, S. V.; Zatsepin, A. G.
2018-03-01
The propagation of the Danube River plume has strong interannual variability that impacts the local balance of nutrients and the thermohaline structure in the western Black Sea. In the present study, we use a particle-tracking model based on satellite altimetry measurements and wind reanalysis data, as well as satellite measurements (SeaWiFS, MODIS), to investigate the interannual variability in the Danube plume pathways during the summer from 1993 to 2015. The wind conditions largely define the variability in the Danube water propagation. Relatively low-frequency variability (on periods of a week to months) in the wind stress curl modulates the intensity of the geostrophic Rim Current and related mesoscale eddy dynamics. High-frequency offshore wind-drift currents transport the plume across isobaths and provide an important transport link between shelf and offshore circulation. Inherent plume dynamics play an additional role in the near-mouth transport of the plume and its connection with offshore circulation. During the years with prevailing northeast winds ( 30% of studied cases), which are usually accompanied by increased wind curl over the Black Sea and higher Danube discharge, an alongshore southward current at the NorthWestern Shelf (NWS) is formed near the western Black Sea coast. Advected southward, the Danube waters are entrained in the Rim Current jet, which transports them along the west coast of the basin. The strong Rim Current, fewer eddies and downwelling winds substantially decrease the cross-shelf exchange of nutrients. During the years with prevailing southeastern winds ( 40%), the Rim Current is less intense. Mesoscale eddies effectively trap the Danube waters, transporting them to the deep western part of the basin. The low- and high-frequency southeastern wind-drift currents contribute significantly to cross-isobath plume transport and its connection with offshore circulation. During several years ( 15%), the Danube waters moved eastward to the west coast of Crimea. They were transported on the north periphery of the mesoscale anticyclones due to prevailing eastward wind-drift currents. During the years with hot summers, a monsoon effect induced the formation of a strong anticyclonic wind cell over the NorthWestern Shelf (NWS), and the plume moved northward ( 15%). Anticyclonic wind circulation leads to the Ekman convergence of brackish surface waters in the centre of the shelf and the formation of a baroclinic geostrophic anticyclone north of the NWS. This anticyclone traps the Danube waters and forces them to remain on the shelf for a long period of time. The impact of the propagation of the plume on the variability in chlorophyll a chlorophyll a in the NWS and the western Black Sea is analysed in this study based on satellite data.
Influence of San Gabriel submarine canyon on narrow-shelf sediment dynamics, southern California
Karl, Herman A.
1980-01-01
A conceptual model attributes the PTC to modification of shelf circulation patterns by San Gabriel Canyon. Surface waves diverge over the canyon head resulting in differential wave set up at the shore face. This forces back turbid nearshore water for a distance of a few kilometers toward the canyon. At some point on the shelf, seaward nearshore flow overlaps offshore currents generated or modified by internal waves focused onto the shelf by the canyon and/or turbulent eddies produced by flow separation in currents moving across the canyon axis. At times, these subtle processes overprint tidal and wind-driven currents and thereby create the PTC. The model suggests that canyons heading several kilometers from shore can have a regulatory effect on narrow-shelf sediment dynamics.
Tomography reveals buoyant asthenosphere accumulating beneath the Juan de Fuca plate
NASA Astrophysics Data System (ADS)
Hawley, William B.; Allen, Richard M.; Richards, Mark A.
2016-09-01
The boundary between Earth’s strong lithospheric plates and the underlying mantle asthenosphere corresponds to an abrupt seismic velocity decrease and electrical conductivity increase with depth, perhaps indicating a thin, weak layer that may strongly influence plate motion dynamics. The behavior of such a layer at subduction zones remains unexplored. We present a tomographic model, derived from on- and offshore seismic experiments, that reveals a strong low-velocity feature beneath the subducting Juan de Fuca slab along the entire Cascadia subduction zone. Through simple geodynamic arguments, we propose that this low-velocity feature is the accumulation of material from a thin, weak, buoyant layer present beneath the entire oceanic lithosphere. The presence of this feature could have major implications for our understanding of the asthenosphere and subduction zone dynamics.
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2010 CFR
2010-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Quantifying the hurricane catastrophe risk to offshore wind power.
Rose, Stephen; Jaramillo, Paulina; Small, Mitchell J; Apt, Jay
2013-12-01
The U.S. Department of Energy has estimated that over 50 GW of offshore wind power will be required for the United States to generate 20% of its electricity from wind. Developers are actively planning offshore wind farms along the U.S. Atlantic and Gulf coasts and several leases have been signed for offshore sites. These planned projects are in areas that are sometimes struck by hurricanes. We present a method to estimate the catastrophe risk to offshore wind power using simulated hurricanes. Using this method, we estimate the fraction of offshore wind power simultaneously offline and the cumulative damage in a region. In Texas, the most vulnerable region we studied, 10% of offshore wind power could be offline simultaneously because of hurricane damage with a 100-year return period and 6% could be destroyed in any 10-year period. We also estimate the risks to single wind farms in four representative locations; we find the risks are significant but lower than those estimated in previously published results. Much of the hurricane risk to offshore wind turbines can be mitigated by designing turbines for higher maximum wind speeds, ensuring that turbine nacelles can turn quickly to track the wind direction even when grid power is lost, and building in areas with lower risk. © 2013 Society for Risk Analysis.
2015 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana; Connerton, Michael J.; LaPan, Steve; Biesinger, Zy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2016-01-01
Offshore spring total phosphorus (TP) in 2015 was 4.2 μ g/L, the same as in 2014; this is lower than 2001 - 2013, but there is no significant time trend 2001 - 2015. Offshore soluble reactive phosphorus (SRP) was very low in 2015; Apr/May - Oct mean values were <1 μ g/L at most sites. SRP has been stable in nearshore and offshore habitats since 1998 (range, 0.4 – 3.3 μ g/L). TP concentrations were low at both nearshore and offshore locations (range 4.2 - 8.1 μ g/L), and TP and SRP concentrations were significantly higher in the nearshore as compared to the offshore (6.8 μ g/L vs 4.8 μ g/L, TP; 1.1 μ g/L vs 0.7 μ g/L, SRP).Chlorophyll-a and Secchi depth values are indicative of oligotrophic conditions in nearshore and offshore habitats. Offshore summer chlorophyll- a declined significantly 2000 - 2015. Nearshore chlorophyll- a increased 1995 - 2004 but then declined 2005 - 2015. Epilimnetic chlorophyll-a averaged between 0.9 and 1.9 1 μg/L across sites, and offshore concentrations (1.4 1 μg/L) were significantly higher than nearshore (1.1 μg/L). Summer Secchi depth increased significantly in the offshore 2000 -2015 and showed no trend in the nearshore, 1995 - 2015. Apr/May - Oct Secchi depth ranged from 5.0 m to 13.0 m at individual sites and was higher in the offshore (9.5 m) than nearshore (6.2 m).In 2015, Apr/May - Oct epilimnetic zooplankton density, size, and biomass were not different between the offshore and the nearshore, but cyclopoid biomass was higher in the offshore (8.3 mg/m 3 vs 2.0 mg/m3) and Bythotrephes biomass was higher in the nearshore (0.17 mg/m3 vs 0.04 mg/m3).Zooplankton density and biomass peaked in September, an atypical pattern. This coincided with peaks in calanoid copepod, daphnid, and Holopedium Holopedium biomass in the nearshore has increased significantly since 1995.The predatory cladoceran Cercopagis continued to be abundant in summer in the nearshore (3.4 μ g/L) but not in the offshore (0.8 μ g/L). Bythotrephes biomass was very low (<0.3 μ g/L) in both nearshore and offshore habitats. Combined biomass of these predatory cladocerans in the offshore was the lowest recorded since 2001.Summer nearshore zooplankton density and biomass declined significantly 1995 - 2004 and then increased significantly 2005 – 2015. The decline was due to reductions in bosminids and cyclopoids and the increase was due mostly to a rebound in bosminids.Summer offshore zooplankton density and biomass increased significantly 2005 - 2015. The increase was due to an increase in bosminids and cyclopoids. In 2015, offshore summer epilimnetic zooplankton biomass was 52 mg/m3 (2005 - 2014 mean=18 mg/m3).Most zooplankton biomass was found in the metalimnion in July and in the hypolimnion in September. Cyclopoids and Limnocalanus dominated the metalimnion and Limnocalanus dominated the hypolimnion. Whole water column samples taken show a stable zooplankton biomass but changing community composition since 2010. Cyclopoids increased 2013 - 2015 and daphnids declined 2014 - 2015.
National Offshore Wind Energy Grid Interconnection Study Full Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Daniel, John P.; Liu, Shu; Ibanez, Eduardo
2014-07-30
The National Offshore Wind Energy Grid Interconnection Study (NOWEGIS) considers the availability and potential impacts of interconnecting large amounts of offshore wind energy into the transmission system of the lower 48 contiguous United States.
The ARGO Project: assessing NA-TECH risks on off-shore oil platforms
NASA Astrophysics Data System (ADS)
Capuano, Paolo; Basco, Anna; Di Ruocco, Angela; Esposito, Simona; Fusco, Giannetta; Garcia-Aristizabal, Alexander; Mercogliano, Paola; Salzano, Ernesto; Solaro, Giuseppe; Teofilo, Gianvito; Scandone, Paolo; Gasparini, Paolo
2017-04-01
ARGO (Analysis of natural and anthropogenic risks on off-shore oil platforms) is a 2 years project, funded by the DGS-UNMIG (Directorate General for Safety of Mining and Energy Activities - National Mining Office for Hydrocarbons and Georesources) of Italian Ministry of Economic Development. The project, coordinated by AMRA (Center for the Analysis and Monitoring of Environmental Risk), aims at providing technical support for the analysis of natural and anthropogenic risks on offshore oil platforms. In order to achieve this challenging objective, ARGO brings together climate experts, risk management experts, seismologists, geologists, chemical engineers, earth and coastal observation experts. ARGO has developed methodologies for the probabilistic analysis of industrial accidents triggered by natural events (NA-TECH) on offshore oil platforms in the Italian seas, including extreme events related to climate changes. Furthermore the environmental effect of offshore activities has been investigated, including: changes on seismicity and on the evolution of coastal areas close to offshore platforms. Then a probabilistic multi-risk framework has been developed for the analysis of NA-TECH events on offshore installations for hydrocarbon extraction.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, Philipp; Stehly, Tyler
The potential for cost reduction and economic viability for offshore wind varies considerably within the United States. This analysis models the cost impact of a range of offshore wind locational cost variables across more than 7,000 potential coastal sites in the United States' offshore wind resource area. It also assesses the impact of over 50 technology innovations on potential future costs between 2015 and 2027 (Commercial Operation Date) for both fixed-bottom and floating wind systems. Comparing these costs to an initial assessment of local avoided generating costs, this analysis provides a framework for estimating the economic potential for offshore wind.more » Analyzing economic potential within this framework can help establish a refined understanding across industries of the technology and site-specific risks and opportunities associated with future offshore wind development. The findings from the original report indicate that under the modeled scenario, offshore wind can be expected to achieve significant cost reductions and may approach economic viability in some parts of the United States within the next 15 years.« less
Spatio-temporal variations in the siphonophore community of the northern South China Sea
NASA Astrophysics Data System (ADS)
Li, Kaizhi; Yin, Jianqiang; Huang, Liangmin; Lian, Shumin; Zhang, Jianlin
2013-03-01
To understand how hydrological and biological factors affect near- to off-shore variations in the siphonophore community, we sampled zooplankton at 82 stations in the northern South China Sea during summer, winter, and spring. Forty-one species of siphonophore were collected by vertical trawling. The species richness of siphonophores increased from the nearshore to offshore regions in all three seasons of investigation, with maximum richness in summer and minimum richness in winter. The abundance of siphonophores was also higher in summer than in spring and winter, concentrated in the nearshore region in the warm season and scattered in the offshore region in the cold season. Four siphonophore groups were classified according to the frequency of occurrence: nearshore, near-offshore, offshore, and tropical pelagic. Among them, the nearshore group had higher abundance nearshore compared with the offshore. The tropical pelagic group had higher species number offshore than nearshore. Spatial and temporal fluctuations in taxonomic composition and abundance of siphonophores were due to the influence of the coastal upwelling and surface ocean currents of the South China Sea, driven by the East Asia monsoonal system.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, Philipp; Musial, Walter; Smith, Aaron
This report describes a comprehensive effort undertaken by the National Renewable Energy Laboratory (NREL) to understand the cost of offshore wind energy for markets in the United States. The study models the cost impacts of a range of offshore wind locational cost variables for more than 7,000 potential coastal sites in U.S. offshore wind resource areas. It also assesses the impact of more than 50 technology innovations on potential future costs for both fixed-bottom and floating wind systems. Comparing these costs to an initial site-specific assessment of local avoided generating costs, the analysis provides a framework for estimating the economicmore » potential for offshore wind. The analysis is intended to inform a broad set of stakeholders and enable an assessment of offshore wind as part of energy development and energy portfolio planning. It provides information that federal and state agencies and planning commissions could use to inform initial strategic decisions about offshore wind developments in the United States.« less
Sub-weekly to interannual variability of a high-energy shoreline
Barnard, Patrick L.; Jeff E. Hansen,
2010-01-01
Sixty-one Global Positioning System (GPS), sub-aerial beach surveys were completed at 7 km long Ocean Beach, San Francisco, CA (USA), between April 2004 and March 2009. The five-year time series contains over 1 million beach elevation measurements and documents detailed changes in beach morphology over a variety of spatial, temporal, and physical forcing scales. Results show that seasonal processes dominate at Ocean Beach, with the seasonal increase and decrease in wave height being the primary driver of shoreline change. Storm events, while capable of causing large short-term changes in the shoreline, did not singularly account for a large percentage of the overall observed change. Empirical orthogonal function (EOF) analysis shows that the first two modes account for approximately three-quarters of the variance in the data set and are represented by the seasonal onshore/offshore movement of sediment (60%) and the multi-year trend of shoreline rotation (14%). The longer-term trend of shoreline rotation appears to be related to larger-scale bathymetric change. An EOF-based decomposition technique is developed that is capable of estimating the shoreline position to within one standard deviation of the range of shoreline positions observed at most locations along the beach. The foundation of the model is the observed relationship between the temporal amplitudes of the first EOF mode and seasonally-averaged offshore wave height as well as the linear trend of shoreline rotation. This technique, while not truly predictive because of the requirement of real-time wave data, is useful because it can predict shoreline position to within reasonable confidence given the absence of field data once the model is developed at a particular site.
Sub-weekly to interannual variability of a high-energy shoreline
Hansen, J.E.; Barnard, P.L.
2010-01-01
Sixty-one Global Positioning System (GPS), sub-aerial beach surveys were completed at 7 km long Ocean Beach, San Francisco, CA (USA), between April 2004 and March 2009. The five-year time series contains over 1. million beach elevation measurements and documents detailed changes in beach morphology over a variety of spatial, temporal, and physical forcing scales. Results show that seasonal processes dominate at Ocean Beach, with the seasonal increase and decrease in wave height being the primary driver of shoreline change. Storm events, while capable of causing large short-term changes in the shoreline, did not singularly account for a large percentage of the overall observed change. Empirical orthogonal function (EOF) analysis shows that the first two modes account for approximately three-quarters of the variance in the data set and are represented by the seasonal onshore/offshore movement of sediment (60%) and the multi-year trend of shoreline rotation (14%). The longer-term trend of shoreline rotation appears to be related to larger-scale bathymetric change. An EOF-based decomposition technique is developed that is capable of estimating the shoreline position to within one standard deviation of the range of shoreline positions observed at most locations along the beach. The foundation of the model is the observed relationship between the temporal amplitudes of the first EOF mode and seasonally-averaged offshore wave height as well as the linear trend of shoreline rotation. This technique, while not truly predictive because of the requirement of real-time wave data, is useful because it can predict shoreline position to within reasonable confidence given the absence of field data once the model is developed at a particular site. ?? 2010 Elsevier B.V.
NASA Astrophysics Data System (ADS)
Guachamin Acero, Wilson; Gao, Zhen; Moan, Torgeir
2017-09-01
Current installation costs of offshore wind turbines (OWTs) are high and profit margins in the offshore wind energy sector are low, it is thus necessary to develop installation methods that are more efficient and practical. This paper presents a numerical study (based on a global response analysis of marine operations) of a novel procedure for installing the tower and Rotor Nacelle Assemblies (RNAs) on bottom-fixed foundations of OWTs. The installation procedure is based on the inverted pendulum principle. A cargo barge is used to transport the OWT assembly in a horizontal position to the site, and a medium-size Heavy Lift Vessel (HLV) is then employed to lift and up-end the OWT assembly using a special upending frame. The main advantage of this novel procedure is that the need for a huge HLV (in terms of lifting height and capacity) is eliminated. This novel method requires that the cargo barge is in the leeward side of the HLV (which can be positioned with the best heading) during the entire installation. This is to benefit from shielding effects of the HLV on the motions of the cargo barge, so the foundations need to be installed with a specific heading based on wave direction statistics of the site and a typical installation season. Following a systematic approach based on numerical simulations of actual operations, potential critical installation activities, corresponding critical events, and limiting (response) parameters are identified. In addition, operational limits for some of the limiting parameters are established in terms of allowable limits of sea states. Following a preliminary assessment of these operational limits, the duration of the entire operation, the equipment used, and weather- and water depth-sensitivity, this novel procedure is demonstrated to be viable.
Offshore wind development research.
DOT National Transportation Integrated Search
2014-04-01
Offshore wind (OSW) development is a new undertaking in the US. This project is a response to : New Jerseys 2011 Energy Master Plan that envisions procuring 22.5% of the states power : originating from renewable sources by 2021. The Offshore Wi...
30 CFR 253.1 - What is the purpose of this part?
Code of Federal Regulations, 2011 CFR
2011-07-01
... THE INTERIOR OFFSHORE OIL SPILL FINANCIAL RESPONSIBILITY FOR OFFSHORE FACILITIES General § 253.1 What... covered offshore facilities (COFs) under Title I of the Oil Pollution Act of 1990 (OPA), as amended, 33 U...
NASA Astrophysics Data System (ADS)
Melia, Aidan
This current research investigates what the attitudes of Irish people are towards the development of offshore wind farms in Ireland. Using a qualitative approach, a questionnaire is carefully designed and distributed among a sample population from three coastal communities. One is located on the west coast and two on the east coast. The two locations on the east coast have an involvement in offshore wind farms. One of the locations plays host to Ireland's only offshore wind farm, while there are plans in place for an offshore wind farm at the other location. The results from the questionnaires are analyzed with regard to the respondent's proximity to the coast, their age, their gender and their educational levels. This analysis results in a number of conclusions being generated. Overall, it is found that there is a strong support among the respondents for the development of offshore wind farms in Ireland.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Jimenez, Tony; Keyser, David; Tegen, Suzanne
Construction of the first offshore wind power plant in the United States began in 2015, off the coast of Rhode Island, using fixed platform structures that are appropriate for shallow seafloors, like those located off the East Coast and mid-Atlantic. However, floating platforms, which have yet to be deployed commercially, will likely need to be anchored to the deeper seafloor if deployed in Hawaiian waters. To analyze the employment and economic potential for floating offshore wind off Hawaii's coasts, the Bureau of Ocean Energy Management commissioned the National Renewable Energy Laboratory (NREL) to analyze two hypothetical deployment scenarios for Hawaii:more » 400 MW of offshore wind by 2050 and 800 MW of offshore wind by 2050. The results of this analysis can be used to better understand the general scale of economic opportunities that could result from offshore wind development.« less
Nonconsensual clinical trials: a foreseeable risk of offshoring under global corporatism.
Spielman, Bethany
2015-03-01
This paper explores the connection of offshoring and outsourcing to nonconsensual global pharmaceutical trials in low-income countries. After discussing reasons why the topic of nonconsensual offshored clinical trials may be overlooked in bioethics literature, I suggest that when pharmaceutical corporations offshore clinical trials today, nonconsensual experiments are often foreseeable and not simply the result of aberrant ethical conduct by a few individuals. Offshoring of clinical trials is structured so that experiments can be presented as health care in a unique form of outsourcing from the host country to pharmaceutical corporations. Bioethicists' assessments of the risks and potential benefits of offshore corporate pharmaceutical trials should therefore systematically include not only the hoped for benefits and the risks of the experimental drug but also the risk that subjects will not have consented, as well as the broader international consequences of nonconsensual experimentation.
Kirchhoff, Nicole T.; Rough, Kirsty M.; Nowak, Barbara F.
2011-01-01
The effects of offshore aquaculture on SBT health (particularly parasitic infections and haematology) and performance were the main aim of this study. Two cohorts of ranched Southern Bluefin tuna (SBT) (Thunnus maccoyii) were monitored throughout the commercial season, one maintained in the traditional near shore tuna farming zone and one maintained further offshore. SBT maintained offshore had reduced mortality, increased condition index at week 6 post transfer, reduced blood fluke and sealice loads, and haematological variables such as haemoglobin or lysozyme equal to or exceeding near shore maintained fish. The offshore cohort had no Cardicola forsteri and a 5% prevalence of Caligus spp., compared to a prevalence of 85% for Cardicola forsteri and 55% prevalence for Caligus spp. near shore at 6 weeks post transfer. This study is the first of its kind to examine the effects of commercial offshore sites on farmed fish parasites, health and performance. PMID:21901129
Modeling and Simulation of Offshore Wind Power Platform for 5 MW Baseline NREL Turbine.
Roni Sahroni, Taufik
2015-01-01
This paper presents the modeling and simulation of offshore wind power platform for oil and gas companies. Wind energy has become the fastest growing renewable energy in the world and major gains in terms of energy generation are achievable when turbines are moved offshore. The objective of this project is to propose new design of an offshore wind power platform. Offshore wind turbine (OWT) is composed of three main structures comprising the rotor/blades, the tower nacelle, and the supporting structure. The modeling analysis was focused on the nacelle and supporting structure. The completed final design was analyzed using finite element modeling tool ANSYS to obtain the structure's response towards loading conditions and to ensure it complies with guidelines laid out by classification authority Det Norske Veritas. As a result, a new model of the offshore wind power platform for 5 MW Baseline NREL turbine was proposed.
A study of rotor and platform design trade-offs for large-scale floating vertical axis wind turbines
NASA Astrophysics Data System (ADS)
Griffith, D. Todd; Paquette, Joshua; Barone, Matthew; Goupee, Andrew J.; Fowler, Matthew J.; Bull, Diana; Owens, Brian
2016-09-01
Vertical axis wind turbines are receiving significant attention for offshore siting. In general, offshore wind offers proximity to large populations centers, a vast & more consistent wind resource, and a scale-up opportunity, to name a few beneficial characteristics. On the other hand, offshore wind suffers from high levelized cost of energy (LCOE) and in particular high balance of system (BoS) costs owing to accessibility challenges and limited project experience. To address these challenges associated with offshore wind, Sandia National Laboratories is researching large-scale (MW class) offshore floating vertical axis wind turbines (VAWTs). The motivation for this work is that floating VAWTs are a potential transformative technology solution to reduce offshore wind LCOE in deep-water locations. This paper explores performance and cost trade-offs within the design space for floating VAWTs between the configurations for the rotor and platform.
Modeling and Simulation of Offshore Wind Power Platform for 5 MW Baseline NREL Turbine
Roni Sahroni, Taufik
2015-01-01
This paper presents the modeling and simulation of offshore wind power platform for oil and gas companies. Wind energy has become the fastest growing renewable energy in the world and major gains in terms of energy generation are achievable when turbines are moved offshore. The objective of this project is to propose new design of an offshore wind power platform. Offshore wind turbine (OWT) is composed of three main structures comprising the rotor/blades, the tower nacelle, and the supporting structure. The modeling analysis was focused on the nacelle and supporting structure. The completed final design was analyzed using finite element modeling tool ANSYS to obtain the structure's response towards loading conditions and to ensure it complies with guidelines laid out by classification authority Det Norske Veritas. As a result, a new model of the offshore wind power platform for 5 MW Baseline NREL turbine was proposed. PMID:26550605
Design of self-contained sensor for monitoring of deep-sea offshore platform
NASA Astrophysics Data System (ADS)
Song, Yang; Yu, Yan; Zhang, Chunwei; Dong, Weijie; Ou, Jinping
2013-04-01
Offshore platform, which is the base of the production and living in the sea, is the most important infrastructure for developing oil and gas resources. At present, there are almost 6500 offshore platforms servicing in the 53 countries' sea areas around the world, creating great wealth for the world. In general, offshore platforms may work for 20 years, however, offshore platforms are expensive, complex, bulky, and so many of them are on extended active duty. Because of offshore platforms servicing in the harsh marine environment for a long time, the marine environment have a great impact on the offshore platforms. Besides, with the impact and erosion of seawater, and material aging, the offshore platform is possible to be in unexpected situations when a badly sudden situation happens. Therefore, it is of great significance to monitor the marine environment and offshore platforms. The self-contained sensor for deep-sea offshore platform with its unique design, can not only effectively extend the working time of the sensor with the capability of converting vibration energy to electrical energy, but also simultaneously collect the data of acceleration, inclination, temperature and humidity of the deep sea, so that we can achieve the purpose of monitoring offshore platforms through analyzing the collected data. The self-contained sensor for monitoring of deep-sea offshore platform includes sensing unit, data collecting and storage unit, the energy supply unit. The sensing unit with multi-variables, consists of an accelerometer LIS344ALH, an inclinometer SCA103T and a temperature and humidity sensor SHT11; the data collecting and storage unit includes the MSP430 low-power MCU, large capacity memory, clock circuit and the communication interface, the communication interface includes USB interface, serial ports and wireless interface; in addition, the energy supply unit, converting vibration to electrical energy to power the overall system, includes the electromagnetic generator, voltage multiplier circuit and a super capacitor which can withstand virtually unlimited number of charge-discharge cycles. When the seawater impacts on offshore platforms to produce vibration, electromagnetic generator converts vibration to electrical energy, its output(~ 1 V 50 Hz AC) is stepped up and rectified by a voltage multiplier circuit, and the energy is stored in a super capacitor. It is controlled by the MSP430 that monitors the voltage level on the super capacitor. The super capacitor charges the Li-ion battery when the voltage on the super capacitor reaches a threshold, then the whole process of energy supply is completed. The self-contained sensor for deep-sea offshore platform has good application prospects and practical value with small size, low power, being easy to install, converting vibration energy to supply power and high detection accuracy.
[Offshore substation workers' exposure to harmful factors - Actions minimizing risk of hazards].
Piotrowski, Paweł Janusz; Robak, Sylwester; Polewaczyk, Mateusz Maksymilian; Raczkowski, Robert
2016-01-01
The current development of electric power industry in Poland, especially in the field of renewable energy sources, including wind power, brings about the need to introduce legislation on new work environment. The development of occupational safety and health (OSH) regulations that must be met by new workplaces, such as offshore substations becomes necessary in view of the construction of modern offshore wind power plants - offshore wind farms. Staying on offshore substation is associated with an increased exposure to harmful health factors: physical, chemical, biological and psychophysical. The main sources of health risks on offshore substations are: temperature, electromagnetic field, noise from operating wind turbines, direct and alternating current, chemicals, Legionella bacteria and social isolation of people. The aim of this article is to draw attention to the problem of offshore substation workers' exposure to harmful factors and to present methods of preventing and reducing the risk-related adverse health effects. In this paper, there are identified and described risks occurring on offshore substations (fire, explosion, lightning, accidents at work). Some examples of the means and the methods for reducing the negative impact of exposure on the human health are presented and discussed. The article also highlights the need to develop appropriate laws and health and safety regulations concerning the new working environment at the offshore substations. The review of researches and international standards shows that some of them can be introduced into the Polish labor market. This work is available in Open Access model and licensed under a CC BY-NC 3.0 PL license.
75 FR 47311 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-05
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [USCG-2010-0489] National Offshore Safety Advisory... Offshore Safety Advisory Committee (NOSAC) will meet by teleconference to discuss items related to safety... advice and makes recommendations to the Coast Guard on [[Page 47312
Lamb, Robert W.
2018-01-01
Kelp forests provide important ecosystem services, yet coastal kelp communities are increasingly altered by anthropogenic impacts. Kelp forests in remote, offshore locations may provide an informative contrast due to reduced impacts from local stressors. We tested the hypothesis that shallow kelp assemblages (12–15 m depth) and associated fish and benthic communities in the coastal southwest Gulf of Maine (GOM) differed significantly from sites on Cashes Ledge, 145 km offshore by sampling five coastal and three offshore sites at 43.0 +/- 0.07° N latitude. Offshore sites on Cashes Ledge supported the greatest density (47.8 plants m2) and standing crop biomass (5.5 kg m2 fresh weight) of the foundation species Saccharina latissima kelp at this depth in the Western North Atlantic. Offshore densities of S. latissima were over 150 times greater than at coastal sites, with similar but lower magnitude trends for congeneric S. digitata. Despite these differences, S. latissima underwent a significant 36.2% decrease between 1987 and 2015 on Cashes Ledge, concurrent with a rapid warming of the GOM and invasion by the kelp-encrusting bryozoan Membranipora membranacea. In contrast to kelp, the invasive red alga Dasysiphonia japonica was significantly more abundant at coastal sites, suggesting light or dispersal limitation offshore. Spatial differences in fish abundance mirrored those of kelp, as the average biomass of all fish on Cashes Ledge was 305 times greater than at the coastal sites. Remote video censuses of cod (Gadus morhua), cunner (Tautaogolabrus adspersus), and pollock (Pollachius virens) corroborated these findings. Understory benthic communities also differed between regions, with greater abundance of sessile invertebrates offshore. Populations of kelp-consuming sea urchins Stronglyocentrotus droebachiensis, were virtually absent from Cashes Ledge while small urchins were abundant onshore, suggesting recruitment limitation offshore. Despite widespread warming of the GOM since 1987, extraordinary spatial differences in the abundance of primary producers (kelp), consumers (cod) and benthic communities between coastal and offshore sites have persisted. The shallow kelp forest communities offshore on Cashes Ledge represent an oasis of unusually high kelp and fish abundance in the region, and as such, comprise a persistent abundance hotspot that is functionally significant for sustained biological productivity of offshore regions of the Gulf of Maine. PMID:29298307
Witman, Jon D; Lamb, Robert W
2018-01-01
Kelp forests provide important ecosystem services, yet coastal kelp communities are increasingly altered by anthropogenic impacts. Kelp forests in remote, offshore locations may provide an informative contrast due to reduced impacts from local stressors. We tested the hypothesis that shallow kelp assemblages (12-15 m depth) and associated fish and benthic communities in the coastal southwest Gulf of Maine (GOM) differed significantly from sites on Cashes Ledge, 145 km offshore by sampling five coastal and three offshore sites at 43.0 +/- 0.07° N latitude. Offshore sites on Cashes Ledge supported the greatest density (47.8 plants m2) and standing crop biomass (5.5 kg m2 fresh weight) of the foundation species Saccharina latissima kelp at this depth in the Western North Atlantic. Offshore densities of S. latissima were over 150 times greater than at coastal sites, with similar but lower magnitude trends for congeneric S. digitata. Despite these differences, S. latissima underwent a significant 36.2% decrease between 1987 and 2015 on Cashes Ledge, concurrent with a rapid warming of the GOM and invasion by the kelp-encrusting bryozoan Membranipora membranacea. In contrast to kelp, the invasive red alga Dasysiphonia japonica was significantly more abundant at coastal sites, suggesting light or dispersal limitation offshore. Spatial differences in fish abundance mirrored those of kelp, as the average biomass of all fish on Cashes Ledge was 305 times greater than at the coastal sites. Remote video censuses of cod (Gadus morhua), cunner (Tautaogolabrus adspersus), and pollock (Pollachius virens) corroborated these findings. Understory benthic communities also differed between regions, with greater abundance of sessile invertebrates offshore. Populations of kelp-consuming sea urchins Stronglyocentrotus droebachiensis, were virtually absent from Cashes Ledge while small urchins were abundant onshore, suggesting recruitment limitation offshore. Despite widespread warming of the GOM since 1987, extraordinary spatial differences in the abundance of primary producers (kelp), consumers (cod) and benthic communities between coastal and offshore sites have persisted. The shallow kelp forest communities offshore on Cashes Ledge represent an oasis of unusually high kelp and fish abundance in the region, and as such, comprise a persistent abundance hotspot that is functionally significant for sustained biological productivity of offshore regions of the Gulf of Maine.
NASA Astrophysics Data System (ADS)
Wright, C.; O'Sullivan, K.; Murphy, J.; Pakrashi, V.
2015-07-01
The offshore wind industry is rapidly maturing and is now expanding to more extreme environments in deeper water and farther from shore. To date fixed foundation types (i.e. monopoles, jackets) have been primarily used but become uneconomical in water depths greater than 50m. Floating foundations have more complex dynamics but at the moment no design has reached commercialization, although a number of devices are being tested at prototype stage. The development of concepts is carried out through physical model testing of scaled devices such that to better understand the dynamics of the system and validate numerical models. This paper investigates the testing of a scale model of a tension moored wind turbine at two different scales and in the presence and absence of a spring damper controlling its dynamic response. The models were tested under combined wave and wind thrust loading conditions. The analysis compares the motions of the platform at different scales and structural conditions through RAO, testing a mooring spring damper for load reductions.
Research on the influence of helical strakes on dynamic response of floating wind turbine platform
NASA Astrophysics Data System (ADS)
Ding, Qin-wei; Li, Chun
2017-04-01
The stability of platform structure is the paramount guarantee of the safe operation of the offshore floating wind turbine. The NREL 5MW floating wind turbine is established based on the OC3-Hywind Spar Buoy platform with the supplement of helical strakes for the purpose to analyze the impact of helical strakes on the dynamic response of the floating wind turbine Spar platform. The dynamic response of floating wind turbine Spar platform under wind, wave and current loading from the impact of number, height and pitch ratio of the helical strakes is analysed by the radiation and diffraction theory, the finite element method and orthogonal design method. The result reveals that the helical strakes can effectively inhibit the dynamic response of the platform but enlarge the wave exciting force; the best parameter combination is two pieces of helical strakes with the height of 15% D ( D is the diameter of the platform) and the pitch ratio of 5; the height of the helical strake and its pitch ratio have significant influence on pitch response.
Baker, D
2001-03-01
Offshore life can be refreshing for medics who are looking for a little change of pace; however, it is not for everyone. Working offshore can be the easiest or most boring job you'll ever have. It takes a specific type of medic to fit this mold. So, if you are considering a career in the offshore field, take all of the above into consideration. You are not just making a change in jobs, but a change in lifestyle. Once you become accustomed to this lifestyle, it will be hard to go back to the everyday hustle and bustle of the streets. For more information about working offshore, contact Acadian Contract Services at 800/259-333, or visit www.acadian.com.
2015-08-01
ER D C/ CH L TR -1 5- 11 Development of an Extratropical Storm Wind, Wave, and Water Level Climatology for the Offshore Mid-Atlantic...Development of an Extratropical Storm Wind, Wave, and Water Level Climatology for the Offshore Mid-Atlantic Michael F. Forte Field Research Facility...standards for offshore wind farm design and to establish a 100-year (yr) extratropical wind speed, wave height, and water level climatology for the
Thermal Tracker: The Secret Lives of Bats and Birds Revealed
DOE Office of Scientific and Technical Information (OSTI.GOV)
None
Offshore wind developers and stakeholders can accelerate the sustainable, widespread deployment of offshore wind using a new open-source software program, called ThermalTracker. Researchers can now collect the data they need to better understand the potential effects of offshore wind turbines on bird and bat populations. This plug and play software can be used with any standard desktop computer, thermal camera, and statistical software to identify species and behaviors of animals in offshore locations.
Barge-mounted treating plant to serve Prudhoe Bay injection program
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
1983-01-01
A barge-mounted Seawater Treating Plant (STP) which will serve the largest waterflood project on the North American continent is nearing completion at Daewoo Shipbuilding and Heavy Machinery Ltd. of Korea. The $150-million facility, the first such offshore plant ever built, will provide 2.2 million bpd of filtered, demineralized and warmed seawater under pressure for injection into the Prudhoe Bay, Alaska, oil field. It will be towed from Daewoo's Okpo, Korea, shipyard, in May with expected delivery to Alaska in July. The water output from the STP will maintain, when operational, the pressure necessary to continue the field's current production ofmore » 1.5 million bpd. The STP is being fabricated as a complete unit on its own integral hull. It will be positioned and set in a prepared offshore gravel foundation on the seabed by controlled ballasting. After its estimated service life of 25 years, the STP can be removed from the site by deballasting and towing. Construction requirements for the STP are discussed.« less
NASA Technical Reports Server (NTRS)
Marshall, H. G. (Principal Investigator)
1973-01-01
The author has identified the following significant results. Water samples taken in offshore waters between Cap Cod, Massachusetts, and Charleston, South Carolina have been used with other sea truth information as a basis to correlate productivity values with ERTS-1 sensory data. Positive correlations were established on January 26, 1973 regarding chlorophyll concentrations and optical density values.
Impact of Offshore Wind Energy Plants on the Soil Mechanical Behaviour of Sandy Seafloors
NASA Astrophysics Data System (ADS)
Stark, Nina; Lambers-Huesmann, Maria; Zeiler, Manfred; Zoellner, Christian; Kopf, Achim
2010-05-01
Over the last decade, wind energy has become an important renewable energy source. Especially, the installation of offshore windfarms offers additional space and higher average wind speeds than the well-established windfarms onshore. Certainly, the construction of offshore wind turbines has an impact on the environment. In the framework of the Research at Alpha VEntus (RAVE) project in the German offshore wind energy farm Alpha Ventus (north of the island Borkum in water depths of about 30 m) a research plan to investigate the environmental impact had been put into place. An ongoing study focuses on the changes in soil mechanics of the seafloor close to the foundations and the development of scour. Here, we present results of the first geotechnical investigations after construction of the plants (ca. 1 - 6 months) compared to geotechnical measurements prior to construction. To study the soil mechanical behaviour of the sand, sediment samples from about thirty different positions were measured in the laboratory to deliver, e.g., grain size (0.063 - 0.3 mm), friction angles (~ 32°), unit weight (~ 19.9 kN/m³) and void ratios (~ 0.81). For acoustic visualisation, side-scan-sonar (towed and stationary) and multibeam-echosounders (hull mounted) were used. Data show a flat, homogenous seafloor prior to windmill erection, and scouring effects at and in the vicinity of the foundations afterwards. Geotechnical in-situ measurements were carried out using a standard dynamic Cone Penetration Testing lance covering the whole windfarm area excluding areas in a radius < 50 m from the installed windmills (due the accessibility with the required research vessel). In addition, the small free-fall penetrometer Nimrod was deployed at the same spots, and furthermore, in the areas close to the tripod foundations (down to a distance of ~ 5 m from the central pile). Before construction, CPT as well as Nimrod deployments confirm a flat, homogenous sandy area with tip resistance values ranging from 1200 - 1600 kPa (CPT with a mass of ~ 100 kg and an impact velocity of ~ 1 m/s) and quasi-static bearing capacities (qsbc.) mainly ranging from 39 - 69 kPa (Nimrod: mass of ~ 13 kg, impact velocity of ~ 8 m/s). There was no evidence for layering in results of both in-situ instruments. After construction, most of the positions show changes in sediment strength ranging from 10 % up to 100 % compared to the results prior to windmill construction. Extreme changes (> 50 %) occur above all close to the foundations. Furthermore, patterns of relatively soft zones (qsbc.: 50 - 80 kPa) and hard zones (qsbc. > 100 kPa) were mapped during the high-resolution surveys close to the foundation. Beside that, a very soft sediment layer (0.03 - 0.05 m) drapes most of the soft zones. This may be recently eroded and re-deposited sediment, whereas the hard zones may indicate areas of sediment erosion where looser material has been carried away. Reasons for sediment remobilization and changes in geotechnical properties may be scouring as a consequence of the changed hydrodynamics in the vicinity of the windmills. Besides first developments of scour, the side scan sonar results show relicts of the wind turbine erection (e.g., footprints of jack-up-platforms). First multibeam-echosounder measurements confirm sediment re-deposition due to scour in the lee of the main current direction and show traces of wind turbine erection equipment in the same areas where also the penetrometer measurements took place. In summary, a local impact of the wind turbines on the soil mechanical properties of the seafloor is attested from this initial post-erection survey. Future cruises (every 6 months) will complement those data, which will eventually allow us a comparison to, or even refinement of long-term scouring models.
75 FR 75662 - Sunshine Act Meeting
Federal Register 2010, 2011, 2012, 2013, 2014
2010-12-06
..., union representatives and industry groups' to discuss regulation of offshore drilling operations in the... from leading safety experts involved in offshore drilling activities from countries including the... be holding an all day symposium entitled ``International Models of Offshore Oil Rig Regulation'' on...
U.S. Offshore Wind Port Readiness
DOE Office of Scientific and Technical Information (OSTI.GOV)
C. Elkinton, A. Blatiak, H. Ameen
2013-10-13
This study will aid decision-makers in making informed decisions regarding the choice of ports for specific offshore projects, and the types of investments that would be required to make individual port facilities suitable to serve offshore wind manufacturing, installation and/or operations.
2013 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana R.; Connerton, Michael J.; LaPan, Steve; Trometer, Betsy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2014-01-01
Phosphorus showed high variation across nearshore (10 m depth) sites but was more stable at offshore (20 m and deeper) stations. In June and July, sites at the mouth of the Niagara River and at Oak Orchard had high phosphorus concentrations (20 – 46 μg/L). Epilimnetic average April-Oct total phosphorus (TP) ranged between 6.9 and 19.9 μg/L in the nearshore and between 5.8 and 10.2 μg/L in the offshore. Average April-Oct soluble reactive phosphorus (SRP) ranged from 0.9 to 7.3 μg/L in the nearshore and 0.8 to 1.4 μg/L in the offshore. TP and SRP were significantly higher in the nearshore than in the offshore.Spring TP has declined in the longer data series (since 1981), but not since 1995. It averaged 8.4 μg/L in the nearshore and 5.0 μg/L in the offshore in 2013—below the 10 μg/L target set by the Great Lakes Water Quality Agreement of 1978 for offshore waters of Lake Ontario.Offshore summer chlorophyll-a declined significantly in both the short- (1995-2013) and long-term (1981-2013) time series at a rate of 3-4% per year. Nearshore chlorophyll-a increased after 2003 but then declined again after 2009. Epilimnetic chlorophyll-aaveraged between 0.5 and 1.3 μg/L across sites with no difference between nearshore and offshore habitats. Average seasonal Secchi disk depth ranged from 4.5 m to 10.6 m and was higher in the offshore (average 8.1 m) than nearshore stations (6.3 m). These values are indicative of oligotrophic conditions in both habitats.In 2013, Apr/May - Oct epilimnetic zooplankton size and total biomass were significantly higher in the offshore than the nearshore. However, with the exception of Limnocalanus (higher in offshore), there were no differences between habitats for any of the zooplankton groups.Most of the zooplankton biomass was in the metalimnion and hypolimnion during the day in 2013. Between 65 and 98% of zooplankton biomass was found below the thermocline throughout the year.The predatory cladoceran Cercopagis continued to be abundant in the summer, peaking at ~7 mg/m3in the offshore. Bythotrephes peaked in October (~0.7 mg/m3), but Bythotrephes biomass was at its lowest biomass in both offshore and nearshore stations since 2005.Summer nearshore zooplankton density and biomass have declined significantly since 1995 at rates of 9-10% per year. Nearshore epilimnetic zooplankton density and biomass have remained stable since 2005 at low levels relative to previous years.Summer offshore zooplankton density and biomass in the epilimnion of Lake Ontario have also declined since 1995 at rates of 10-14% per year, but those declines are marginally significant; density declined significantly in the long-term (since 1981) but has remained at a lower stable level since 2005.Bosminid and cyclopoid copepod biomass declined significantly in nearshore waters. The same pattern occurred in the offshore but declines were significant for bosminids and marginally significant for cyclopoid copepods. Daphnid biomass has also declined significantly in the nearshore.The decline in Daphnid biomass nearshore and Bythotrephes biomass offshore and nearshore is indicative of increased planktivory by alewife. Significant declines in Bosminid and cyclopoid copepod biomass is indicative of increased invertebrate predation by Cercopagis and Bythotrephes in recent years.
NASA Astrophysics Data System (ADS)
Watanabe, A.; Yamamoto, T.; Nadaoka, K.; Maeda, Y.; Miyajima, T.; Tanaka, Y.; Blanco, A. C.
2013-03-01
A carbonate system dynamics (CSD) model was developed in a fringing reef on the east coast of Ishigaki Island, southwest Japan, by incorporating organic and inorganic carbon fluxes (photosynthesis and calcification), air-sea gas exchanges, and benthic cover of coral and seagrass into a three-dimensional hydrodynamic model. The CSD model could reproduce temporal variations in dissolved inorganic carbon (DIC) and total alkalinity in coral zones, but not in seagrass meadows. The poor reproduction in seagrass meadows can be attributed to significant contributions of submarine groundwater discharge as well as misclassification of remotely sensed megabenthos in this area. In comparison with offshore areas, the reef acted as a CO2 sink during the observation period when it was averaged over 24 h. The CSD model also indicated large spatiotemporal differences in the carbon dioxide (CO2) sink/source, possibly related to hydrodynamic features such as effective offshore seawater exchange and neap/spring tidal variation. This suggests that the data obtained from a single point observation may lead to misinterpretation of the overall trend and thus should be carefully considered. The model analysis also showed that the advective flux of DIC from neighboring grids is several times greater than local biological flux of DIC and is three orders of magnitude greater than the air-sea gas flux at the coral zone. Sensitivity tests in which coral or seagrass covers were altered revealed that the CO2 sink potential was much more sensitive to changes in coral cover than seagrass cover.
NASA Astrophysics Data System (ADS)
Turnbull, I. D.; Torbati, R. Z.; Taylor, R. S.
2017-07-01
Understanding the relative influences of the metocean forcings on the drift of sea ice floes is a crucial component to the overall characterization of an ice environment and to developing an understanding of the factors controlling the ice dynamics. In addition, estimating the magnitude of the internal stress gradients on drifting sea ice floes generated by surrounding ice cover is important for modeling operations, informing the design of offshore structures and vessels in ice environments, and for the proper calibration of Discrete Element Models (DEM) of fields of drifting ice floes. In the spring of 2015 and 2016, four sea ice floes offshore Makkovik, Labrador were tagged with satellite-linked ice tracking buoys along with one satellite-linked weather station on each floe to transmit wind speed and direction. Twenty satellite-linked Lagrangian surface ocean current tracking buoys were also deployed in the open water adjacent to the targeted ice floes. In this paper, the dynamics of the four ice floes are explored in terms of the relative proportions which were forced by the wind, current, sea surface topography, Coriolis, and internal stress gradients. The internal ice stress gradients are calculated as residuals between the observed accelerations of the floes as measured by the tracking buoys and the sums of the other metocean forcings. Results show that internal ice stress gradients accounted for up to 50% of the observed forcing on the floes, and may have reached up to around 0.19 kPa.
Subtidal circulation on the Alabama shelf during the Deepwater Horizon oil spill
NASA Astrophysics Data System (ADS)
Dzwonkowski, Brian; Park, Kyeong
2012-03-01
Water column velocity and hydrographic measurements on the inner Alabama shelf are used to examine the flow field and its forcing dynamics during the Deepwater Horizon oil spill disaster in the spring and summer of 2010. Comparison between two sites provides insight into the flow variability and dynamics of a shallow, highly stratified shelf in the presence of complicating geographic and bathymetric features. Seasonal currents reveal a convergent flow with strong, highly sheared offshore flow near a submarine bank just outside of Mobile Bay. At synoptic time scales, the flow is relatively consistent with typical characteristics of wind-driven Ekman coastal circulation. Analysis of the depth-averaged along-shelf momentum balance indicates that both bottom stress and along-shelf pressure gradient act to counter wind stress. As a consequence of the along-shelf pressure gradient and thermal wind shear, flow reversals in the bottom currents can occur during periods of transitional winds. Despite the relatively short distance between the two sites (14 km), significant spatial variability is observed. This spatial variability is argued to be a result of local variations in the bathymetry and density field as the study region encompasses a submarine bank near the mouth of a major freshwater source. Given the physical parameters of the system, along-shelf flow in this region would be expected to separate from the local isobaths, generating a mean offshore flow. The local, highly variable density field is expected to be, in part, responsible for the differences in the vertical variability in the current profiles.
Morgan, Jeffrey; Crooks, Valorie A; Sampson, Carla Jackie; Snyder, Jeremy
2017-06-02
Offshore medical schools are for-profit, private enterprises located in the Caribbean that provide undergraduate medical education to students who must leave the region for postgraduate training and also typically to practice. This growing industry attracts many medical students from the US and Canada who wish to return home to practice medicine. After graduation, international medical graduates can encounter challenges obtaining residency placements and can face other barriers related to practice. We conducted a qualitative thematic analysis to discern the dominant messages found on offshore medical school websites. Dominant messages included frequent references to push and pull factors intended to encourage potential applicants to consider attending an offshore medical school. We reviewed 38 English-language Caribbean offshore medical school websites in order to extract and record content pertaining to push and pull factors. We found two push and four pull factors present across most offshore medical school websites. Push factors include the: shortages of physicians in the US and Canada that require new medical trainees; and low acceptance rates at medical schools in intended students' home countries. Pull factors include the: financial benefits of attending an offshore medical school; geographic location and environment of training in the Caribbean; training quality and effectiveness; and the potential to practice medicine in one's home country. This analysis contributes to our understanding of some of the factors behind students' decisions to attend an offshore medical school. Importantly, push and pull factors do not address the barriers faced by offshore medical school graduates in finding postgraduate residency placements and ultimately practicing elsewhere. It is clear from push and pull factors that these medical schools heavily focus messaging and marketing towards students from the US and Canada, which raises questions about who benefits from this offshoring practice.
NASA Astrophysics Data System (ADS)
Xu, Kehui; Sanger, Denise; Riekerk, George; Crowe, Stacie; Van Dolah, Robert F.; Wren, P. Ansley; Ma, Yanxia
2014-08-01
Beach nourishment has been a strategy widely used to slow down coastal erosion in many beaches around the world. The dredging of sand at the borrow site, however, can have complicated physical, geological and ecological impacts. Our current knowledge is insufficient to make accurate predictions of sediment infilling in many dredging pits due to lack of detailed sediment data. Two sites in the sandy shoal southeast of Port Royal Sound (PRS) of South Carolina, USA, were sampled 8 times from April 2010 to March 2013; one site (defined as 'borrow site') was 2 km offshore and used as the dredging site for beach nourishment of nearby Hilton Head Island in Beaufort County, South Carolina, and the other site (defined as 'reference site') was 10 km offshore and not directly impacted by the dredging. A total of 184 surficial sediment samples were collected randomly at two sites during 8 sampling periods. Most sediments were fine sand, with an average grain size of 2.3 phi and an organic matter content less than 2%. After the dredging in December 2011-January 2012, sediments at the borrow site became finer, changing from 1.0 phi to 2.3 phi, and carbonate content decreased from 10% to 4%; changes in mud content and organic matter were small. Compared with the reference site, the borrow site experienced larger variations in mud and carbonate content. An additional 228 sub-samples were gathered from small cores collected at 5 fixed stations in the borrow site and 1 fixed station at the reference site 0, 3, 6, 9, and 12 months after the dredging; these down-core sub-samples were divided into 1-cm slices and analyzed using a laser diffraction particle size analyzer. Most cores were uniform vertically and consisted of fine sand with well to moderately well sorting and nearly symmetrical averaged skewness. Based on the analysis of grain size populations, 2 phi- and 3 phi-sized sediments were the most dynamic sand fractions in PRS. Mud deposition on shoals offshore of PRS presumably happens when offshore mud transport is prevalent and there is a following rapid sand accumulation to bury the mud. However, in this borrow site there was very little accumulation of mud. This will allow the site to be used in future nourishment projects presuming no accumulation of mud occurs in the future.
NASA Astrophysics Data System (ADS)
Delgado-Fernandez, I.; Jackson, D.; Cooper, J. A.; Baas, A. C.; Lynch, K.; Beyers, M.
2010-12-01
Airflow separation, lee-side eddies and secondary flows play an essential role on the formation and maintenance of sand dunes. Downstream from dune crests the flow surface layer detaches from the ground and generates an area characterised by turbulent eddies in the dune lee slope (the wake). At some distance downstream from the dune crest, flow separates into a reversed component directed toward the dune toe and an offshore “re-attached” component. This reattachment zone (RZ) has been documented in fluvial and desert environments, wind tunnel experiments and numerical simulations, but not yet characterised in coastal dunes. This study examines the extent and temporal evolution of the RZ and its implications for beach-dune interaction at Magilligan, Northern Ireland. Wind parameters were measured over a profile extending from an 11 m height dune crest towards the beach, covering a total distance of 65 m cross-shore. Data was collected using an array of nine ultrasonic anemometers (UAs) deployed in April-May 2010, as part of a larger experiment to capture airflow data under a range of incident wind velocities and offshore directions. UAs were located along the profile (5 m tower spacing) over the beach, which allowed a detailed examination of the RZ with empirical data. Numerical modelling using Computational Fluid Dynamics (CFD) software was also conducted with input data from anemometer field measurements, running over a surface mesh generated from LiDAR and DGPS surveys. Results demonstrate that there is a wind threshold of approximately 5-6 ms-1 under which no flow separation exists with offshore winds. As wind speed increases over the threshold, a flow reversal area is quickly formed, with the maximum extent of the RZ at approximately 3.5 dune heights (h). The maximum extent of the RZ increases up to 4.5h with stronger wind speeds of 8-10 ms-1 and remains relatively constant as wind speed further increases. This suggests that the spatial extent of the RZ is independent of incident wind speed and is located between 4-5h. The magnitude of the maximum extent of the RZ is similar to that simulated using CFD and is consistent with previous studies conducted in desert dunes and wind tunnel simulations for offshore winds blowing over tall and sharp-crested dunes. Ongoing analyses are being conducted to evaluate the effect of changing wind direction, dune height and shape.
[Musculoskeletal disorders in the offshore oil industry].
Morken, Tone; Tveito, Torill H; Torp, Steffen; Bakke, Ashild
2004-10-21
Musculoskeletal disorders are important causes of sick leave and disability among Norwegian offshore petroleum workers. More knowledge and interventions are needed in order to prevent this. In this review we consider prevalence and risk factors among offshore petroleum workers and point to the need for more research. Literature searches on ISI Web of Science and PubMed were supplemented by reports from Norwegian offshore industry companies and the Norwegian Petroleum Directorate. Few studies were found on musculoskeletal disorders among offshore petroleum workers. The disorders are widespread, particularly among catering, construction and drilling personnel. It is not clear whether the prevalence is different from that among onshore workers. Risk factors are physical stressors and fast pace of work. Among catering personnel, these disorders are important causes of loss of the required health certificate but we could not identify any review of causes in the offshore industry generally. More scientific studies are needed on musculoskeletal disorders as comparisons of prevalence and risk factors for offshore and onshore workers may point to more effective interventions. Better knowledge of the causes of loss of the health certificate may contribute to preventing early retirement. Interventions to prevent these disorders should be evaluated by controlled intervention studies.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Robertson, Amy N.; Wendt, Fabian; Jonkman, Jason M.
This paper summarizes the findings from Phase Ib of the Offshore Code Comparison, Collaboration, Continued with Correlation (OC5) project. OC5 is a project run under the International Energy Agency (IEA) Wind Research Task 30, and is focused on validating the tools used for modelling offshore wind systems through the comparison of simulated responses of select offshore wind systems (and components) to physical test data. For Phase Ib of the project, simulated hydrodynamic loads on a flexible cylinder fixed to a sloped bed were validated against test measurements made in the shallow water basin at the Danish Hydraulic Institute (DHI) withmore » support from the Technical University of Denmark (DTU). The first phase of OC5 examined two simple cylinder structures (Phase Ia and Ib) to focus on validation of hydrodynamic models used in the various tools before moving on to more complex offshore wind systems and the associated coupled physics. As a result, verification and validation activities such as these lead to improvement of offshore wind modelling tools, which will enable the development of more innovative and cost-effective offshore wind designs.« less
Robertson, Amy N.; Wendt, Fabian; Jonkman, Jason M.; ...
2016-10-13
This paper summarizes the findings from Phase Ib of the Offshore Code Comparison, Collaboration, Continued with Correlation (OC5) project. OC5 is a project run under the International Energy Agency (IEA) Wind Research Task 30, and is focused on validating the tools used for modelling offshore wind systems through the comparison of simulated responses of select offshore wind systems (and components) to physical test data. For Phase Ib of the project, simulated hydrodynamic loads on a flexible cylinder fixed to a sloped bed were validated against test measurements made in the shallow water basin at the Danish Hydraulic Institute (DHI) withmore » support from the Technical University of Denmark (DTU). The first phase of OC5 examined two simple cylinder structures (Phase Ia and Ib) to focus on validation of hydrodynamic models used in the various tools before moving on to more complex offshore wind systems and the associated coupled physics. As a result, verification and validation activities such as these lead to improvement of offshore wind modelling tools, which will enable the development of more innovative and cost-effective offshore wind designs.« less
Risk analysis of maintenance ship collisions with offshore wind turbines
NASA Astrophysics Data System (ADS)
Presencia, Carla E.; Shafiee, Mahmood
2018-07-01
A large number of offshore wind farms are planned to be built in remote deep-sea areas over the next five years. Though offshore wind sites are often located away from commercial ship traffic, the increased demand for repair or replacement services leads to high traffic densities of "maintenance ships". To date, the risk analysis of collision between maintenance ship vessels and offshore wind turbines has received very little attention. In this paper, we propose a methodology to evaluate and prioritise the collision risks associated with various kinds of ships used for carrying out maintenance tasks on different subassemblies of wind turbines in an offshore wind farm. It is also studied how the risks of ship collision with wind turbines are distributed between two main types of maintenance tasks, namely corrective and preventative. The proposed model is tested on an offshore wind turbine with seventeen components requiring five kinds of ships to perform the maintenance tasks. Our results indicate that collision risks are mostly associated with maintenance of few components of the wind turbine and in particular, those undergoing a corrective maintenance (replacement). Finally, several mitigation strategies are introduced to minimise the risk of maintenance ship collisions with offshore wind turbines.
Strategic Orientation in the Globalization of Software Firms
NASA Astrophysics Data System (ADS)
Dedrick, Jason; Kraemer, Kenneth L.; Carmel, Erran; Dunkle, Debora
In the search for profits, software firms are globalizing their development activities. Some firms achieve greater profits by becoming more efficient, whereas others do so by reaching new markets; some do both. This paper creates an a priori typology of strategies based on the extent to which firms are focused on operational improvement or market access, have a dual focus or are unfocused. We find that firms with these strategies differ in degree of internationalization, organization of offshoring and performance outcomes related to offshoring. Market-oriented firms receive a greater proportion of their total revenue from sales outside the U.S., showing a greater international orientation. They keep more of their offshore development in-house via captive operations. They also are most likely to report increased non-U.S. sales as a result of offshoring. On the other hand, operations-oriented firms have lower levels of international sales, are more likely to go offshore via outsourced software development, and achieve greater costs savings and labor force flexibility as a result of offshoring. Operations-oriented firms also face more obstacles in offshoring, perhaps because of their reliance on outsourcing. Dual focus firms generally achieve some of the best of both strategies, whereas unfocused firms achieve lower cost benefits.
Notes on the uwainat oil rim development, Maydan Mahzam and Bul Hanine Fields, offshore Qatar
DOE Office of Scientific and Technical Information (OSTI.GOV)
Hamam, K.A.
As a result of reservoir simulation studies of the Uwainat reservoirs (Maydan Mahzam and Bul Hanine Fields), drilling to the Uwainat oil rim target became very ''tight'' with a very limited vertical tolerance. To achieve drilling to the tight target requires a precise position of the well at the top of the Lower Arab IV reservoir (a reliable marker) and an accurate isochore of the Lower Arab IV - Uwainat. The discussion shows that the level of accuracy needed in determining both the actual subsea well position and in constructing the depth contours of the reservoirs is extremely high.
Trace metal dynamics in zooplankton from the Bay of Bengal during summer monsoon.
Rejomon, G; Kumar, P K Dinesh; Nair, M; Muraleedharan, K R
2010-12-01
Trace metal (Fe, Co, Ni, Cu, Zn, Cd, and Pb) concentrations in zooplankton from the mixed layer were investigated at 8 coastal and 20 offshore stations in the western Bay of Bengal during the summer monsoon of 2003. The ecotoxicological importance of trace metal uptake was apparent within the Bay of Bengal zooplankton. There was a distinct spatial heterogeneity of metals, with highest concentrations in the upwelling zones of the southeast coast, moderate concentrations in the cyclonic eddy of the northeast coast, and lowest concentrations in the open ocean warm gyre regions. The average trace metal concentrations (μg g⁻¹) in coastal zooplankton (Fe, 44894.1 ± 12198.2; Co, 46.2 ± 4.6; Ni, 62.8 ± 6.5; Cu, 84.9 ± 6.7; Zn, 7546.8 ± 1051.7; Cd, 46.2 ± 5.6; Pb, 19.2 ± 2.6) were higher than in offshore zooplankton (Fe, 3423.4 ± 681.6; Co, 19.5 ± 3.81; Ni, 25.3 ± 7.3; Cu, 29.4 ± 4.2; Zn, 502.3 ± 124.3; Cd, 14.3 ± 2.9; Pb, 3.2 ± 2.0). A comparison of average trace metal concentrations in zooplankton from the Bay of Bengal showed enrichment of Fe, Co, Ni, Cu, Zn, Cd, and Pb in coastal zooplankton may be related to metal absorption from primary producers, and differences in metal concentrations in phytoplankton from coastal waters (upwelling zone and cyclonic eddy) compared with offshore waters (warm gyre). Zooplankton showed a great capacity for accumulations of trace metals, with average concentration factors of 4 867 929 ± 569 971, 246 757 ± 51 321, 337 180 ± 125 725, 43 480 ± 11 212, 1 046 371 ± 110 286, 601 679 ± 213 949, and 15 420 ± 9201 for Fe, Co, Ni, Cu, Zn, Cd, and Pb with respect to dissolved concentrations in coastal and offshore waters of the Bay of Bengal. © 2009 Wiley Periodicals, Inc. Environ Toxicol, 2009. Copyright © 2009 Wiley Periodicals, Inc.
NASA Astrophysics Data System (ADS)
Gomez, C. D.; Escobar, L., Sr.; Rathnayaka, S.; Weeraratne, D. S.; Kohler, M. D.
2016-12-01
The California continental margin, a major transform plate boundary in continental North America, is the locus of complex tectonic stress fields that are important in interpreting both remnant and ongoing deformational strain. Ancient subduction of the East Pacific Rise spreading center, the rotation and translation of tectonic blocks and inception of the San Andreas fault all contribute to the dynamic stress fields located both onshore and offshore southern California. Data obtained by the ALBACORE (Asthenospheric and Lithospheric Broadband Architecture from the California Offshore Region Experiment) and the CISN (California Integrated Seismic Network) seismic array are analyzed for azimuthal anisotropy of Rayleigh waves from 80 teleseismic events at periods 16 - 78 s. Here we invert Rayleigh wave data for shear wave velocity structure and three-dimensional seismic anisotropy in the thee regions designated within the continental margin including the continent, seafloor and California Borderlands. Preliminary results show that seismic anisotropy is resolved in multiple layers and can be used to determine the lithosphere-asthenosphere boundary (LAB) in offshore and continental regions. The oldest seafloor in our study at age 25-35 Ma indicates that the anisotropic transition across the LAB occurs at 73 km +/- 25 km with the lithospheric fast direction oriented WNW-ESE, consistent with current Pacific plate motion direction. The continent region west of the San Andreas indicates similar WNW-ESE anisotropy and LAB depth. Regions east of the San Andreas fault indicate NW-SE anisotropy transitioning to a N-S alignment at 80 km depth north of the Garlock fault. The youngest seafloor (15 - 25 Ma) and outer Borderlands indicate a more complex three layer fabric where shallow lithospheric NE-SW fast directions are perpendicular with ancient Farallon subduction arc, a mid-layer with E-W fast directions are perpendicular to remnant fossil fabric, and the deepest layer indicates NW-SE fast directions below the LAB likely controlled by current Pacific plate motion. The inner Borderland indicates two layer anisotropic structure with a shallow NW-SE lithospheric fast direction that changes to NE-SW fast directions below the LAB, possibly consistent with the ancient subduction direction.