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Sample records for offshore gtl plants

  1. Innovative Offshore Wind Plant Design Study

    SciTech Connect

    Hurley, William L.; Nordstrom, Charles J.; Morrison, Brent J.

    2013-12-18

    Technological advancements in the Glosten PelaStar floating wind turbine system have led to projected cost of energy (COE) reductions from today’s best-in-class offshore wind systems. The PelaStar system is projected to deliver a COE that is 35% lower than that delivered by the current offshore wind plants. Several technology developments have been achieved that directly target significant cost of energy reductions. These include: Application of state-of-the-art steel construction materials and methods, including fatigue-resistant welding techniques and technologies, to reduce hull steel weight; Advancements in synthetic fiber tendon design for the mooring system, which are made possible by laboratory analysis of full-scale sub-rope specimens; Investigations into selected anchor technologies to improve anchor installation methods; Refinement of the installation method, specifically through development of the PelaStar Support Barge design. Together, these technology developments drive down the capital cost and operating cost of offshore wind plants and enable access to superb wind resources in deep water locations. These technology developments also reduce the uncertainty of the PelaStar system costs, which increases confidence in the projected COE reductions.

  2. Computational Resources for GTL

    SciTech Connect

    Herbert M. Sauro

    2007-12-18

    This final report summarizes the work conducted under our three year DOE GTL grant ($459,402). The work involved a number of areas, including standardization, the Systems Biology Workbench, Visual Editors, collaboration with other groups and the development of new theory and algorithms. Our work has played a key part in helping to further develop SBML, the de facto standard for System Biology Model exchange and SBGN, the developing standard for visual representation for biochemical models. Our work has also made significant contributions to developing SBW, the systems biology workbench which is now very widely used in the community (roughly 30 downloads per day for the last three years, which equates to about 30,000 downloads in total). We have also used the DOE funding to collaborate extensively with nine different groups around the world. Finally we have developed new methods to reduce model size which are now used by all the major simulation packages, including Matlab. All in all, we consider the last three years to be highly productive and influential in the systems biology community. The project resulted in 16 peer review publications.

  3. GTL-1 Irradiation Summary Report

    SciTech Connect

    D. M. Perez; G. S. Chang; N. E. Woolstenhulme; D. M. Wachs

    2012-01-01

    The primary objective of the Gas Test Loop (GTL-1) miniplate experiment is to confirm acceptable performance of high-density (i.e., 4.8 g-U/cm3) U3Si2/Al dispersion fuel plates clad in Al-6061 and irradiated under the relatively aggressive Booster Fast Flux Loop (BFFL) booster fuel conditions, namely a peak plate surface heat flux of 450 W/cm2. As secondary objectives, several design and fabrication variations were included in the test matrix that may have the potential to improve the high-heat flux, high-temperature performance of the base fuel plate design.1, 2 The following report summarizes the life of the GTL-1 experiment through end of irradiation, including as-run neutronic analysis, thermal analysis and hydraulic testing results.

  4. GTL technologies focus on lowering costs

    SciTech Connect

    Corke, M.J.

    1998-09-21

    Difficulties in the development of major natural-gas production projects and the limitations imposed by saturated markets for LNG or pipeline gas have focused attention on alternative gas utilization approaches. At the same time, technology improvements have transformed the Fischer-Tropsch (F-T) conversion of natural gas-to-liquid (GTL) hydrocarbons from a technically interesting but uneconomic option into an option worthy of serious consideration. This two-part series reviews GTL technology developments which have led to today`s situation (Part 1) and examines the economics of GTL conversion (Part 2). The economic viability of GTL projects mainly depends on feed-gas pricing, investment costs, and the potential to produce liquids with natural-gas production.

  5. Economics favor GTL projects with condensate coproduction

    SciTech Connect

    Corke, M.J.

    1998-09-28

    A moderate scale (20,000 b/d) gas-to-liquids (GTL) project can have viable economics if condensate revenues are credited to the project. Many reserves contain valuable condensates and other liquids as well as natural gas. Without such coproduction, near-to-medium term economics are challenging. A few projects of this size will pave the way for larger projects that benefit from economies of scale. The larger projects will have viable economics without the benefits of liquid coproduction. Liquid coproduction gives the larger projects even stronger economics. These economics and further technology developments create strong prospects for a GTL industry. The most difficult challenge is taking the first steps. Flexibility will be needed on the part of host governments with regard to feed-gas pricing, the allocation of revenues from coproduced liquids, and tax and royalty questions. Project sponsors may have to accept greater risks and lower returns than they ideally wish. The prize for success, however, is substantial. The first part of this two-part series reviewed the development of GTL technology and the status of existing and proposed GTL projects. This second part considers the opportunities for new GTL projects based on economics. The available of suitable gas resources and the drivers for GTL developments are discussed first.

  6. Fouling assemblages on offshore wind power plants and adjacent substrata

    NASA Astrophysics Data System (ADS)

    Wilhelmsson, Dan; Malm, Torleif

    2008-09-01

    A significant expansion of offshore wind power is expected in the near future, with thousands of turbines in coastal waters, and various aspects of how this may influence the coastal ecology including disturbance effects from noise, shadows, electromagnetic fields, and changed hydrological conditions are accordingly of concern. Further, wind power plants constitute habitats for a number of organisms, and may locally alter assemblage composition and biomass of invertebrates, algae and fish. In this study, fouling assemblages on offshore wind turbines were compared to adjacent hard substrate. Influences of the structures on the seabed were also investigated. The turbines differed significantly from adjacent boulders in terms of assemblage composition of epibiota and motile invertebrates. Species number and Shannon-Wiener diversity were, also, significantly lower on the wind power plants. It was also indicated that the turbines might have affected assemblages of invertebrates and algae on adjacent boulders. Off shore wind power plant offer atypical substrates for fouling assemblages in terms of orientation, depth range, structure, and surface texture. Some potential ecological implications of the addition of these non-natural habitats for coastal ecology are discussed.

  7. Particle size distribution from a GTL engine.

    PubMed

    Li, Xinling; Huang, Zhen; Wang, Jiasong; Zhang, Wugao

    2007-09-01

    Measurements of exhaust particle number concentration and size distribution from an engine fueled with GTL at different engine loads and speeds were carried out by using a two-stage dilution system. The results for GTL were compared with those from the original engine fueled with diesel. The fuel composition and engine operation condition had significant effects on the exhaust particle size distribution, the total exhaust particle number and volume concentrations. For both fuels, the load had no significant influence on the total exhaust particle number concentration at middle speed, while the total exhaust particle number concentration increased with the increase of the load at high speed. At 1400 rpm and 2200 rpm, the total exhaust particle volume concentration increased as the load increased for both fuels. GTL was found to be a "cleaner" fuel. Compared with diesel, under the same operation conditions, the total exhaust particle number concentrations decreased 18-92%, and the total exhaust particle volume concentrations for GTL decreased 21-59%.

  8. Greenhouse Gas Emission Evaluation of the GTL Pathway.

    PubMed

    Forman, Grant S; Hahn, Tristan E; Jensen, Scott D

    2011-10-15

    Gas to liquids (GTL) products have the potential to replace petroleum-derived products, but the efficacy with which any sustainability goals can be achieved is dependent on the lifecycle impacts of the GTL pathway. Life cycle assessment (LCA) is an internationally established tool (with GHG emissions as a subset) to estimate these impacts. Although the International Standard Organization's ISO 14040 standard advocates the system boundary expansion method (also known as the "displacement method" or the "substitution method") for life-cycle analyses, application of this method for the GTL pathway has been limited until now because of the difficulty in quantifying potential products to be displaced by GTL coproducts. In this paper, we use LCA methodology to establish the most comprehensive GHG emissions evaluation to date of the GTL pathway. The influence of coproduct credit methods on the GTL GHG emissions results using substitution methodology is estimated to afford the Well-to-Wheels (WTW) greenhouse gas (GHG) intensity of GTL Diesel. These results are compared to results using energy-based allocation methods of reference GTL diesel and petroleum-diesel pathways. When substitution methodology is used, the resulting WTW GHG emissions of the GTL pathway are lower than petroleum diesel references. In terms of net GHGs, an interesting way to further reduce GHG emissions is to blend GTL diesel in refineries with heavy crudes that require severe hydrotreating, such as Venezuelan heavy crude oil or bitumen derived from Canadian oil sands and in jurisdictions with tight aromatic specifications for diesel, such as California. These results highlight the limitation of using the energy allocation approach for situations where coproduct GHG emissions reductions are downstream from the production phase.

  9. Combining Wind and Wave Energy in Offshore Power Plants to Reduce Variability in Electrical Generation

    NASA Astrophysics Data System (ADS)

    Stoutenburg, E.

    2008-12-01

    While wave energy is primarily a wind driven phenomenon, at a particular location and time the energy levels in the wind and waves may be different. The correlation between wind and wave energy is sufficiently weak that combining the two energy sources in a collocated offshore power plant reduces the variability in electrical generation. A preliminary examination of offshore locations along the west coast of the U.S. using buoy data shows two advantages of combining the two energy sources: 1) the number of hours of no power generation in a given year is significantly decreased, which reduces the intermittency of the power plant; 2) a decrease in the variability of the generation curve, which reduces the drops and surges of voltage at the grid interconnection point. The power generation curves for the hypothetical combined wind and wave offshore power plants use atmospheric conditions, wind speed, and wave statistics collected by NOAA buoys, and a common commercial offshore wind turbine model paired with a wave energy convertor in early commercial development in a reasonable array configuration. The hypothetical offshore power plants are located in areas with both a quality wind and wave resource near existing or feasible transmission corridors. Multiple locations along the west coast of the U.S. are used to demonstrate this reduction in power variability and intermittency.

  10. U.S. Department of Energy's Genomics: GTL Bioenergy Research Centers White Paper

    SciTech Connect

    none,

    2006-08-01

    The Genomics:GTL Bioenergy Research Centers will be dedicated to fundamental research on microbe and plant systems with the goal of developing knowledge that will advance biotechnology-based strategies for biofuels production. The aim is to spur substantial progress toward cost-effective production of biologically based renewable energy sources. This document describes the rationale for the establishment of the centers and their objectives in light of the U.S. Department of Energy’s mission and goals.

  11. The Arabidopsis GTL1 Transcription Factor Regulates Water Use Efficiency and Drought Tolerance by Modulating Stomatal Density via Transrepression of SDD1[W][OA

    PubMed Central

    Yoo, Chan Yul; Pence, Heather E.; Jin, Jing Bo; Miura, Kenji; Gosney, Michael J.; Hasegawa, Paul M.; Mickelbart, Michael V.

    2010-01-01

    A goal of modern agriculture is to improve plant drought tolerance and production per amount of water used, referred to as water use efficiency (WUE). Although stomatal density has been linked to WUE, the causal molecular mechanisms have yet to be determined. Arabidopsis thaliana GT-2 LIKE 1 (GTL1) loss-of-function mutations result in increased water deficit tolerance and higher integrated WUE by reducing daytime transpiration without a demonstrable reduction in biomass accumulation. gtl1 plants had higher instantaneous WUE that was attributable to ~25% lower transpiration and stomatal conductance but equivalent CO2 assimilation. Lower transpiration was associated with higher STOMATAL DENSITY AND DISTRIBUTION1 (SDD1) expression and an ~25% reduction in abaxial stomatal density. GTL1 expression occurred in abaxial epidermal cells where the protein was localized to the nucleus, and its expression was downregulated by water stress. Chromatin immunoprecipitation analysis indicated that GTL1 interacts with a region of the SDD1 promoter that contains a GT3 box. An electrophoretic mobility shift assay was used to determine that the GT3 box is necessary for the interaction between GTL1 and the SDD1 promoter. These results establish that GTL1 negatively regulates WUE by modulating stomatal density via transrepression of SDD1. PMID:21169508

  12. Genomics:GTL Bioenergy Research Centers White Paper

    SciTech Connect

    Mansfield, Betty Kay; Alton, Anita Jean; Andrews, Shirley H; Bownas, Jennifer Lynn; Casey, Denise; Martin, Sheryl A; Mills, Marissa; Nylander, Kim; Wyrick, Judy M; Drell, Dr. Daniel; Weatherwax, Sharlene; Carruthers, Julie

    2006-08-01

    In his Advanced Energy Initiative announced in January 2006, President George W. Bush committed the nation to new efforts to develop alternative sources of energy to replace imported oil and fossil fuels. Developing cost-effective and energy-efficient methods of producing renewable alternative fuels such as cellulosic ethanol from biomass and solar-derived biofuels will require transformational breakthroughs in science and technology. Incremental improvements in current bioenergy production methods will not suffice. The Genomics:GTL Bioenergy Research Centers will be dedicated to fundamental research on microbe and plant systems with the goal of developing knowledge that will advance biotechnology-based strategies for biofuels production. The aim is to spur substantial progress toward cost-effective production of biologically based renewable energy sources. This document describes the rationale for the establishment of the centers and their objectives in light of the U.S. Department of Energy's mission and goals. Developing energy-efficient and cost-effective methods of producing alternative fuels such as cellulosic ethanol from biomass will require transformational breakthroughs in science and technology. Incremental improvements in current bioenergy-production methods will not suffice. The focus on microbes (for cellular mechanisms) and plants (for source biomass) fundamentally exploits capabilities well known to exist in the microbial world. Thus 'proof of concept' is not required, but considerable basic research into these capabilities remains an urgent priority. Several developments have converged in recent years to suggest that systems biology research into microbes and plants promises solutions that will overcome critical roadblocks on the path to cost-effective, large-scale production of cellulosic ethanol and other renewable energy from biomass. The ability to rapidly sequence the DNA of any organism is a critical part of these new capabilities, but it is

  13. Impact of offshore nuclear power plants: forecasting visits to nearby beaches

    SciTech Connect

    Baker, E.J.; West, S.G.; Moss, D.J.; Weyant, J.M.

    1980-09-01

    Certain probable impacts on human behavior of a proposed offshore floating nuclear power plant are predicted. The potential magnitude of beach avoidance associated with a floating nuclear power plant, and the related adverse impact on tourism, are assessed. Beach attributes and visitor characteristics that may affect the decision to visit a beach with a nearby floating nuclear power plant are investigated. Predictor variables include concerns about safety, attitudes toward energy alternatives, and knowledge about nuclear power. At its closest point to shore, an offshore nuclear power plant would probably deter no more than 5-10% of the routine beach visitors. The amount of impact would decrease in accordance with a negative exponential function at more distant beaches. (4 graphs, 1 map, 31 references, 5 tables)

  14. Doubly Fed Induction Generator in an Offshore Wind Power Plant Operated at Rated V/Hz: Preprint

    SciTech Connect

    Muljadi, E.; Singh, M.; Gevorgian, V.

    2012-06-01

    This paper introduces the concept of constant Volt/Hz operation of offshore wind power plants. The deployment of offshore WPPs requires power transmission from the plant to the load center inland. Since this power transmission requires submarine cables, there is a need to use High-Voltage Direct Current transmission, which is economical for transmission distances longer than 50 kilometers. In the concept presented here, the onshore substation is operated at 60 Hz synced with the grid, and the offshore substation is operated at variable frequency and voltage, thus allowing the WPP to be operated at constant Volt/Hz.

  15. Variable Frequency Operations of an Offshore Wind Power Plant with HVDC-VSC: Preprint

    SciTech Connect

    Gevorgian, V.; Singh, M.; Muljadi, E.

    2011-12-01

    In this paper, a constant Volt/Hz operation applied to the Type 1 wind turbine generator. Various control aspects of Type 1 generators at the plant level and at the turbine level will be investigated. Based on DOE study, wind power generation may reach 330 GW by 2030 at the level of penetration of 20% of the total energy production. From this amount of wind power, 54 GW of wind power will be generated at offshore wind power plants. The deployment of offshore wind power plants requires power transmission from the plant to the load center inland. Since this power transmission requires submarine cable, there is a need to use High-Voltage Direct Current (HVDC) transmission. Otherwise, if the power is transmitted via alternating current, the reactive power generated by the cable capacitance may cause an excessive over voltage in the middle of the transmission distance which requires unnecessary oversized cable voltage breakdown capability. The use of HVDC is usually required for transmission distance longer than 50 kilometers of submarine cables to be economical. The use of HVDC brings another advantage; it is capable of operating at variable frequency. The inland substation will be operated to 60 Hz synched with the grid, the offshore substation can be operated at variable frequency, thus allowing the wind power plant to be operated at constant Volt/Hz. In this paper, a constant Volt/Hz operation applied to the Type 1 wind turbine generator. Various control aspects of Type 1 generators at the plant level and at the turbine level will be investigated.

  16. Genomics :GTL project quarterly report April 2005.

    SciTech Connect

    Rintoul, Mark Daniel; Martino, Anthony A.; Palenik, Brian; Heffelfinger, Grant S.; Xu, Ying; Geist, Al; Gorin, Andrey

    2005-11-01

    This SAND report provides the technical progress through April 2005 of the Sandia-led project, ''Carbon Sequestration in Synechococcus Sp.: From Molecular Machines to Hierarchical Modeling'', funded by the DOE Office of Science GenomicsGTL Program. Understanding, predicting, and perhaps manipulating carbon fixation in the oceans has long been a major focus of biological oceanography and has more recently been of interest to a broader audience of scientists and policy makers. It is clear that the oceanic sinks and sources of CO{sub 2} are important terms in the global environmental response to anthropogenic atmospheric inputs of CO{sub 2} and that oceanic microorganisms play a key role in this response. However, the relationship between this global phenomenon and the biochemical mechanisms of carbon fixation in these microorganisms is poorly understood. In this project, we will investigate the carbon sequestration behavior of Synechococcus Sp., an abundant marine cyanobacteria known to be important to environmental responses to carbon dioxide levels, through experimental and computational methods. This project is a combined experimental and computational effort with emphasis on developing and applying new computational tools and methods. Our experimental effort will provide the biology and data to drive the computational efforts and include significant investment in developing new experimental methods for uncovering protein partners, characterizing protein complexes, identifying new binding domains. We will also develop and apply new data measurement and statistical methods for analyzing microamy experiments. Computational tools will be essential to our efforts to discover and characterize the function of the molecular machines of Synechococcus. To this end, molecular simulation methods will be coupled with knowledge discovery from diverse biological data sets for high-throughput discovery and characterization of protein-protein complexes. In addition, we will

  17. Offshore based WARP{trademark} Power Spar buoys for multi-megawatt wind power plants

    SciTech Connect

    Weisbrich, A.L.; Rhodes, A.F.

    1998-12-31

    Since the earliest use of wind as a stationary power source, major consideration and effort has gone into the selection of a location with relatively high wind speed as well as proximity to the place of energy demand. As wind speed increases, collectible energy from the wind increases by the third power. That is, in a location with 20% higher wind speed, it is possible to generate 73% more power. If 50% higher wind velocity is available, 300% more power and energy can be generated. In the ideal, an offshore wind power plant should be easily and relatively inexpensively constructed, and economically sited in any depth water. In addition to these characteristics, if the typically excellent offshore winds could be amplified by as much as 50% to 80% and captured by low cost, highly reliable aircraft propeller sized wind turbines, substantial cost effectiveness and practicality would result. ENECO`s Wind amplified Rotor Platform (WARP{trademark}) Power Spar buoy system design appears to have the features needed to achieve these objectives and is proposed for test and commercialization.

  18. Magnesium excretion in C. elegans requires the activity of the GTL-2 TRPM channel.

    PubMed

    Teramoto, Takayuki; Sternick, Laura A; Kage-Nakadai, Eriko; Sajjadi, Shirine; Siembida, Jakub; Mitani, Shohei; Iwasaki, Kouichi; Lambie, Eric J

    2010-03-08

    Systemic magnesium homeostasis in mammals is primarily governed by the activities of the TRPM6 and TRPM7 cation channels, which mediate both uptake by the intestinal epithelial cells and reabsorption by the distal convoluted tubule cells in the kidney. In the nematode, C. elegans, intestinal magnesium uptake is dependent on the activities of the TRPM channel proteins, GON-2 and GTL-1. In this paper we provide evidence that another member of the TRPM protein family, GTL-2, acts within the C. elegans excretory cell to mediate the excretion of excess magnesium. Thus, the activity of GTL-2 balances the activities of the paralogous TRPM channel proteins, GON-2 and GTL-1.

  19. Genomics:GTL Contractor-Grantee Workshop IV and Metabolic Engineering Working Group Inter-Agency Conference on Metabolic Engineering 2006

    SciTech Connect

    Mansfield, Betty Kay; Martin, Sheryl A

    2006-02-01

    Welcome to the 2006 joint meeting of the fourth Genomics:GTL Contractor-Grantee Workshop and the six Metabolic Engineering Working Group Inter-Agency Conference. The vision and scope of the Genomics:GTL program continue to expand and encompass research and technology issues from diverse scientific disciplines, attracting broad interest and support from researchers at universities, DOE national laboratories, and industry. Metabolic engineering's vision is the targeted and purposeful alteration of metabolic pathways to improve the understanding and use of cellular pathways for chemical transformation, energy transduction, and supramolecular assembly. These two programs have much complementarity in both vision and technological approaches, as reflected in this joint workshop. GLT's challenge to the scientific community remains the further development and use of a broad array of innovative technologies and computational tools to systematically leverage the knowledge and capabilities brought to us by DNA sequencing projects. The goal is to seek a broad and predictive understanding of the functioning and control of complex systems--individual microbes, microbial communities, and plants. GTL's prominent position at the interface of the physical, computational, and biological sciences is both a strength and challenge. Microbes remain GTL's principal biological focus. In the complex 'simplicity' of microbes, they find capabilities needed by DOE and the nation for clean and secure energy, cleanup of environmental contamination, and sequestration of atmospheric carbon dioxide that contributes to global warming. An ongoing challenge for the entire GTL community is to demonstrate that the fundamental science conducted in each of your research projects brings us a step closer to biology-based solutions for these important national energy and environmental needs.

  20. Toxicological and ecotoxicological properties of gas-to-liquid (GTL) products. 1. Mammalian toxicology.

    PubMed

    Boogaard, Peter J; Carrillo, Juan-Carlos; Roberts, Linda G; Whale, Graham F

    2017-02-01

    Gas-to-liquid (GTL) products are synthetic hydrocarbons produced from natural gas using a Fischer-Tropsch process. This process yields a synthetic crude oil that consists of saturated hydrocarbons, primarily linear alkanes, with increasing amounts of branched (methyl-groups) alkanes as the chains get longer. In addition, small amounts of cycloalkanes (branched cyclopentanes and cyclohexanes) may be formed as the polymerization reaction prolongs. This synthetic crude can subsequently be refined to a range of products very similar to petroleum refining. However, in contrast to their petroleum-derived analogs, GTL products are essentially free of unsaturated or aromatic constituents and also no sulfur-, oxygen-, or nitrogen-containing constituents are present. From a regulatory perspective, GTL products are new substances which require extensive testing to assess their hazardous properties. As a consequence, a wide range of GTL products, covering the entire portfolio of GTL products, have been tested over the past few years in a wide variety of toxicological studies, including reproductive and prenatal development toxicity studies. This review provides an overview of the hazardous properties of the various GTL products. In general, the data collected on GTL products provide strong proof that they exert minimal health effects. In addition, these data provide supporting evidence for what is known on the mechanisms of mammalian toxicology of their petroleum-derived analogs. In the few cases where adverse effects were found for the GTL substances, these were usually less severe than the adverse effects observed with their petroleum-derived analogs.

  1. Molecular structure of bovine Gtl2 gene and DNA methylation status of Dlk1-Gtl2 imprinted domain in cloned bovines.

    PubMed

    Su, Hong; Li, Dongjie; Hou, Xiaohui; Tan, Beibei; Hu, Jiaqi; Zhang, Cui; Dai, Yunping; Li, Ning; Li, Shijie

    2011-08-01

    Somatic cell nuclear transfer (SCNT) is an inefficient process, which is due to incomplete reprogramming of the donor nucleus. DNA methylation of imprinted genes is essential to the reprogramming of the somatic cell nucleus in SCNT. Dlk1-Gtl2 imprinted domain has been widely studied in mouse and human. However, little is known in bovine, possibly because of limited appropriate sequences of bovine. In our study, we first isolated the cDNA sequence and found multiple transcript variants occurred in bovine Gtl2 gene, which was conserved among species. A probably 110-kb-long Dlk1-Gtl2 imprinted domain was detected on bovine chromosome 21. We identified the putative Gtl2 DMR and IG-DMR corresponding to the mouse and human DMRs and assessed the methylation status of the two DMRs and Dlk1 5' promoter in lungs of deceased SCNT bovines that died within 48h after birth and the normal controls. In cloned bovines, Gtl2 DMR exhibited hypermethylation, which was similar to controls. However, the methylation status of IG-DMR and Dlk1 5' promoter in clones was significantly different from controls, with severe loss of methylation in IG-DMR and hypermethylation in the Dlk1 5' promoter region. Our data suggested that abnormal methylation patterns of IG-DMR may lead to the abnormal expression of Gtl2 and Dlk1 5' hypermethylated promoter is associated with the aberrant development of lungs of cloned bovines, which consequently may contribute to the low efficiency of SCNT.

  2. STUDY OF TRANSPORTATION OF GTL PRODUCTS FROM ALASKAN NORTH SLOPE (ANS) TO MARKETS

    SciTech Connect

    Godwin A. Chukwu, Ph.D., P.E.

    2002-09-01

    The Alaskan North Slope is one of the largest hydrocarbon reserves in the US where Gas-to-Liquids (GTL) technology can be successfully implemented. The proven and recoverable reserves of conventional natural gas in the developed and undeveloped fields in the Alaskan North Slope (ANS) are estimated to be 38 trillion standard cubic feet (TCF) and estimates of additional undiscovered gas reserves in the Arctic field range from 64 TCF to 142 TCF. Transportation of the natural gas from the remote ANS is the key issue in effective utilization of this valuable and abundance resource. The throughput of oil through the Trans Alaska Pipeline System (TAPS) has been on decline and is expected to continue to decline in future. It is projected that by the year 2015, ANS crude oil production will decline to such a level that there will be a critical need for pumping additional liquid from GTL process to provide an adequate volume for economic operation of TAPS. The pumping of GTL products through TAPS will significantly increase its economic life. Transporting GTL products from the North Slope of Alaska down to the Marine terminal at Valdez is no doubt the great challenge facing the Gas to Liquids options of utilizing the abundant natural gas resource of the North Slope. The primary purpose of this study was to evaluate and assess the economic feasibility of transporting GTL products through the TAPS. Material testing program for GTL and GTL/Crude oil blends was designed and implemented for measurement of physical properties of GTL products. The measurement and evaluation of the properties of these materials were necessary so as to access the feasibility of transporting such materials through TAPS under cold arctic conditions. Results of the tests indicated a trend of increasing yield strength with increasing wax content. GTL samples exhibited high gel strengths at temperatures as high as 20 F, which makes it difficult for cold restart following winter shutdowns. Simplified

  3. 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

  4. Temperature-plant pigment-optical relations in a recurrent offshore mesoscale eddy near Point Conception, California

    NASA Technical Reports Server (NTRS)

    Simpson, James J.; Pelaez, Jose; Haury, Loren R.; Wiesenhahn, David; Koblinsky, Chester J.

    1986-01-01

    The temperature-plant pigment-optical structure of a mesoscale anticyclonic eddy consistently found in shipboard surveys and satellite-sensed data several hundred kilometers southwest of Point Conception, CA, is described on three different time scales (100-day mesoscale, annual, and several-year). The satellite coastal zone color scanner (CZCS) ocean color imagery detected the near-surface chlorophyll structure of the eddy, but in situ optical and plant pigment data suggest that such imagery does not provide a good estimate of the integrated chlorophyll field of the eddy. The temperature and plant pigment boundaries of the eddy, as determined from two-dimensional gradients of advanced very high resolution radiometer (AVHRR) and CZCS imagery, do not coincide spatially. This and in situ temperature, plant pigment, and optical structure provide additional evidence that some eddy systems in the California Current are not isolated vortex systems but rather continuously entrain waters of nonlocal origin laterally into their upper layers. Within the California Current a ratio of AVHRR/CZCS data is useful for separating inshore from oceanic water masses and following their surface entrainment by offshore vortices. The historical 28-year California Cooperative Oceanic Fisheries Investigations data for the Point Conception region of the California Current and remotely sensed data over this region show that the Point Conception eddy is a recurrent feature in the offshore California Current. Moreover, the available data provide evidence that a large number of warm-core mesoscale eddies occur simultaneously in a transition zone between coastal and oceanic regimes, that these features recur at preferred locations within the transition zone, and that this family of eddies should impose a significant offshore boundary condition on the flow of the California Current.

  5. Temperature-plant pigment-optical relations in a recurrent offshore mesoscale eddy near Point Conception, California

    NASA Technical Reports Server (NTRS)

    Simpson, James J.; Pelaez, Jose; Haury, Loren R.; Wiesenhahn, David; Koblinsky, Chester J.

    1986-01-01

    The temperature-plant pigment-optical structure of a mesoscale anticyclonic eddy consistently found in shipboard surveys and satellite-sensed data several hundred kilometers southwest of Point Conception, CA, is described on three different time scales (100-day mesoscale, annual, and several-year). The satellite coastal zone color scanner (CZCS) ocean color imagery detected the near-surface chlorophyll structure of the eddy, but in situ optical and plant pigment data suggest that such imagery does not provide a good estimate of the integrated chlorophyll field of the eddy. The temperature and plant pigment boundaries of the eddy, as determined from two-dimensional gradients of advanced very high resolution radiometer (AVHRR) and CZCS imagery, do not coincide spatially. This and in situ temperature, plant pigment, and optical structure provide additional evidence that some eddy systems in the California Current are not isolated vortex systems but rather continuously entrain waters of nonlocal origin laterally into their upper layers. Within the California Current a ratio of AVHRR/CZCS data is useful for separating inshore from oceanic water masses and following their surface entrainment by offshore vortices. The historical 28-year California Cooperative Oceanic Fisheries Investigations data for the Point Conception region of the California Current and remotely sensed data over this region show that the Point Conception eddy is a recurrent feature in the offshore California Current. Moreover, the available data provide evidence that a large number of warm-core mesoscale eddies occur simultaneously in a transition zone between coastal and oceanic regimes, that these features recur at preferred locations within the transition zone, and that this family of eddies should impose a significant offshore boundary condition on the flow of the California Current.

  6. Magnesium Excretion in C. elegans Requires the Activity of the GTL-2 TRPM Channel

    PubMed Central

    Teramoto, Takayuki; Sternick, Laura A.; Kage-Nakadai, Eriko; Sajjadi, Shirine; Siembida, Jakub; Mitani, Shohei; Iwasaki, Kouichi; Lambie, Eric J.

    2010-01-01

    Systemic magnesium homeostasis in mammals is primarily governed by the activities of the TRPM6 and TRPM7 cation channels, which mediate both uptake by the intestinal epithelial cells and reabsorption by the distal convoluted tubule cells in the kidney. In the nematode, C. elegans, intestinal magnesium uptake is dependent on the activities of the TRPM channel proteins, GON-2 and GTL-1. In this paper we provide evidence that another member of the TRPM protein family, GTL-2, acts within the C. elegans excretory cell to mediate the excretion of excess magnesium. Thus, the activity of GTL-2 balances the activities of the paralogous TRPM channel proteins, GON-2 and GTL-1. PMID:20221407

  7. The therapeutic potency of HSP65-GTL in GL261 glioma-bearing mice.

    PubMed

    Yan, Youyou; Fang, Mingli; Xuan, Wei; Wu, Xiuli; Meng, Xiuping; Wang, Liying; Yu, Yongli

    2015-01-01

    Gliomas are the most common type of brain tumor with poor prognosis. Even after combination treatments including surgery, radiation, and chemotherapy, the median survival is around 15 months, calling for novel approaches such as immunotherapy. To develop novel therapeutic approaches, we tried to prepare a candidate vaccine by mixing the recombinant mycobacterial heat-shock protein 65 (HSP65) with GL261 glioma tissue lysate (GTL). Our data showed that HSP65-GTL induced potent cytotoxic T lymphocyte and prolonged the survival of mice bearing GL261 gliomas. Furthermore, HSP65 or HSP65-GTL upregulated mRNA expressions of RORγt and interleukin-17A in spleen cells or draining lymph node cells, respectively, and enhanced the ratios of brain-infiltrating Th17 cells and inflammatory cells, indicating that the antitumor effect of HSP65-GTL was associated with Th17-type immunity.

  8. Characterization of Synthetic GTL Jet Fuel for use in Gas Turbine Engines

    NASA Astrophysics Data System (ADS)

    Sadr, Reza; Kannaiyan, Kumaran

    2010-11-01

    Stringent emission regulations have instigated the search for alternative-clean source of energy. Recently, Gas-to-Liquid (GTL) fuel has grabbed the global attention by its clean combustion characteristics owing to the absence of aromatics and Sulphur. However, this will introduce potential risks and benefits. Last fall Qatar airways has proven the feasibility of using GTL as a potential alternative clean fuel by a 3200 mile flight using a fuel blend of 50% JetA + 50% GTL. Researchers from Texas A & M University at Qatar (TAMUQ) in collaboration with their counterparts in Rolls-Royce (RR), UK, and German Aerospace Laboratory (DLR) are in a joint effort to establish an in-depth characterization of the combustion performance of GTL fuel in gas turbine engines. In TAMUQ, the research focus is to investigate the spray characteristics of GTL fuels. The results will be compared with that of standard fuel and correlate with combustion results to gain insights on GTL performance. This will help designers to optimize the nozzle geometry to improve the combustor performance. The objective of this talk is to introduce this ongoing effort and to discuss the experimental facility and preliminary results.

  9. Methylation dynamics of IG-DMR and Gtl2-DMR during murine embryonic and placental development.

    PubMed

    Sato, Shun; Yoshida, Wataru; Soejima, Hidenobu; Nakabayashi, Kazuhiko; Hata, Kenichiro

    2011-08-01

    The Dlk1-Dio3 imprinted domain on mouse chromosome 12 contains IG-DMR and Gtl2-DMR, whose methylation patterns are established in the germline and after fertilization, respectively. In this study, we determine that acquisition of DNA methylation at the paternal allele of the Gtl2-DMR is initiated after the blastocyst stage and completed by embryonic day 6.5, and that Gtl2 (approved symbol: Meg3) is monoallelically expressed from the maternal allele as early as the blastocyst. Therefore, DNA methylation at the Gtl2-DMR is not a prerequisite for the imprinted expression of Gtl2, which may be involved in the control of proliferation and differentiation of cells during early gestation. We also reveal that a subregion of the IG-DMR exhibits tissue-specific differences in allelic methylation patterns. These results add to the growing body of knowledge elucidating the mechanism whereby parent-of-origin-dependent DNA methylation at the IG-DMR leads to the imprinted expression of the Dlk1-Dio3 cluster.

  10. Chemometric data analysis application to Sparus aurata samples from two offshore farming plants along the Apulian (Italy) coastline.

    PubMed

    Miniero, Roberto; Brambilla, Gianfranco; Chiaravalle, Eugenio; Mangiacotti, Michele; Brizzi, Giulio; Ingelido, Anna Maria; Abate, Vittorio; Cascone, Valeria; Ferri, Fabiola; Iacovella, Nicola; di Domenico, Alessandro

    2011-10-01

    The levels of polychlorodibenzo-p-dioxins (PCDDs), polychlorodibenzofurans (PCDFs), dioxin-like polychlorobiphenyls (DL-PCBs), non-dioxin-like polychlorobiphenyls (NDL-PCBs), and polybromodiphenyl ethers (PBDEs) in fish collected from two marine offshore farming plants were determined. Each sample was constituted by specimens of the same size collected at the same time in four different seasons along the farming year. The feeds given were of industrial origin and the plants were positioned in two different sites respectively exposed to different environmental characteristics. A chemometric approach was applied to interpret the subtle differences observed in fish body burdens across the three chemical groups taken into consideration. The approach consisted in a stepwise multivariate process including a hierarchical cluster analysis (CA) and a linear discriminant analysis (DA). The two main clusters determined by CA were subjected to the canonical DA, backward and forward selection procedures to select the best discriminative functions. A clear temporal and spatial discrimination was found among the samples. Across the three chemical groups, the monthly separation seemed to depend on the growth process and the main exposure was due to the feed. In addition, the two plants differed significantly from the environmental point of view and the most important discriminating group of chemicals were the NDL-PCBs. The approach resulted really effective in discriminating the subtle differences and in individuating suggestions to improve the quality of culturing conditions.

  11. TRANSPORTATION ISSUES IN THE DELIVERY OF GTL PRODUCTS FROM ALASKAN NORTH SLOPE TO MARKET

    SciTech Connect

    Godwin Chukwu

    2004-01-01

    The Alaskan North Slope (ANS) is one of the largest hydrocarbon reserves in the United States where Gas-to-Liquids (GTL) technology can be successfully implemented. The proven and recoverable reserves of conventional natural gas in the developed and undeveloped fields in the Alaskan North Slope (ANS) are estimated to be 38 trillion standard cubic feet (TCF) and estimates of additional undiscovered gas reserves in the Arctic field range from 64 TCF to 142 TCF. Because the domestic gas market in the continental United States is located thousands of miles from the ANS, transportation of the natural gas from the remote ANS to the market is the key issue in effective utilization of this valuable and abundant resource. The focus of this project is to study the operational challenges involved in transporting the gas in converted liquid (GTL) form through the existing Trans Alaska Pipeline System (TAPS). A three-year, comprehensive research program was undertaken by the Petroleum Development Laboratory, University of Alaska Fairbanks, under cooperative agreement No. DE-FC26-98FT40016 to study the feasibility of transporting GTL products through TAPS. Cold restart of TAPS following an extended winter shutdown and solids deposition in the pipeline were identified as the main transportation issues in moving GTL products through the pipeline. The scope of work in the current project (Cooperative Agreement No. DE-FC26-01NT41248) included preparation of fluid samples for the experiments to be conducted to augment the comprehensive research program.

  12. Operational Challenges in Gas-To-Liquid (GTL) Transportation Through Trans Alaska Pipeline System (TAPS)

    SciTech Connect

    Godwin A. Chukwu; Santanu Khataniar; Shirish Patil; Abhijit Dandekar

    2006-06-30

    Oil production from Alaskan North Slope oil fields has steadily declined. In the near future, ANS crude oil production will decline to such a level (200,000 to 400,000 bbl/day) that maintaining economic operation of the Trans-Alaska Pipeline System (TAPS) will require pumping alternative products through the system. Heavy oil deposits in the West Sak and Ugnu formations are a potential resource, although transporting these products involves addressing important sedimentation issues. One possibility is the use of Gas-to-Liquid (GTL) technology. Estimated recoverable gas reserves of 38 trillion cubic feet (TCF) on the North Slope of Alaska can be converted to liquid with GTL technology and combined with the heavy oils for a product suitable for pipeline transport. Issues that could affect transport of this such products through TAPS include pumpability of GTL and crude oil blends, cold restart of the pipeline following a prolonged winter shutdown, and solids deposition inside the pipeline. This study examined several key fluid properties of GTL, crude oil and four selected blends under TAPS operating conditions. Key measurements included Reid Vapor Pressure, density and viscosity, PVT properties, and solids deposition. Results showed that gel strength is not a significant factor for the ratios of GTL-crude oil blend mixtures (1:1; 1:2; 1:3; 1:4) tested under TAPS cold re-start conditions at temperatures above - 20 F, although Bingham fluid flow characteristics exhibited by the blends at low temperatures indicate high pumping power requirements following prolonged shutdown. Solids deposition is a major concern for all studied blends. For the commingled flow profile studied, decreased throughput can result in increased and more rapid solid deposition along the pipe wall, resulting in more frequent pigging of the pipeline or, if left unchecked, pipeline corrosion.

  13. The callipyge mutation enhances bidirectional long-range DLK1-GTL2 intergenic transcription in cis

    PubMed Central

    Takeda, Haruko; Caiment, Florian; Smit, Maria; Hiard, Samuel; Tordoir, Xavier; Cockett, Noelle; Georges, Michel; Charlier, Carole

    2006-01-01

    The callipyge mutation (CLPG) is an A to G transition that affects a muscle-specific long-range control element located in the middle of the 90-kb DLK1-GTL2 intergenic (IG) region. It causes ectopic expression of a 327-kb cluster of imprinted genes in skeletal muscle, resulting in the callipyge muscular hypertrophy and its non-Mendelian inheritance pattern known as polar overdominance. We herein demonstrate that the CLPG mutation alters the muscular epigenotype of the DLK1-GTL2 IG region in cis, including hypomethylation, acquisition of novel DNase-I hypersentivite sites, and, most strikingly, strongly enhanced bidirectional, long-range IG transcription. The callipyge phenotype thus emerges as a unique model to study the functional significance of IG transcription, which recently has proven to be a widespread, yet elusive, feature of the mammalian genome. PMID:16690740

  14. THE PERFORMANCE OF SMDS DIESEL FUEL MANUFACTURED BY SHELL'S GtL TECHNOLOGY

    SciTech Connect

    Clark, Richard H.

    2000-08-20

    The Royal Dutch/Shell Group's (Shell's) Gas to Liquids (GtL) technology, better known as the Shell Middle Distillate Synthesis (SMDS) process, converts natural gas into diesel and other products via a modem improved Fisher-Tropsch synthesis. The diesel cut has very good cetane quality, low density, and virtually no sulphur and aromatics; such properties make it valuable as a diesel fuel with lower emissions than conventional automotive gas oil.

  15. Experimental verification of a real-time power curve for downregulated offshore wind power plants

    NASA Astrophysics Data System (ADS)

    Giebel, Gregor; Göcmen Bozkurt, Tuhfe; Sørensen, Poul; Rajczyk Skjelmose, Mads; Runge Kristoffersen, Jesper

    2015-04-01

    Wind farm scale experiments with wakes under downregulation have been initiated in Horns Rev wind farm in the frame of the PossPOW project (see posspow.dtu.dk). The experiments will be compared with the results of the calibrated GCLarsen wake model for real-time which is used not only to obtain real-time power curve but also to estimate the available power in wind farm level. Available (or Possible) Power is the power that a down-regulated (or curtailed) turbine or a wind power plant would produce if it were to operate in normal operational conditions and it is becoming more of particular interest due to increasing number of curtailment periods. Currently, the Transmission System Operators (TSOs) have no real way to determine exactly the available power of a down-regulated wind farm and the PossPOW project is addressing that need. What makes available power calculation interesting at the wind farm level is the change in the wake characteristics for different operational states. Even though the single turbine level available power is easily estimated, the sum of those signals from all turbines in a wind farm overestimates the power since the wake losses significantly decrease during curtailment. In order to calculate that effect, the turbine wind speed is estimated real-time from the produced power, the pitch angle and the rotor speed using a proximate Cp curve. A real-time wake estimation of normal operation is then performed and advected to the next downstream turbine, and so on until the entire wind farm is calculated. The estimation of the rotor effective wind speed, the parameterization of the GCLarsen wake model for real-time use (i.e., 1-sec data from Horns Rev and Thanet) and the details of the advection are the topic can be found in Göcmen et al. [1] Here we plan to describe the experiments using the Horns Rev wind farm and hopefully present the first validation results. Assuming similarity of the wind speeds between neighbouring rows of turbines, the

  16. Offshore medicine.

    PubMed

    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.

  17. Strain monitoring in power cables of offshore wind energy plants with femtosecond laser inscribed fibre Bragg gratings

    NASA Astrophysics Data System (ADS)

    Burgmeier, Jörg; Funken, Peter; Schade, Wolfgang

    2011-05-01

    A fibre Bragg grating sensor system used for monitoring of strain being effective on the power cable of an offshore wind turbine is presented. The Bragg grating structure was inscribed in coated non-photosensitive standard telecommunication fibres using an infrared femtosecond laser and the point-by-point writing technique. Due to the presence of the protective coating of the fibre, the mechanical stability of the resultant sensor device is better than that of a sensor consisting of a bare fibre. A system containing this sensing element was successfully installed and tested in an offshore wind turbine prototype (REpower 6M) in February 2010, near Ellhöft, Germany). The fabrication process of the fibre Bragg gratings, a comparison between the sensor signal and a commonly used strain gauge and measurement results of the online monitoring are presented.

  18. Optimization of conversion of low hydrogen containing feedstocks using Rentech`s gas-to-liquids (GTL) technology

    SciTech Connect

    Benham, C.B.; Yakobson, D.L.

    1998-12-31

    The subject of this paper is to integrate existing technologies and available feedstocks to directly support the three defined thrusts of increased energy efficiency, decreased carbon intensity and carbon sequestration. The authors show that proper implementation of an iron based Fisher-Tropsch gas-to-liquids conversion process using the synthesis gas produced from coal by partial oxidation in conjunction with power generation will have a positive effect in reducing carbon emissions from fossil fuels. Integrating Rentech`s proprietary and patented gas-to-liquids (GTL) concept with power generation using both coal or coal and natural gas, an optimal fuel due to its lower carbon content, supports the concept of ``energyplexes.`` The goal of energyplexes are to combine power generation with the production of chemical feedstocks and/or transportation fuels to maximize carbon conversion, reduce carbon intensity and provide the initial step for carbon sequestration. The authors have evaluated several different technically viable flow schemes and compared the results to technology currently being utilized for electrical generation by turbines using steam generated from the combustion of coal and by modern coal fired combined cycle power plants. To develop the data for this paper Rentech utilized its internally generated computer model to simulate system containing a partial oxidation (POX) unit, an F-T module and various recycle loops. Verification of the POX model was achieved by comparing its results to those published by Texaco for identical feedstocks and similar operating conditions. For the Fischer-Tropsch results the authors relied exclusively on data developed by Rentech at pilot and commercial scale over a wide range of synthesis reactor operating conditions and for different hydrogen to carbon monoxide ratios of the synthesis gas utilized for conversion. For the coal feed utilized in this paper they used Pittsburgh No. 8 Coal.

  19. Method for sequential staining of GTL-banded metaphases with fluorescent-labeled chromosome-specific paint probes.

    PubMed

    Jalal, S M; Law, M E; Christensen, E R; Spurbeck, J L; Dewald, G W

    1993-04-01

    We describe a method for use of fluorescent-labeled whole chromosome-specific paint probes on GTL-banded metaphases to utilize the combined potential of these techniques for defining chromosome abnormalities. The efficacy of this method was tested on 6 cases involving different chromosome abnormalities and various tissues, including blood, amniotic fluid, skin fibroblasts, and bone marrow.

  20. GTL001, a bivalent therapeutic vaccine against human papillomavirus 16 and 18, induces antigen-specific CD8+ T cell responses leading to tumor regression.

    PubMed

    Esquerré, Michaël; Bouillette-Marussig, Myriam; Goubier, Anne; Momot, Marie; Gonindard, Christophe; Keller, Hélène; Navarro, Astrid; Bissery, Marie-Christine

    2017-01-01

    Prophylactic vaccines are available for women and girls not yet infected with HPV, but women already infected with HPV need a treatment to prevent progression to high-grade cervical lesions and cancer. GTL001 is a bivalent therapeutic vaccine for eradicating HPV-infected cells that contains HPV16 E7 and HPV18 E7 both fused to detoxified adenylate cyclase from Bordetella pertussis, which binds specifically to CD11b+ antigen-presenting cells. This study examined the ability of therapeutic vaccination with GTL001 adjuvanted with topical imiquimod cream to induce functional HPV16 E7- and HPV18 E7-specific CD8+ T cell responses. Binding of GTL001 to human CD11b was assessed by a cell-based competition binding assay. Cellular immunogenicity of intradermal vaccination with GTL001 was assessed in C57BL/6 mice by enzyme-linked immunospot assay and in vivo killing assays. In vivo efficacy of GTL001 vaccination was investigated in the TC-1 murine HPV16 E7-expressing tumor model. GTL001 bound specifically to the human CD11b/CD18 receptor. GTL001 adjuvanted with topical 5% imiquimod cream induced HPV16 E7 and HPV18 E7-specific CD8+ T cell responses. This CD8+ T-cell response mediated in vivo killing of HPV E7-expressing cells. In the HPV16 E7-expressing tumor model, GTL001 adjuvanted with imiquimod but not imiquimod alone or a combination of unconjugated HPV16 E7 and HPV18 E7 caused complete tumor regression. GTL001 adjuvanted with topical 5% imiquimod is immunogenic and induces HPV16 E7 and HPV18 E7-specific CD8+ T cell responses that can kill HPV E7-expressing cells and eliminate HPV E7-expressing tumors.

  1. GTL001, a bivalent therapeutic vaccine against human papillomavirus 16 and 18, induces antigen-specific CD8+ T cell responses leading to tumor regression

    PubMed Central

    Esquerré, Michaël; Bouillette-Marussig, Myriam; Goubier, Anne; Momot, Marie; Gonindard, Christophe; Keller, Hélène; Navarro, Astrid

    2017-01-01

    Background Prophylactic vaccines are available for women and girls not yet infected with HPV, but women already infected with HPV need a treatment to prevent progression to high-grade cervical lesions and cancer. GTL001 is a bivalent therapeutic vaccine for eradicating HPV-infected cells that contains HPV16 E7 and HPV18 E7 both fused to detoxified adenylate cyclase from Bordetella pertussis, which binds specifically to CD11b+ antigen-presenting cells. This study examined the ability of therapeutic vaccination with GTL001 adjuvanted with topical imiquimod cream to induce functional HPV16 E7- and HPV18 E7-specific CD8+ T cell responses. Methods Binding of GTL001 to human CD11b was assessed by a cell-based competition binding assay. Cellular immunogenicity of intradermal vaccination with GTL001 was assessed in C57BL/6 mice by enzyme-linked immunospot assay and in vivo killing assays. In vivo efficacy of GTL001 vaccination was investigated in the TC-1 murine HPV16 E7-expressing tumor model. Results GTL001 bound specifically to the human CD11b/CD18 receptor. GTL001 adjuvanted with topical 5% imiquimod cream induced HPV16 E7 and HPV18 E7-specific CD8+ T cell responses. This CD8+ T-cell response mediated in vivo killing of HPV E7-expressing cells. In the HPV16 E7-expressing tumor model, GTL001 adjuvanted with imiquimod but not imiquimod alone or a combination of unconjugated HPV16 E7 and HPV18 E7 caused complete tumor regression. Conclusions GTL001 adjuvanted with topical 5% imiquimod is immunogenic and induces HPV16 E7 and HPV18 E7-specific CD8+ T cell responses that can kill HPV E7-expressing cells and eliminate HPV E7-expressing tumors. PMID:28301611

  2. Marine and offshore corrosion

    SciTech Connect

    Chandler, K.A.

    1985-01-01

    Until recently marine corrosion technology has been preoccupied with the corrosion of ships. Within the last ten years, however, the rapid expansion of oil and gas exploration has changed the course of corrosion research as well as the market for corrosion services and products. So complete has been the change that a new approach, dealing with ships, structures, and plant has been taken in this book. This introduction to the control of corrosion in marine environments will serve as a reference on topics ranging from coating systems to metallurgical considerations in the design of ships, offshore structure, plant and pipelines.

  3. Smarter offshoring.

    PubMed

    Farrell, Diana

    2006-06-01

    During the past 15 years, companies have flocked to a handful of cities in India and Eastern Europe for offshore service functions. As a result, the most popular sites are now overheating: Demand for young professionals is outstripping supply, wages and turnover are soaring, and overburdened infrastructure systems are struggling to serve the explosive growth. The happy news is that the tight labor markets in the well-known hot spots are the exceptions, not the rule. Many attractive alternatives are emerging around the world. According to a McKinsey Global Institute study, more than 90% of the vast and rapidly growing pool of university-educated people suitable for work in multinationals are located outside the current hot spot cities. For instance, Morocco is now home to offshore centers for French and Spanish companies requiring fluent speakers of their home languages. Neighboring Tunisia has used its modern infrastructure, business-friendly regulations, and stable, low-cost workforce to attract companies such as Siemens and Wanadoo. Vietnam offers university graduates who have strong mathematics skills; speak French, English, German, or Russian; and do not demand high wages. The problems facing the hot spots, coupled with the emergence of many more countries able and willing to provide offshore services, mean that picking a site has become more complicated. In choosing a location, companies will have to focus less on low wages and much more on other ways that candidate cities can fulfill their business needs. They will have to be much more rigorous in articulating precisely what they require from an offshore location. That means evaluating their unique needs on a range of dimensions and understanding how alternative locations can meet those needs for the foreseeable future.

  4. Comparison of the Dynamic Wake Meandering Model, Large-Eddy Simulation, and Field Data at the Egmond aan Zee Offshore Wind Plant: Preprint

    SciTech Connect

    Churchfield, M. J.; Moriarty, P. J.; Hao, Y.; Lackner, M. A.; Barthelmie, R.; Lundquist, J.; Oxley, G. S.

    2014-12-01

    The focus of this work is the comparison of the dynamic wake meandering model and large-eddy simulation with field data from the Egmond aan Zee offshore wind plant composed of 36 3-MW turbines. The field data includes meteorological mast measurements, SCADA information from all turbines, and strain-gauge data from two turbines. The dynamic wake meandering model and large-eddy simulation are means of computing unsteady wind plant aerodynamics, including the important unsteady meandering of wakes as they convect downstream and interact with other turbines and wakes. Both of these models are coupled to a turbine model such that power and mechanical loads of each turbine in the wind plant are computed. We are interested in how accurately different types of waking (e.g., direct versus partial waking), can be modeled, and how background turbulence level affects these loads. We show that both the dynamic wake meandering model and large-eddy simulation appear to underpredict power and overpredict fatigue loads because of wake effects, but it is unclear that they are really in error. This discrepancy may be caused by wind-direction uncertainty in the field data, which tends to make wake effects appear less pronounced.

  5. DNA methylation imprints on the IG-DMR of the Dlk1-Gtl2 domain in mouse male germline.

    PubMed

    Hiura, Hitoshi; Komiyama, Junichi; Shirai, Motomu; Obata, Yayoi; Ogawa, Hidehiko; Kono, Tomohiro

    2007-04-03

    Mouse genomes show a large cluster of imprinted genes at the Dlk1-Gtl2 domain in the distal region of chromosome 12. An intergenic-differentially methylated region (IG-DMR) located between Dlk1 and Gtl2 is specifically methylated in the male germline; IG-DMR regulates the parental allele-specific expression of imprinted genes. Here, we show the resetting of IG-DMR methylation marks during male germ-cell differentiation. For parental allele-specific methylation analysis, polymorphisms were detected in a 2.6-kb IG-DMR in three mouse strains. Bisulfite methylation analysis showed erasure of the marks by E14 and re-establishment before birth. The IG-DMR methylation status was maintained in spermatogonia and spermatocytes of mature testes. The IG-DMR methylation status established before birth is thus maintained throughout the lifetime in the male germline.

  6. Visualization of Gas-to-Liquid (GTL) Fuel Liquid Length and Soot Formation in the Constant Volume Combustion Chamber

    NASA Astrophysics Data System (ADS)

    Azimov, Ulugbek; Kim, Ki-Seong

    In this research, GTL spray combustion was visualized in an optically accessible quiescent constant-volume combustion chamber. The results were compared with the spray combustion of diesel fuel. Fast-speed photography with direct laser sheet illumination was used to determine the fuel liquid-phase length, and shadowgraph photography was used to determine the distribution of the sooting area in the fuel jet. The results showed that the fuel liquid-phase length of GTL fuel jets stabilized at about 20-22mm from the injector orifice and mainly depended on the ambient gas temperature and fuel volatility. GTL had a slightly shorter liquid length than that of the diesel fuel. This tendency was also maintained when multiple injection strategy was applied. The penetration of the tip of the liquid-phase fuel during pilot injection was a little shorter than the penetration during main injection. The liquid lengths during single and main injections were identical. In the case of soot formation, the results showed that soot formation was mainly affected by air-fuel mixing, and had very weak dependence on fuel volatility.

  7. Characteristics of short-crested waves and currents behind offshore man-made island type power plant

    SciTech Connect

    Ikeno, Masaaki; Kajima, Ryoichi; Matsuyama, Masafumi; Sakakiyama, Tsutomu

    1995-12-31

    This paper describes the diffracted waves with breaking and the nearshore currents caused by short-crested waves, behind a man-made island, on which nuclear power plants are constructed. Firstly, hydraulic model tests with a multi-directional wave maker were performed. Effects of the irregularity and directional spreading of waves, and the effects of cooling water intake flow on diffracted waves and nearshore currents behind a man-made island, were investigated experimentally. Secondly, a numerical model was developed to simulate deformation of multi-directional irregular waves and nearshore currents. The validity of the numerical model was verified through comparison with the experimental results.

  8. Degradation of cationic red GTL by catalytic wet air oxidation over Mo-Zn-Al-O catalyst under room temperature and atmospheric pressure.

    PubMed

    Xu, Yin; Li, Xiaoyi; Cheng, Xiang; Sun, Dezhi; Wang, Xueye

    2012-03-06

    To overcome the drawback of catalytic wet air oxidation (CWAO) with high temperature and high pressure, the catalytic activity of Mo-Zn-Al-O catalyst for degradation of cationic red GTL under room temperature and atmospheric pressure was investigated. Mo-Zn-Al-O catalyst was prepared by coprecipitation and impregnation. XRD, TG-DTG, and XPS were used to characterize the resulting sample. Central composition design using response surface methodology was employed to optimize correlation of factors on the decolorization of cationic red GTL. The results show that the optimal conditions of pH value, initial concentration of dye and catalyst dosage were found to be 4.0, 85 mg/L and 2.72 g/L, respectively, for maximum decolorization of 80.1% and TOC removal of 50.9%. Furthermore, the reaction on the Mo-Zn-Al-O catalyst and degradation mechanism of cationic red GTL was studied by Electron spin resonance (ESR) and GC-MS technique. The possible reaction mechanism was that the Mo-Zn-Al-O catalyst can efficiently react with adsorbed oxygen/H(2)O to produce ·OH and (1)O(2) and finally induce the degradation of cationic red GTL. GC-MS analysis of the degradation products indicates that cationic red GTL was initiated by the cleavage of -N ═ N- and the intermediates were further oxidized by ·OH or (1)O(2).

  9. Structural Health and Prognostics Management for Offshore Wind Plants; Final Report of Sandia R&D Activities.

    SciTech Connect

    Griffith, Daniel Todd

    2015-04-01

    This final report is a compilation of resear ch efforts - funded by the US Department of Energy Wind and Water Power Technolog ies Office over a four-year period from FY11 through FY14. The goals of this re search program were to develop and evaluate technical innovati ons with promise for maxi mizing revenues and reducing levelized cost of energy (LCOE) for offs hore wind plants - more specifically the goals of the Structural H ealth and Prognostics Management (SHPM) program were to reduce O&M costs and increase energy capture through use of SHPM-based technologies. A technology roadmap was deve loped at the start of the project to guide the research efforts. This roadmap identified and outlined six major research thrust areas each having five stages of ma turity. Research was conducted in each of these thrust areas, as documented throughout this report, although a major focus was on development of damage detection strategi es for the most frequent blade damage conditions and damage mitigation and life-exte nsion strategies via changes in turbine operations (smart loads management). Th e work summarized in this compilation report is the product of the work of many researchers. A summary of the major findings, status of the SHPM Technology Ro admap and recommendations for future work are also provided.

  10. NREL Offshore Balance-of-System Model

    SciTech Connect

    Maness, Michael; Maples, Benjamin; Smith, Aaron

    2017-01-01

    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 of 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.

  11. Expression patterns of long noncoding RNAs from Dlk1-Dio3 imprinted region and the potential mechanisms of Gtl2 activation during blastocyst development.

    PubMed

    Han, Zhengbin; Yu, Changwei; Tian, Yijun; Zeng, Tiebo; Cui, Wei; Mager, Jesse; Wu, Qiong

    2015-07-31

    The function of long noncoding RNAs (lncRNAs) in cell differentiation and development have begun to be revealed in recent years. However, the expression pattern and mechanisms regulating lncRNAs are largely unknown during mammalian preimplantation development. LncRNAs expressed from Dlk1-Dio3 imprinted region have been linked to pluripotency of induced pluripotent cells (iPSCs). In this study we show that these lncRNAs (Gtl2, Rian and Mirg) are first expressed at the morula stage and gradually restricted to the inner cell mass (ICM) as the embryo differentiates into the blastocyst. Analysis of DNA methylation at IG-DMR and Gtl2-DMR showed no change during preimplantation while the presence of the activating histone modification H3K4me3 increased significantly from 8-cell to blastocyst stage, which may explain the expression activation. Additionally, knockdown of transcription factors (Oct4, Sox2 and Nanog) in blastocyst reduced the expression of Gtl2, indicating pluripotency factors regulate transcription of these lncRNAs. This study provides the spatiotemporal expression and dynamic changes of lncRNAs from Dlk1-Dio3 imprinted region in mouse preimplantation stage embryos and offers insight into the potential mechanisms responsible for Gtl2 activation.

  12. Catalytic mechanism of cationic red GTL at wide pH using the Mo-Zn-Al-O nanocatalyst under room conditions.

    PubMed

    Xu, Yin; Li, Xiaoyi; Sun, Dezhi

    2014-09-01

    Catalytic mechanism of cationic red GTL at wide pH using the Mo-Zn-Al-O nanocatalyst under room conditions was investigated. The experimental results indicate that initial pH significantly affected the removal of cationic red GTL, the removal of COD, the pH value and residual oxygen in the reaction. In the range of pH value from 4 to 10, decolorization of cationic red GTL was almost above 90%. COD removal efficiency was enhanced with the decrease of pH in CWAO process and 79% of the COD was removed at pH 4.0, whereas only 57% COD removal was observed at pH 10.0. The terminal pH was in the range of 5.0-6.0 and the highest terminal concentrations of aqueous oxygen with 5.5 mg/L were observed at pH = 4.0. The radical inhibition experiments also carried out and the generation of *OH and 1O2 in catalytic wet air oxidation process were detected. It was found that the degradation of cationic red GTL occurs mainly via oxidation by 1O2 radical generated by Mo-Zn-Al-O nanocatalyst under acid conditions and *OH radical under alkaline conditions.

  13. Canadian offshore oil production solution gas utilization alternatives

    SciTech Connect

    Wagner, J.V.

    1999-07-01

    Oil and gas development in the Province of Newfoundland and Labrador is in its early stage and the offshore industry emphasis is almost exclusively on oil production. At the Hibernia field, the Gravity Base Structure (GBS) is installed and the first wells are in production. The Terra Nova project, based on a Floating Production Storage Offloading (FPSO) ship shaped concept, is in its engineering and construction stage and first oil is expected by late 2000. Several other projects, such as Husky's White Rose and Chevron's Hebron, have significant potential for future development in the same area. It is highly probably that these projects will employ the FPSO concept. It is also expected that the solution gas disposal issues of such second generation projects will be of more significance in their regulatory approval process and of such second generation projects will be of more significance in their regulatory approval process and the operators may be forced to look for alternatives to gas reinjection. Three gas utilization alternatives for a FPSO concept based project have been considered and evaluated in this paper: liquefied natural gas (LNG), compressed natural gas (CNG), and gas-to-liquids conversion (GTL). The evaluation and the relative ranking of these alternatives is based on a first pass screening type of study which considers the technical and economical merits of each alternative. Publicly available information and in-house data, compiled within Fluor Daniel's various offices, was used to establish the basic parameters.

  14. Opportunity for offshore wind to reduce future demand for coal-fired power plants in China with consequent savings in emissions of CO2.

    PubMed

    Lu, Xi; McElroy, Michael B; Chen, Xinyu; Kang, Chongqing

    2014-12-16

    Although capacity credits for wind power have been embodied in power systems in the U.S. and Europe, the current planning framework for electricity in China continues to treat wind power as a nondispatchable source with zero contribution to firm capacity. This study adopts a rigorous reliability model for the electric power system evaluating capacity credits that should be recognized for offshore wind resources supplying power demands for Jiangsu, China. Jiangsu is an economic hub located in the Yangtze River delta accounting for 10% of the total electricity consumed in China. Demand for electricity in Jiangsu is projected to increase from 331 TWh in 2009 to 800 TWh by 2030. Given a wind penetration level of 60% for the future additional Jiangsu power supply, wind resources distributed along the offshore region of five coastal provinces in China (Shandong, Jiangsu, Shanghai, Zhejiang, and Fujian) should merit a capacity credit of 12.9%, the fraction of installed wind capacity that should be recognized to displace coal-fired systems without violating the reliability standard. In the high-coal-price scenario, with 60% wind penetration, reductions in CO2 emissions relative to a business as usual reference could be as large as 200.2 million tons of CO2 or 51.8% of the potential addition, with a cost for emissions avoided of $29.0 per ton.

  15. Session: Offshore wind

    SciTech Connect

    Gaarde, Jette; Ram, Bonnie

    2004-09-01

    This session at the Wind Energy and Birds/Bats workshop consisted of two presentations. Due to time constraints, a discussion period was not possible. The session addressed the current state of offshore wind energy development. The first presentation ''Monitoring Program and Results: Horns Rev and Nysted'' by Jette Gaarde summarized selected environmental studies conducted to date at operating offshore wind turbine projects in Denmark and lessons from other offshore wind developments in Europe. Wildlife impacts studies from the Danish sites focused on birds, fish, and mammals. The second presentation ''What has the U.S. Wind Industry Learned from the European Example'' by Bonnie Ram provided an update on current permit applications for offshore wind developments in the U.S. as well as lessons that may be drawn from the European experience.

  16. PRC2 Is Required to Maintain Expression of the Maternal Gtl2-Rian-Mirg Locus by Preventing De Novo DNA Methylation in Mouse Embryonic Stem Cells.

    PubMed

    Das, Partha Pratim; Hendrix, David A; Apostolou, Effie; Buchner, Alice H; Canver, Matthew C; Beyaz, Semir; Ljuboja, Damir; Kuintzle, Rachael; Kim, Woojin; Karnik, Rahul; Shao, Zhen; Xie, Huafeng; Xu, Jian; De Los Angeles, Alejandro; Zhang, Yingying; Choe, Junho; Jun, Don Leong Jia; Shen, Xiaohua; Gregory, Richard I; Daley, George Q; Meissner, Alexander; Kellis, Manolis; Hochedlinger, Konrad; Kim, Jonghwan; Orkin, Stuart H

    2015-09-01

    Polycomb Repressive Complex 2 (PRC2) function and DNA methylation (DNAme) are typically correlated with gene repression. Here, we show that PRC2 is required to maintain expression of maternal microRNAs (miRNAs) and long non-coding RNAs (lncRNAs) from the Gtl2-Rian-Mirg locus, which is essential for full pluripotency of iPSCs. In the absence of PRC2, the entire locus becomes transcriptionally repressed due to gain of DNAme at the intergenic differentially methylated regions (IG-DMRs). Furthermore, we demonstrate that the IG-DMR serves as an enhancer of the maternal Gtl2-Rian-Mirg locus. Further analysis reveals that PRC2 interacts physically with Dnmt3 methyltransferases and reduces recruitment to and subsequent DNAme at the IG-DMR, thereby allowing for proper expression of the maternal Gtl2-Rian-Mirg locus. Our observations are consistent with a mechanism through which PRC2 counteracts the action of Dnmt3 methyltransferases at an imprinted locus required for full pluripotency.

  17. Offshore Wind Energy

    SciTech Connect

    Strach-Sonsalla, Mareike; Stammler, Matthias; Wenske, Jan; Jonkman, Jason; Vorpahl, Fabian

    2016-07-27

    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 principles 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.

  18. Getting offshoring right.

    PubMed

    Aron, Ravi; Singh, Jitendra V

    2005-12-01

    The prospect of offshoring and outsourcing business processes has captured the imagination of CEOs everywhere. In the past five years, a rising number of companies in North America and Europe have experimented with this strategy, hoping to reduce costs and gain strategic advantage. But many businesses have had mixed results. According to several studies, half the organizations that have shifted processes offshore have failed to generate the expected financial benefits. What's more, many of them have faced employee resistance and consumer dissatisfaction. Clearly, companies have to rethink how they formulate their offshoring strategies. A three-part methodology can help. First, companies need to prioritize their processes, ranking each based on two criteria: the value it creates for customers and the degree to which the company can capture some of that value. Companies will want to keep their core (highest-priority) processes in-house and consider outsourcing their commodity (low-priority) processes; critical (moderate-priority) processes are up for debate and must be considered carefully. Second, businesses should analyze all the risks that accompany offshoring and look systematically at their critical and commodity processes in terms of operational risk (the risk that processes won't operate smoothly after being offshored) and structural risk (the risk that relationships with service providers may not work as expected). Finally, companies should determine possible locations for their offshore efforts, as well as the organizational forms--such as captive centers and joint ventures--that those efforts might take. They can do so by examining each process's operational and structural risks side by side. This article outlines the tools that will help companies choose the right processes to offshore. It also describes a new organizational structure called the extended organization, in which companies specify the quality of services they want and work alongside providers

  19. Energy from Offshore Wind: Preprint

    SciTech Connect

    Musial, W.; Butterfield, S.; Ram, B.

    2006-02-01

    This paper provides an overview of the nascent offshore wind energy industry including a status of the commercial offshore industry and the technologies that will be needed for full market development.

  20. Offshore rectenna feasbility

    NASA Technical Reports Server (NTRS)

    Freeman, J. W.; Hervey, D.; Glaser, P.

    1980-01-01

    A preliminary study of the feasibility and cost of an offshore rectenna to serve the upper metropolitan east coast was performed. A candidate site at which to build a 5 GW rectenna was selected on the basis of proximity to load centers, avoidance of shipping lanes, sea floor terrain, and relocated conditions. Several types of support structures were selected for study based initially on the reference system rectenna concept of a wire mesh ground screen and dipoles each with its own rectifier and filter circuits. Possible secondary uses of an offshore rectenna were examined and are evaluated.

  1. Offshore platform cathodic protection retrofits

    SciTech Connect

    Turnipseed, S.P.

    1996-10-01

    Cathodic protection (CP) is the primary technique used for underwater corrosion control on the majority of offshore steel structures. Offshore platforms are often kept in service far beyond their original design life. Refurbishment of the CP system is required when adequate protection can no longer be maintained. Various offshore platform CP retrofit designs are discussed.

  2. Offshore Wind Energy Systems

    ERIC Educational Resources Information Center

    Musgrove, P.

    1978-01-01

    Explores the possibility of installing offshore windmills to provide electricity and to save fuel for the United Kingdom. Favors their deployment in clusters to facilitate supervision and minimize cost. Discusses the power output and the cost involved and urges their quick development. (GA)

  3. The state of offshore

    SciTech Connect

    Nelson, B.F.

    1991-01-01

    In this book, the author explains the factors behind state involvement in offshore petroleum activities. From his analysis of government workings in Great Britain and Norway, he concludes that state intervention is determined by complex interactions among government officials, economic interests, and environmental pressures.

  4. Designing Australia's North West Shelf offshore pipeline

    SciTech Connect

    Seymour, E.V.; Craze, D.J.; Ruinen, W.

    1984-05-07

    Design studies for the offshore pipeline system for the North West Shelf project in Australia commenced in the early 1970s. The trunkline from the North Rankin A platform to shore has recently been completed as the first part of the offshore pipeline system for the North West Shelf project. This pipeline originates from the platform in a water depth of 125 m (410 ft), enters the mouth of Mermaid Sound, and terminates just south of Withnell Bay on the Burrup Peninsula, on the North West coastline of Western Australia. The pipeline is 1,016 mm (40 in.) in diameter and 134.2 km (83.4 miles) long. It will operate in two-phase flow, bringing both gas and condensate to an onshore plant near its landfall. A slugcatcher has been constructed within the plant to receive liquidhydrocarbon slugs from the pipeline. The trunkline to shore will initially serve only the one offshore platform and operate at about 25% of its capacity to supply the Western Australian domestic gas market. The domestic gas plant on the Burrup Peninsula is being constructed by Woodside to produce pipeline-quality gas for delivery to the State Energy Commission and condensate for shipment by coastal tankers.

  5. Offshore Space Center (offshore launch site)

    NASA Technical Reports Server (NTRS)

    Harvey, D. G.

    1980-01-01

    Any activity requiring the development of the HLLV can benefit by operations from an offshore space center (OSC) since operating near the equator provides a twenty percent increase in payload in an ecliptic plan orbit. Some OSC concepts considered include a moored floating (semisubmersible) design, a stationary design supported by fixed piles, and a combination of these two. The facility supports: a 15,000 foot long, 300 foot wide runway, designed to accommodate a two staged winged launch vehicle, with a one million pound payload capacity to low earth orbit; an industrial area for HLLV maintenance; an airport terminal, control and operation center, and observation tower; liquid hydrogen and liquid oxygen production and storage, and fuel storage platforms; a power generation station, docks with an unloading area; two separate launch sites; and living accommodations for 10,000 people. Potential sites include the Paramount Seamount in the Pacific Ocean off the north coast of South America. Cost estimates are considered.

  6. Offshore Wind Research (Fact Sheet)

    SciTech Connect

    Not Available

    2011-10-01

    This 2-page fact sheet describes NREL's offshore wind research and development efforts and capabilities. The National Renewable Energy Laboratory is internationally recognized for offshore wind energy research and development (R&D). Its experience and capabilities cover a wide spectrum of wind energy disciplines. NREL's offshore wind R&D efforts focus on critical areas that address the long-term needs of the offshore wind energy industry and the Department of Energy (DOE). R&D efforts include: (1) Developing offshore design tools and methods; (2) Collaborating with international partners; (3) Testing offshore systems and developing standards; (4) Conducting economic analyses; (5) Characterizing offshore wind resources; and (6) Identifying and mitigating offshore wind grid integration challenges and barriers. NREL has developed and maintains a robust, open-source, modular computer-aided engineering (CAE) tool, known as FAST. FAST's state-of-the-art capabilities provide full dynamic system simulation for a range of offshore wind systems. It models the coupled aerodynamic, hydrodynamic, control system, and structural response of offshore wind systems to support the development of innovative wind technologies that are reliable and cost effective. FAST also provides dynamic models of wind turbines on offshore fixed-bottom systems for shallow and transitional depths and floating-platform systems in deep water, thus enabling design innovation and risk reduction and facilitating higher performance designs that will meet DOE's cost of energy, reliability, and deployment objectives.

  7. Arctic offshore platform

    SciTech Connect

    Bhula, D.N.

    1984-01-24

    An offshore structure is disclosed for use in drilling and producing wells in arctic regions having a conical shaped lower portion that extends above the surface of the water and a cylindrical upper section. The conical portion is provided with a controlled stiffness outer surface for withstanding the loads produced by ice striking the structure. The stiffness properties of the outer shell and flexible members are designed to distribute the load and avoid high local loads on the inner parts of the structure.

  8. Wind Energy: Offshore Permitting

    DTIC Science & Technology

    2008-05-01

    Technological advancements and tax incentives have driven a global expansion in the development of renewable energy resources. Wind energy , in...particular, is now often cited as the fastest growing commercial energy source in the world. Currently, all U.S. wind energy facilities are based on land...authority to permit and regulate offshore wind energy development within the zones of the oceans under its jurisdiction. The federal government and coastal

  9. As-Run Thermal Analysis of the GTL-1 Experiment Irradiated in the ATR South Flux Trap

    SciTech Connect

    Donna P. Guillen

    2011-05-01

    The GTL-1 experiment was conducted to assess corrosion the performance of the proposed Boosted Fast Flux Loop booster fuel at heat flux levels {approx}30% above the design operating condition. Sixteen miniplates fabricated from 25% enriched, high-density U3Si2/Al dispersion fuel with 6061 aluminum cladding were subjected to peak beginning of cycle (BOC) heat fluxes ranging from 411 W/cm2 to 593 W/cm2. Miniplates fabricated with three different fuel variations (without fines, annealed, and with standard powder) performed equally well, with negligible irradiation-induced swelling and a normal fission density gradient. Both the standard and the modified prefilm procedures produced hydroxide films that adequately protected the miniplates from failure. A detailed finite element model was constructed to calculate temperatures and heat flux for an as-run cycle average effective south lobe power of 25.4 MW(t). Results of the thermal analysis are given at four times during the cycle: BOC at 0 effective full power days (EFPD), middle of cycle (MOC) at 18 EFPD, MOC at 36 EFPD, and end of cycle at 48.9 EFPD. The highest temperatures and heat fluxes occur at the BOC and decrease in a linear manner throughout the cycle. Miniplate heat flux levels and fuel, cladding, hydroxide, and coolant-hydroxide interface temperatures were calculated using the average measured hydroxide thickness on each miniplate. The hydroxide layers are the largest on miniplates nearest to the core midplane, where heat flux and temperature are highest. The hydroxide layer thickness averages 20.4 {mu}m on the six hottest miniplates (B3, B4, C1, C2, C3, and C4). This tends to exacerbate the heating of these miniplates, since a thicker hydroxide layer reduces the heat transfer from the fuel to the coolant. These six hottest miniplates have the following thermal characteristics at BOC: (1) Peak fuel centerline temperature >300 C; (2) Peak cladding temperature >200 C; (3) Peak hydroxide temperature >190 C; (4

  10. Genomic matrix attachment region and chromosome conformation capture quantitative real time PCR assays identify novel putative regulatory elements at the imprinted Dlk1/Gtl2 locus.

    PubMed

    Braem, Caroline; Recolin, Bénédicte; Rancourt, Rebecca C; Angiolini, Christopher; Barthès, Pauline; Branchu, Priscillia; Court, Franck; Cathala, Guy; Ferguson-Smith, Anne C; Forné, Thierry

    2008-07-04

    We previously showed that genomic imprinting regulates matrix attachment region activities at the mouse Igf2 (insulin-like growth factor 2) locus and that these activities are functionally linked to neighboring differentially methylated regions (DMRs). Here, we investigate the similarly structured Dlk1/Gtl2 imprinted domain and show that in the mouse liver, the G/C-rich intergenic germ line-derived DMR, a sequence involved in domain-wide imprinting, is highly retained within the nuclear matrix fraction exclusively on the methylated paternal copy, reflecting its differential function on that chromosome. Therefore, not only "classical" A/T-rich matrix attachment region (MAR) sequences but also other important regulatory DNA elements (such as DMRs) can be recovered from genomic MAR assays following a high salt treatment. Interestingly, the recovery of one A/T-rich sequence (MAR4) from the "nuclear matrix" fraction is strongly correlated with gene expression. We show that this element possesses an intrinsic activity that favors transcription, and using chromosome conformation capture quantitative real time PCR assays, we demonstrate that the MAR4 interacts with the intergenic germ line-derived DMR specifically on the paternal allele but not with the Dlk1/Gtl2 promoters. Altogether, our findings shed a new light on gene regulation at this locus.

  11. Perspectives of offshore geothermal energy in Italy

    NASA Astrophysics Data System (ADS)

    Armani, F. B.; Paltrinieri, D.

    2013-06-01

    Italy is the first European and world's fifth largest producer of geothermal energy for power generation which actually accounts for less than 2% of the total electricity production of the country. In this paper after a brief introduction to the basic elements of high-enthalpy geothermal systems, we discuss the potentialities represented by the submarine volcanoes of the South Tyrrhenian Sea. In particular we focus on Marsili Seamount which, according to the literature data, can be considered as a possible first offshore geothermal field; then we give a summary of the related exploitation pilot project that may lead to the realization of a 200MWe prototype power plant. Finally we discuss some economic aspects and the development perspectives of the offshore geothermal resource taking into account the Italian energy framework and Europe 2020 renewable energy target.

  12. The Limits of Offshore Balancing

    DTIC Science & Technology

    2015-09-01

    UNITED STATES ARMY WAR COLLEGE PRESS Carlisle Barracks, PA ST R ENGTH-’W I SDOM THE LIMITS OF OFFSHORE BALANCING Hal Brands U.S. ARMY WAR...Offshore Balancing 5a. CONTRACT NUMBER 5b. GRANT NUMBER 5c. PROGRAM ELEMENT NUMBER 6. AUTHOR(S) 5d. PROJECT NUMBER 5e. TASK NUMBER 5f. WORK UNIT...Strategic Studies Institute and U.S. Army War College Press THE LIMITS OF OFFSHORE BALANCING Hal Brands September 2015

  13. Trajectories of concentrating photovoltaics (CPV) in market space based on comparisons with offshore wind power

    NASA Astrophysics Data System (ADS)

    Leutz, Ralf

    2012-10-01

    Concentrating photovoltaics (CPV) are for solar photovoltaics what offshore wind power is for wind power; this is the hypothesis of this work. In analogy to offshore wind cumulative global CPV installations of approximately 3-7 GW are predicted for the year 2020. Scenarios are based on paths for CPV following offshore wind in shape, but with a delay of ten years which is approximately the time lag the first larger offshore wind farms were built earlier than the first large CPV plants of 2011.

  14. Offshore outlook: the American Arctic

    SciTech Connect

    Jahns, M.O.

    1985-05-01

    Offshore areas in the American Arctic are highlighted and the development of the area is compared with other offshore areas where the required technology is more readily available. Principal areas are shown in which new concepts are being put to practice. Canada's east coast is examined. Several technological trends are reviewed to help operators accelerate the discovery and development of arctic petroleum reserves.

  15. Offshore Fish Community: Ecological Interactions

    EPA Science Inventory

    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...

  16. Offshore Fish Community: Ecological Interactions

    EPA Science Inventory

    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...

  17. Pioneering offshore excellence

    SciTech Connect

    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 principle 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.

  18. Reasons for decision in the matter of Sable Offshore Energy Inc., application dated 9 June 1998 for approval of the plan, profile and book of reference respecting the detailed route of a subsea pipeline from the Thebaud platform to a landfall near Goldboro, Nova Scotia, and an onshore pipeline from the landfall point to the inlet of the gas processing plant located east of Goldboro, Nova Scotia: MH-4-98

    SciTech Connect

    1998-12-31

    The National Energy Board approved a natural gas pipeline to be built by the proponents of the Sable Offshore Energy Project within a specified 500-meter-wide corridor. The pipeline will run from an offshore platform near Sable Island to a gas plant on the Nova Scotia mainland. This report summarizes proceedings of hearings held to determine the detailed route of the pipeline within the specified corridor and to consider the most appropriate methods and timing of constructing the pipeline. Specific objections to the detailed route from holders of mineral rights licenses are noted and a Board decision on the detailed route is presented.

  19. Sensitivity Analysis of Offshore Wind Cost of Energy (Poster)

    SciTech Connect

    Dykes, K.; Ning, A.; Graf, P.; Scott, G.; Damiami, R.; Hand, M.; Meadows, R.; Musial, W.; Moriarty, P.; Veers, P.

    2012-10-01

    No matter the source, offshore wind energy plant cost estimates are significantly higher than for land-based projects. For instance, a National Renewable Energy Laboratory (NREL) review on the 2010 cost of wind energy found baseline cost estimates for onshore wind energy systems to be 71 dollars per megawatt-hour ($/MWh), versus 225 $/MWh for offshore systems. There are many ways that innovation can be used to reduce the high costs of offshore wind energy. However, the use of such innovation impacts the cost of energy because of the highly coupled nature of the system. For example, the deployment of multimegawatt turbines can reduce the number of turbines, thereby reducing the operation and maintenance (O&M) costs associated with vessel acquisition and use. On the other hand, larger turbines may require more specialized vessels and infrastructure to perform the same operations, which could result in higher costs. To better understand the full impact of a design decision on offshore wind energy system performance and cost, a system analysis approach is needed. In 2011-2012, NREL began development of a wind energy systems engineering software tool to support offshore wind energy system analysis. The tool combines engineering and cost models to represent an entire offshore wind energy plant and to perform system cost sensitivity analysis and optimization. Initial results were collected by applying the tool to conduct a sensitivity analysis on a baseline offshore wind energy system using 5-MW and 6-MW NREL reference turbines. Results included information on rotor diameter, hub height, power rating, and maximum allowable tip speeds.

  20. U.S. Offshore Wind Manufacturing and Supply Chain Development

    SciTech Connect

    Hamilton, Bruce Duncan

    2013-02-22

    The objective of the report is to provide an assessment of the domestic supply chain and manufacturing infrastructure supporting the U.S. offshore wind market. The report provides baseline information and develops a strategy for future development of the supply chain required to support projected offshore wind deployment levels. A brief description of each of the key chapters includes: » Chapter 1: Offshore Wind Plant Costs and Anticipated Technology Advancements. Determines the cost breakdown of offshore wind plants and identifies technical trends and anticipated advancements in offshore wind manufacturing and construction. » Chapter 2: Potential Supply Chain Requirements and Opportunities. Provides an organized, analytical approach to identifying and bounding the uncertainties associated with a future U.S. offshore wind market. It projects potential component-level supply chain needs under three demand scenarios and identifies key supply chain challenges and opportunities facing the future U.S. market as well as current suppliers of the nation’s land-based wind market. » Chapter 3: Strategy for Future Development. Evaluates the gap or competitive advantage of adding manufacturing capacity in the U.S. vs. overseas, and evaluates examples of policies that have been successful . » Chapter 4: Pathways for Market Entry. Identifies technical and business pathways for market entry by potential suppliers of large-scale offshore turbine components and technical services. The report is intended for use by the following industry stakeholder groups: (a) Industry participants who seek baseline cost and supplier information for key component segments and the overall U.S. offshore wind market (Chapters 1 and 2). The component-level requirements and opportunities presented in Section 2.3 will be particularly useful in identifying market sizes, competition, and risks for the various component segments. (b) Federal, state, and local policymakers and economic development

  1. 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.

  2. Bahrain's offshore banking center

    SciTech Connect

    Gerakis, A.S.; Roncesvalles, O.

    1983-01-01

    The economic effects of Bahrain's schemes for licensing offshore banking units (OBUs) were the immediate response of major international banks and the financial services the banking center has rendered by improving regional money and exchange markets at a time when a Middle East link was needed to service the increasing demand for oil-wealth banking services. Bahrain's leadership also created a favorable climate. Aggressive competition from banks in Kuwait and Saudi Arabia have caused some friction, but informal supervision by the Bahrain Monetary Agency (BMA) should be able to avoid serious difficulty. Bahrain's success required a banking infrastructure, a free-enterprise system, a willingness to maintain banking standards, a country small enough to benefit directly from OBU income, and a gap in nearby competing centers. 39 references, 1 figure, 5 tables. (DCK)

  3. Ice interaction with offshore structures

    SciTech Connect

    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.

  4. WIND Toolkit Offshore Summary Dataset

    DOE Data Explorer

    Draxl, Caroline; Musial, Walt; Scott, George; Phillips, Caleb

    2017-08-18

    This dataset contains summary statistics for offshore wind resources for the continental United States derived from the Wind Integration National Datatset (WIND) Toolkit. These data are available in two formats: GDB - Compressed geodatabases containing statistical summaries aligned with lease blocks (aliquots) stored in a GIS format. These data are partitioned into Pacific, Atlantic, and Gulf resource regions. HDF5 - Statistical summaries of all points in the offshore Pacific, Atlantic, and Gulf offshore regions. These data are located on the original WIND Toolkit grid and have not been reassigned or downsampled to lease blocks. These data were developed under contract by NREL for the Bureau of Oceanic Energy Management (BOEM).

  5. Offshore search continues despite disappointments

    SciTech Connect

    Cornitius, T.

    1985-05-01

    Exploration drilling activity in Australia broke records onshore in 1984, but offshore it was a different story. A total of 373 wells were drilled, onshore and offshore, with 266 labeled as wildcats and appraisals. Out of 80 wells drilled offshore last year, 43 were exploratory compared with 49 in 1983; 48 were oil wells, seven were gas, and 25 were dusters. Offshore discoveries included the Talisman 1 off the coast of Western Australia, which tested around 6000 b/d, and Challis 1 in the Timor Sea, which flowed at 5000 b/d. The failure to establish Jabiru in the Timor Sea as a major oil province like Bass Strait was a major disappointment. However, the Challis 1 was a relief since it indicated the presence of a commercial field adjacent to Jabiru.

  6. Thermodynamic design of natural gas liquefaction cycles for offshore application

    NASA Astrophysics Data System (ADS)

    Chang, Ho-Myung; Lim, Hye Su; Choe, Kun Hyung

    2014-09-01

    A thermodynamic study is carried out for natural gas liquefaction cycles applicable to offshore floating plants, as partial efforts of an ongoing governmental project in Korea. For offshore liquefaction, the most suitable cycle may be different from the on-land LNG processes under operation, because compactness and simple operation are important as well as thermodynamic efficiency. As a turbine-based cycle, closed Claude cycle is proposed to use NG (natural gas) itself as refrigerant. The optimal condition for NG Claude cycle is determined with a process simulator (Aspen HYSYS), and the results are compared with fully-developed C3-MR (propane pre-cooled mixed refrigerant) JT cycles and various N2 (nitrogen) Brayton cycles in terms of efficiency and compactness. The newly proposed NG Claude cycle could be a good candidate for offshore LNG processes.

  7. Quantifying the hurricane risk to offshore wind turbines

    PubMed Central

    Rose, Stephen; Jaramillo, Paulina; Small, Mitchell J.; Grossmann, Iris; Apt, Jay

    2012-01-01

    The U.S. Department of Energy has estimated that if the United States is to generate 20% of its electricity from wind, over 50 GW will be required from shallow offshore turbines. Hurricanes are a potential risk to these turbines. Turbine tower buckling has been observed in typhoons, but no offshore wind turbines have yet been built in the United States. We present a probabilistic model to estimate the number of turbines that would be destroyed by hurricanes in an offshore wind farm. We apply this model to estimate the risk to offshore wind farms in four representative locations in the Atlantic and Gulf Coastal waters of the United States. In the most vulnerable areas now being actively considered by developers, nearly half the turbines in a farm are likely to be destroyed in a 20-y period. Reasonable mitigation measures—increasing the design reference wind load, ensuring that the nacelle can be turned into rapidly changing winds, and building most wind plants in the areas with lower risk—can greatly enhance the probability that offshore wind can help to meet the United States’ electricity needs. PMID:22331894

  8. Quantifying the hurricane risk to offshore wind turbines.

    PubMed

    Rose, Stephen; Jaramillo, Paulina; Small, Mitchell J; Grossmann, Iris; Apt, Jay

    2012-02-28

    The U.S. Department of Energy has estimated that if the United States is to generate 20% of its electricity from wind, over 50 GW will be required from shallow offshore turbines. Hurricanes are a potential risk to these turbines. Turbine tower buckling has been observed in typhoons, but no offshore wind turbines have yet been built in the United States. We present a probabilistic model to estimate the number of turbines that would be destroyed by hurricanes in an offshore wind farm. We apply this model to estimate the risk to offshore wind farms in four representative locations in the Atlantic and Gulf Coastal waters of the United States. In the most vulnerable areas now being actively considered by developers, nearly half the turbines in a farm are likely to be destroyed in a 20-y period. Reasonable mitigation measures--increasing the design reference wind load, ensuring that the nacelle can be turned into rapidly changing winds, and building most wind plants in the areas with lower risk--can greatly enhance the probability that offshore wind can help to meet the United States' electricity needs.

  9. Future for Offshore Wind Energy in the United States: Preprint

    SciTech Connect

    Musial, W.; Butterfield, S.

    2004-06-01

    Until recently, the offshore wind energy potential in the United States was ignored because vast onshore wind resources have the potential to fulfill the electrical energy needs for the entire country. However, the challenge of transmitting the electricity to the large load centers may limit wind grid penetration for land-based turbines. Offshore wind turbines can generate power much closer to higher value coastal load centers. Reduced transmission constraints, steadier and more energetic winds, and recent European success, have made offshore wind energy more attractive for the United States. However, U.S. waters are generally deeper than those on the European coast, and will require new technology. This paper presents an overview of U.S. coastal resources, explores promising deepwater wind technology, and predicts long-term cost-of-energy (COE) trends. COE estimates are based on generic 5-MW wind turbines in a hypothetical 500-MW wind power plant. Technology improvements and volume production are expected to lower costs to meet the U.S. Department of Energy target range of $0.06/kWh for deployment of deepwater offshore wind turbines by 2015, and $0.05/kWh by 2012 for shallow water. Offshore wind systems can diversify the U.S. electric energy supply and provide a new market for wind energy that is complementary to onshore development.

  10. Hybrid offshore structure

    SciTech Connect

    Finn, L.D.; Maus, L.D.

    1986-09-09

    An articulated offshore structure is described for use in a body of water, the structure comprising: a substantially rigid lower section, the lower section extending upwardly from the bottom of the body of water to a pivot point located intermediate the bottom and the surface of the body of water; a compliant upper section extending upwardly from the pivot point to a position at or above the surface of the body of water; pivot means located proximate pivot point, the pivot means interposed between and connected to the lower section and upper section and adapted to permit the upper section to pivot laterally relative to the lower section; torsion means connected to the upper section and the lower section, the torsion means adapted to transmit torsional loads from the upper section to the lower section; the pivot means being positioned above the bottom of the body of water a distance of between about 10 percent and about 50 percent of the total depth of the body of water so as to substantially minimize the weight of the structure while maintaining the flexural vibration period of the structure at or below a preselected maximum flexural vibration period.

  11. Offshore well support miniplatform

    SciTech Connect

    Blandford, J.W.

    1987-07-14

    This patent describes a protective well support system installed on an offshore well having an upstanding conductor pipe extending above the seabed, the system comprising: (a) an upstanding conductor clamp (adapts to encircle the conductor pipe) formed by two upstanding facing members supported by a bottom engaging frame; (b) the frame including frame members joined together defining a substantially horizontal rectangular support frame for engaging the seabed; (c) angularly extending brace members secured at one end to the conductor clamp and at the other end to the frame; (d) the conductor clamp attaches to the frame and extending upright to enable the conductor clamp to fasten about the conductor pipe; (e) a boat landing mounts about the conductor pipe, the boat landing formed by at least two sectional components fixedly secured to semicircular clamp members adapted to encircle the conductor pipe for mounting the boat landing components; and (f) well platform means supported on bracket means adapted to encircle the conductor pipe for removably securing the well platform means.

  12. Reassessment of offshore platforms

    SciTech Connect

    Nair, V.V.D.; Kuhn, J.M. )

    1993-05-01

    Data from Hurricane Andrew demonstrated that the systems and procedures in place for evacuating offshore workers and minimizing oil spills and environmental damage functioned as planned. While the vast majority of the platforms survived the storm with no damage, a few of the older platforms (installed prior to 1972) either collapsed or suffered severe damage. The collapsed platforms were designed with insufficient deck height to clear the storm waves. In recent years, the API RP 2A has introduced guidance for minimum air gap, minimum structures, platform inspection and platform reuse. These provisions, coupled with natural attribution of the older platforms, will significantly improve the performance of platforms in the future. The reliability of NDT techniques to detect major structural defects should be improved through continued research. While flooded member detection is used by several operators as a screening tool to detect major defects underwater, its reliability is not always good and further research is needed in this area. Another area of high priority research is related to the use of Remotely Operated Vehicles (ROV) to perform underwater inspection of structures. 51 refs., 7 figs.

  13. Floating Offshore Wind in Hawaii: Potential for Jobs and Economic Impacts from Three Future Scenarios

    SciTech Connect

    Jimenez, Tony; Keyser, David; Tegen, Suzanne

    2016-04-18

    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: 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.

  14. GTL001 and bivalent CyaA-based therapeutic vaccine strategies against human papillomavirus and other tumor-associated antigens induce effector and memory T-cell responses that inhibit tumor growth.

    PubMed

    Esquerré, Michaël; Momot, Marie; Goubier, Anne; Gonindard, Christophe; Leung-Theung-Long, Stéphane; Misseri, Yolande; Bissery, Marie-Christine

    2017-03-13

    GTL001 is a bivalent therapeutic vaccine containing human papillomavirus (HPV) 16 and HPV18 E7 proteins inserted in the Bordetella pertussis adenylate cyclase (CyaA) vector intended to prevent cervical cancer in HPV-infected women with normal cervical cytology or mild abnormalities. To be effective, therapeutic cervical cancer vaccines should induce both a T cell-mediated effector response against HPV-infected cells and a robust CD8(+) T-cell memory response to prevent potential later infection. We examined the ability of GTL001 and related bivalent CyaA-based vaccines to induce, in parallel, effector and memory CD8(+) T-cell responses to both vaccine antigens. Intradermal vaccination of C57BL/6 mice with GTL001 adjuvanted with a TLR3 agonist (polyinosinic-polycytidylic acid) or a TLR7 agonist (topical 5% imiquimod cream) induced strong HPV16 E7-specific T-cell responses capable of eradicating HPV16 E7-expressing tumors. Tumor-free mice also had antigen-specific memory T-cell responses that protected them against a subsequent challenge with HPV18 E7-expressing tumor cells. In addition, vaccination with bivalent vaccines containing CyaA-HPV16 E7 and CyaA fused to a tumor-associated antigen (melanoma-specific antigen A3, MAGEA3) or to a non-viral, non-tumor antigen (ovalbumin) eradicated HPV16 E7-expressing tumors and protected against a later challenge with MAGEA3- and ovalbumin-expressing tumor cells, respectively. These results show that CyaA-based bivalent vaccines such as GTL001 can induce both therapeutic and prophylactic anti-tumor T-cell responses. The CyaA platform can be adapted to different antigens and adjuvants, and therefore may be useful for developing other therapeutic vaccines.

  15. Offshore Wind Energy Market Overview (Presentation)

    SciTech Connect

    Baring-Gould, I.

    2013-07-01

    This presentation describes the current international market conditions regarding offshore wind, including the breakdown of installation costs, how to reduce costs, and the physical siting considerations considered when planning offshore wind construction. The presentation offers several examples of international existing and planned offshore wind farm sites and compares existing international offshore resources with U.S. resources. The presentation covers future offshore wind trends and cites some challenges that the United States must overcome before it will be able to fully develop offshore wind sites.

  16. A novel SND1-BRAF fusion confers resistance to c-Met inhibitor PF-04217903 in GTL16 cells through [corrected] MAPK activation.

    PubMed

    Lee, Nathan V; Lira, Maruja E; Pavlicek, Adam; Ye, Jingjing; Buckman, Dana; Bagrodia, Shubha; Srinivasa, Sreesha P; Zhao, Yongjun; Aparicio, Samuel; Rejto, Paul A; Christensen, James G; Ching, Keith A

    2012-01-01

    Targeting cancers with amplified or abnormally activated c-Met (hepatocyte growth factor receptor) may have therapeutic benefit based on nonclinical and emerging clinical findings. However, the eventual emergence of drug resistant tumors motivates the pre-emptive identification of potential mechanisms of clinical resistance. We rendered a MET amplified gastric cancer cell line, GTL16, resistant to c-Met inhibition with prolonged exposure to a c-Met inhibitor, PF-04217903 (METi). Characterization of surviving cells identified an amplified chromosomal rearrangement between 7q32 and 7q34 which overexpresses a constitutively active SND1-BRAF fusion protein. In the resistant clones, hyperactivation of the downstream MAPK pathway via SND1-BRAF conferred resistance to c-Met receptor tyrosine kinase inhibition. Combination treatment with METi and a RAF inhibitor, PF-04880594 (RAFi) inhibited ERK activation and circumvented resistance to either single agent. Alternatively, treatment with a MEK inhibitor, PD-0325901 (MEKi) alone effectively blocked ERK phosphorylation and inhibited cell growth. Our results suggest that combination of a c-Met tyrosine kinase inhibitor with a BRAF or a MEK inhibitor may be effective in treating resistant tumors that use activated BRAF to escape suppression of c-Met signaling.

  17. A Novel SND1-BRAF Fusion Confers Resistance to c-Met Inhibitor PF-04217903 in GTL16 Cells though MAPK Activation

    PubMed Central

    Lee, Nathan V.; Lira, Maruja E.; Pavlicek, Adam; Ye, Jingjing; Buckman, Dana; Bagrodia, Shubha; Srinivasa, Sreesha P.; Zhao, Yongjun; Aparicio, Samuel; Rejto, Paul A.; Christensen, James G.; Ching, Keith A.

    2012-01-01

    Targeting cancers with amplified or abnormally activated c-Met (hepatocyte growth factor receptor) may have therapeutic benefit based on nonclinical and emerging clinical findings. However, the eventual emergence of drug resistant tumors motivates the pre-emptive identification of potential mechanisms of clinical resistance. We rendered a MET amplified gastric cancer cell line, GTL16, resistant to c-Met inhibition with prolonged exposure to a c-Met inhibitor, PF-04217903 (METi). Characterization of surviving cells identified an amplified chromosomal rearrangement between 7q32 and 7q34 which overexpresses a constitutively active SND1-BRAF fusion protein. In the resistant clones, hyperactivation of the downstream MAPK pathway via SND1-BRAF conferred resistance to c-Met receptor tyrosine kinase inhibition. Combination treatment with METi and a RAF inhibitor, PF-04880594 (RAFi) inhibited ERK activation and circumvented resistance to either single agent. Alternatively, treatment with a MEK inhibitor, PD-0325901 (MEKi) alone effectively blocked ERK phosphorylation and inhibited cell growth. Our results suggest that combination of a c-Met tyrosine kinase inhibitor with a BRAF or a MEK inhibitor may be effective in treating resistant tumors that use activated BRAF to escape suppression of c-Met signaling. PMID:22745804

  18. Asymmetric DNA methylation of CpG dyads is a feature of secondary DMRs associated with the Dlk1/Gtl2 imprinting cluster in mouse.

    PubMed

    Guntrum, Megan; Vlasova, Ekaterina; Davis, Tamara L

    2017-01-01

    Differential DNA methylation plays a critical role in the regulation of imprinted genes. The differentially methylated state of the imprinting control region is inherited via the gametes at fertilization, and is stably maintained in somatic cells throughout development, influencing the expression of genes across the imprinting cluster. In contrast, DNA methylation patterns are more labile at secondary differentially methylated regions which are established at imprinted loci during post-implantation development. To investigate the nature of these more variably methylated secondary differentially methylated regions, we adopted a hairpin linker bisulfite mutagenesis approach to examine CpG dyad methylation at differentially methylated regions associated with the murine Dlk1/Gtl2 imprinting cluster on both complementary strands. We observed homomethylation at greater than 90% of the methylated CpG dyads at the IG-DMR, which serves as the imprinting control element. In contrast, homomethylation was only observed at 67-78% of the methylated CpG dyads at the secondary differentially methylated regions; the remaining 22-33% of methylated CpG dyads exhibited hemimethylation. We propose that this high degree of hemimethylation could explain the variability in DNA methylation patterns at secondary differentially methylated regions associated with imprinted loci. We further suggest that the presence of 5-hydroxymethylation at secondary differentially methylated regions may result in hemimethylation and methylation variability as a result of passive and/or active demethylation mechanisms.

  19. Offshore Energy Knowledge Exchange Workshop Report

    SciTech Connect

    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.

  20. 78 FR 27913 - Revision of Crane Regulation Standards for Mobile Offshore Drilling Units (MODUs), Offshore...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2013-05-13

    ... for Mobile Offshore Drilling Units (MODUs), Offshore Supply Vessels (OSVs), and Floating Outer... testing of cranes. These regulations apply to cranes installed on Mobile Offshore Drilling Units (MODUs... Maritime Organization MODU Mobile offshore drilling unit NFPA National Fire Protection Association NPRM...

  1. Development drilling problems offshore Malaysia

    SciTech Connect

    Osman, M.N.; Maung, M.

    1984-02-01

    This paper highlights the major drilling problems encountered in the field development programmes offshore Malaysia from 1978 to mid-1983. The major problems identified were pipe sticking which was common in all the areas and top hole drilling problems encountered in a few fields offshore Sabah and Sarawak. Generally, the problems were related to drilling deviated wells through the soft and unconsolidated formations common in this region. Preventive measures employed by the Contractors have been effective in overcoming these problems in the later years of the period under consideration.

  2. Offshore wind farm layout optimization

    NASA Astrophysics Data System (ADS)

    Elkinton, Christopher Neil

    Offshore wind energy technology is maturing in Europe and is poised to make a significant contribution to the U.S. energy production portfolio. Building on the knowledge the wind industry has gained to date, this dissertation investigates the influences of different site conditions on offshore wind farm micrositing---the layout of individual turbines within the boundaries of a wind farm. For offshore wind farms, these conditions include, among others, the wind and wave climates, water depths, and soil conditions at the site. An analysis tool has been developed that is capable of estimating the cost of energy (COE) from offshore wind farms. For this analysis, the COE has been divided into several modeled components: major costs (e.g. turbines, electrical interconnection, maintenance, etc.), energy production, and energy losses. By treating these component models as functions of site-dependent parameters, the analysis tool can investigate the influence of these parameters on the COE. Some parameters result in simultaneous increases of both energy and cost. In these cases, the analysis tool was used to determine the value of the parameter that yielded the lowest COE and, thus, the best balance of cost and energy. The models have been validated and generally compare favorably with existing offshore wind farm data. The analysis technique was then paired with optimization algorithms to form a tool with which to design offshore wind farm layouts for which the COE was minimized. Greedy heuristic and genetic optimization algorithms have been tuned and implemented. The use of these two algorithms in series has been shown to produce the best, most consistent solutions. The influences of site conditions on the COE have been studied further by applying the analysis and optimization tools to the initial design of a small offshore wind farm near the town of Hull, Massachusetts. The results of an initial full-site analysis and optimization were used to constrain the boundaries of

  3. Eighteenth annual offshore technology conference. Volume 1

    SciTech Connect

    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.

  4. Risks to offshore installations in Europe due to natural hazards

    NASA Astrophysics Data System (ADS)

    Necci, Amos; Krausmann, Elisabeth

    2017-04-01

    Natural hazards, such as storms, earthquakes, or lightning are a major threat to industry. In particular, chemical plants, storage facilities, pipelines, and offshore oil and gas facilities are vulnerable to natural events which can cause hazardous materials releases and thereby endanger workers, the population and the environment. These technological accidents are commonly referred to as Natech accidents. Recent events have increased concerns about safety in the offshore oil and gas sector, and the need for improving knowledge on the matter has become evident. With those premises, we analyzed accidents, near misses and accident precursors at offshore facilities in Europe caused by natural events using both a statistical and a qualitative approach. For this purpose, we screened the World Offshore Accident Database (WOAD) to identify all incidents that featured natural events as causes or aggravating factors. A dataset of 1,085 global Natech events was built for the statistical analysis. Among those, a subset composed of 303 European records was selected. The results of the analysis showed that offshore Natech events in Europe are frequent; they resulted, however, in low consequences. The main threat to offshore facilities resulted from bad weather, such as strong winds and heavy seas. Storms can put intense loads on the structural parts of offshore installations, eventually exceeding design resistance specifications. Several incidents triggered by lightning strikes and earthquakes were also recorded. Substantial differences in terms of vulnerability, damage modality and consequences emerged between fixed and floating offshore structures. The main damage mode for floating structures was the failure of station keeping systems due to the rupture of mooring or anchors, mainly caused by adverse meteorological conditions. Most of the incidents at fixed offshore structures in Europe involved falling loads for both metal jacket and concrete base platforms due to storms. In

  5. Foundations for offshore wind turbines.

    PubMed

    Byrne, B W; Houlsby, G T

    2003-12-15

    An important engineering challenge of today, and a vital one for the future, is to develop and harvest alternative sources of energy. This is a firm priority in the UK, with the government setting a target of 10% of electricity from renewable sources by 2010. A component central to this commitment will be to harvest electrical power from the vast energy reserves offshore, through wind turbines or current or wave power generators. The most mature of these technologies is that of wind, as much technology transfer can be gained from onshore experience. Onshore wind farms, although supplying 'green energy', tend to provoke some objections on aesthetic grounds. These objections can be countered by locating the turbines offshore, where it will also be possible to install larger capacity turbines, thus maximizing the potential of each wind farm location. This paper explores some civil-engineering problems encountered for offshore wind turbines. A critical component is the connection of the structure to the ground, and in particular how the load applied to the structure is transferred safely to the surrounding soil. We review previous work on the design of offshore foundations, and then present some simple design calculations for sizing foundations and structures appropriate to the wind-turbine problem. We examine the deficiencies in the current design approaches, and the research currently under way to overcome these deficiencies. Designs must be improved so that these alternative energy sources can compete economically with traditional energy suppliers.

  6. China offshore has top priority

    SciTech Connect

    Cornitius, T.A.

    1983-11-01

    Joint venture development of offshore petroleum reserves has top priority in the mammoth effort to modernize the People's Republic of China. While the country works to overcome a critical shortage of skilled personnel, export of oil, coal, consumer goods, and metals will finance technological imports.

  7. The offshore benthic fish community

    USGS Publications Warehouse

    Lantry, Brian F.; Lantry, Jana R.; Weidel, Brian C.; Walsh, Maureen; Hoyle, James A.; Schaner, Teodore; Neave, Fraser B.; Keir, Michael

    2014-01-01

    The offshore benthic fish community will be composed of self-sustaining native fishes characterized by lake trout as the top predator, a population expansion of lake whitefish from northeastern waters to other areas of the lake, and rehabilitated native prey fishes.

  8. Proceedings of Offshore Europe 91

    SciTech Connect

    Not Available

    1991-01-01

    All papers in this volume were presented at Offshore Europe held in Aberdeen, Scotland, September 3--6, 1991. Included are the following papers: Low-damage-fluid-loss control for well completions; Isolation techniques for subsea gas pipelines; New water injection technology.

  9. Offshore LNG (liquefied natural gas) production and storage systems

    SciTech Connect

    Barden, J.K.

    1982-01-01

    A barge, outfitted with gas liquefaction processing equipment and liquefied natural gas (LNG) storage tanks, is suggested as a possible way to exploit remote offshore gas production. A similar study with a barge-mounted methanol plant was conducted several years ago, also using remote offshore feed gas. This barge-mounted, LNG system is bow-moored to a single point mooring through which feed gas is piped via seafloor pipeline from a nearby gas production facility. The barge is arranged with personnel accommodation forward, LNG storage midships, and gas liquefaction processing equipment aft. A flare boom is cantilevered off the barge's stern. The basis of design stipulates feed gas properties, area environmental data, gas liquefaction process, LNG storage tank type plus other parameters desirable in a floating process plant. The latter were concerned with safety, low maintenance characteristics, and the fact that the process barge also would serve as an offshore port where LNG export tankers would moor periodically. A brief summary of results for a barge-mounted methanol plant from an earlier study is followed then by a comparison of LNG and methanol alternatives.

  10. National Offshore Wind Energy Grid Interconnection Study

    SciTech Connect

    Daniel, John P.; Liu, Shu; Ibanez, Eduardo; Pennock, Ken; Reed, Greg; Hanes, Spencer

    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 systems 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.

  11. How dangerous is offshore drilling

    SciTech Connect

    McIntosh, T.S.

    1981-08-01

    As concluded by the National Research Council, the frequency of injuries during oil and gas operations on the outer continental shelf is comparable to that in other industries such as mining, maritime service, and heavy construction. Although an area of concern, offshore safety is not easily improved by legislation or detailed regulation. The industry itself must be committed to providing the safest possible workplace for the job and the environment. At Zapata Off-Shore Co., for example, top management recognizes the value of safety-trained personnel in terms of not only decreased downtime and lower insurance costs but also improved crew morale and productivity. The key operatives of Zapata's program are the rig representatives who provide full-time, rig-based safety, training, administrative, and employee-relations assistance to the crews.

  12. Offshore drilling platform protection device

    SciTech Connect

    Magill, J.M.

    1981-12-15

    A description is given of an offshore drilling platform protection device for use on an offshore oil well drilling vessel including a drilling platform supportable on a plurality of extendable legs wherein each leg is moved by a rack gear assembly. The rack gear assembly includes an otherwise exposed first gear which engages a second gear positioned in a housing having a rectangular corner opening through which the first gear extends, the protection device including first and second protective sections adapted for mounting over the first gear adjacent to the rectangular corner of the housing for the second gear, the first and second protective sections cooperating to provide an l-shaped opening which communicates with the opening at the second gear housing for protecting the first gear while allowing the first gear to mesh with the second gear.

  13. Fatigue handbook: Offshore steel structures

    SciTech Connect

    Almarnaess, A.

    1985-01-01

    The contents of this book are: Overview of Offshore Steel Structures; Loads on Ocean Structures; Fracture Mechanics As a Tool in Fatigue Analysis; Basic Fatigue Properties of Welded Joints; Significance of Defects; Improving the Fatigue Strength of Welded Joints; Effects of Marine Environment and Cathodic Protection on Fatigue of Structural Steels Fatigue of Tubular Joints; Unstable Fracture; Fatigue Life Calculations; and Fatigue in Building Codes Background and Applications.

  14. Pipelaying in artic offshore waters

    SciTech Connect

    Langner, C. G.

    1985-11-19

    The present invention provides a method and apparatus for constructing pipelines in Arctic offshore waters by a directional drilling technique, thereby minimizing exposure to ice gouging and eliminating the hazards associated with unstable permafrost. A special drilling-pipe-line construction vessel is also provided which has a conical shape with reinforced outer walls to resist ice forces, which vessel includes means to install deep underground pipeline segments and means to connect and protect the pipe ends.

  15. Two offshore Australian crudes assayed

    SciTech Connect

    Rhodes, A.K.

    1994-05-09

    Two light, sweet crudes from offshore Australia have been assayed. Gippsland crude, also called Bass Strait, is produced off the coast of Victoria, in southeastern Australia. The 47 API, 0.09% sulfur crude was analyzed in mid-1993. Skua, a 42 API, 0.06 wt % sulfur crude, is produced in the Timor Sea. Data are given on the whole crude and fractions for both deposits. Both chemical and physical properties are listed.

  16. Offshore sand and gravel mining

    SciTech Connect

    Pandan, J.W.

    1983-05-01

    This paper reviews the status of mining offshore for sand and gravel on a world-wide basis. It discusses the technology for exploration and evaluation of sea floor mineral targets, as well as mining, transportation, and processing. Large operations in Japan and Europe are described, based upon personal observations of the author. The U.S. situation is outlined and opinions offered as to the outlook for the future.

  17. Turboexpanders with pressurized magnetic bearings for off-shore applications

    SciTech Connect

    Agahi, R.R.; Ershaghi, B.; Baudelocque, L.

    1995-12-31

    There are two primary parameters that encourage the use of magnetic bearings in turbomachinery: oil-free process and space requirements. For cryogenic processes such as hydrogen purification and ethylene plants, oil free process is the primary objective. In the case of off-shore platforms for oil and gas production, the occupied space and weight are of prime concern. In off-shore operations, the process gas density is usually higher than in normal process plants because the gas is untreated and at high pressure. High density process gas generates more windage loss and may also cause excessive radial load to journal bearings. The bearing assembly design should be suitable for sour gas environments as well. Furthermore, the thrust bearing system should withstand process fluctuations which are more severe due to high pressure. In this paper, the authors explain their experience of designing a turboexpander-compressor with magnetic bearings for an off-shore oil production platform. They will present side load analysis and their solutions for heat dissipation and coping with process fluctuations.

  18. Offshore oil: Correctness of perspective

    SciTech Connect

    Burns, R.F.

    1993-05-01

    Except for the Gulf of Mexico, the offshore oil industry has been virtually banned from the US Exclusive Economic Zone for ten years. The oil potential in Alaska's Arctic National Wildlife Refuge (ANWR) is also off limits. The Gulf of Mexico is the only place with prospects for future success and a number of companies both large and small are determined to move forward. The depressed price of oil does not encourage development but recently gas prices in the US have increased, making offshore gas development more feasible. Perhaps most significant is development and application of new technology and more intense management to make sure it works. The offshore oil companies and support industries have made significant technological advances, expending over and above the dollars paid in taxes, lease fees, and royalties. The ocean industries harbor a great reservoir of high technology knowledge. They have demonstrated the ability to successfully meet a vast array of challenges in exploring for, drilling, and producing oil and gas in extreme conditions. These facts beg the question as to the rational basis of each and every regulation and the ban on drilling.

  19. Offshore and arctic frontiers -structures, ocean mining

    SciTech Connect

    Chung, J.S.

    1985-05-01

    The systematic development of offshore technology is discussed. Today, this technology enables the production of approximately 14 million barrels of oil per day, or 26% of oil production worldwide. The evolution in offshore structures is examined with emphasis on jacket and jackup platforms. Challenges are explored. Microprocessors, data-base management, and artificial intelligence are mentioned as having an impact on the offshore and arctic oil industry.

  20. 1991 worldwide offshore contractors and equipment directory

    SciTech Connect

    Not Available

    1991-01-01

    This book is the information source-book for the international offshore oil industry. Within this single convenient reference you'll find addresses, phone numbers, telex, fax and cable listings for more than 3,500 companies and their key personnel in the drilling, workover, construction, service/supply/manufacturers, geophysical, diving and transportation segments of the offshore industry. Along with this vital contact information, the authors include such pertinent data as rig specifications, ownership, an equipment index, a company index and a current survey of offshore production systems from Offshore Incorporating the Oilman.

  1. MicroRNAs in the Myocyte Enhancer Factor 2 (MEF2)-regulated Gtl2-Dio3 Noncoding RNA Locus Promote Cardiomyocyte Proliferation by Targeting the Transcriptional Coactivator Cited2.

    PubMed

    Clark, Amanda L; Naya, Francisco J

    2015-09-18

    Understanding cell cycle regulation in postmitotic cardiomyocytes may lead to new therapeutic approaches to regenerate damaged cardiac tissue. We have demonstrated previously that microRNAs encoded by the Gtl2-Dio3 noncoding RNA locus function downstream of the MEF2A transcription factor in skeletal muscle regeneration. We have also reported expression of these miRNAs in the heart. Here we investigated the role of two Gtl2-Dio3 miRNAs, miR-410 and miR-495, in cardiac muscle. Overexpression of miR-410 and miR-495 robustly stimulated cardiomyocyte DNA synthesis and proliferation. Interestingly, unlike our findings in skeletal muscle, these miRNAs did not modulate the activity of the WNT signaling pathway. Instead, these miRNAs targeted Cited2, a coactivator required for proper cardiac development. Consistent with miR-410 and miR-495 overexpression, siRNA knockdown of Cited2 in neonatal cardiomyocytes resulted in robust proliferation. This phenotype was associated with reduced expression of Cdkn1c/p57/Kip2, a cell cycle inhibitor, and increased expression of VEGFA, a growth factor with proliferation-promoting effects. Therefore, miR-410 and miR-495 are among a growing number of miRNAs that have the ability to potently stimulate neonatal cardiomyocyte proliferation.

  2. Offshore drilling and production structure

    SciTech Connect

    Crockett, R.K.; Palmer, H.E.; Stenning, D.G.

    1982-02-09

    The invention relates to an off-shore marine structure that provides an elevated support for a drilling and/or production platform. A structure comprised of three interlocking components is provided, the first component being a large foundation base installed on the sea bed; the second being a conical shaped support component which is engagable with the foundation base and which, releasably carries the third platform supporting component. In the preferred form, the platform supporting component comprises a centrally-disposed vertical column, means being provided to facilitate engagement of the column with the platform and the second component and to subsequently elevate the platform to an operating height above sea level.

  3. Bundled pipe speeds offshore laying

    SciTech Connect

    Brockbank, J. )

    1990-05-07

    Technology which allows pipelines to be installed in bundles is expediting pipelay operations in the North Sea. This paper reports how the piggyback system was recently used on 60 km of North Sea gas pipelines for three major projects. For 7 years the practice of installing two or more pipelines in one operation has become an established practice for North Sea offshore oil and gas projects. The technique, commonly referred to as a piggyback operation, reduces installation costs, improves operation reliability, and cuts maintenance time.

  4. Wave slamming on offshore structures

    NASA Astrophysics Data System (ADS)

    Miller, B. L.

    1980-03-01

    Experimental and theoretical work on the slamming of circular cylinders is surveyed. Data are included from controlled drop tests. The influence of inclined impact and beam dynamics on the resulting stresses is calculated for a wide range of wave conditions. The statistical distributions of the estimated stresses are analyzed to provide data for the calculation of slamming loads on fixed offshore structures using simple formulas in which the slamming coefficients incorporate both the member dynamics and the sea wave statistics. Slamming coefficients and associated stress calculation methods are presented for extreme values and fatigue damage. These may also be used for slamming during jacket launching. A film of wave slam was also produced.

  5. Seismic assessment for offshore pipelines

    SciTech Connect

    Bruschi, R.; Gudmestad, O.T.; Blaker, F.; Nadim, F.

    1995-12-31

    An international consensus on seismic design criteria for onshore pipelines has been established during the last thirty years. The need to assess seismic design for offshore pipelines has not been similarly recognized. In this paper, the geotechnical hazard for a pipeline routed across steep slopes and irregular terrains affected by earthquakes, is discussed. The integrity of both natural and artificial load bearing supports is assessed.d The response of the pipeline to direct excitation from soil or through discontinuous, sparsely distributed natural or artificial supports, is commented.

  6. Floating Offshore Wind in Oregon: Potential for Jobs and Economic Impacts from Two Future Scenarios

    SciTech Connect

    Jimenez, Tony; Keyser, David; Tegen, Suzanne; Speer, Bethany

    2016-05-01

    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 of the East Coast and mid-Atlantic. However, floating platforms, which have yet to be deployed commercially, will likely need to anchor to the deeper seafloor if deployed off of the West Coast. To analyze the employment and economic potential for floating offshore wind along the West Coast, the Bureau of Ocean Energy Management (BOEM) commissioned the National Renewable Energy Laboratory (NREL) to analyze two hypothetical, large-scale deployment scenarios for Oregon: 5,500 megawatts (MW) of offshore wind deployment in Oregon by 2050 (Scenario A), and 2,900 MW of offshore wind by 2050 (Scenario B). These levels of deployment could power approximately 1,600,000 homes (Scenario A) or 870,000 homes (Scenario B). Offshore wind would contribute to economic development in Oregon in the near future, and more substantially in the long term, especially if equipment and labor are sourced from within the state. According to the analysis, over the 2020-2050 period, Oregon floating offshore wind facilities could support 65,000-97,000 job-years and add $6.8 billion-$9.9 billion to the state GDP (Scenario A).

  7. Domestic Options to Offshore Oil and Gas.

    ERIC Educational Resources Information Center

    Kash, Don E.

    1983-01-01

    The continuing controversey over offshore oil/gas has given impetus to searching for domestic energy alternatives. The need for and types of several alternative sources are discussed. Indicates that the United States needs to pursue both offshore and other domestic liquid-fuel sources if it is to avoid becoming increasingly dependent on imports.…

  8. U.S. Offshore Wind Port Readiness

    SciTech Connect

    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.

  9. Domestic Options to Offshore Oil and Gas.

    ERIC Educational Resources Information Center

    Kash, Don E.

    1983-01-01

    The continuing controversey over offshore oil/gas has given impetus to searching for domestic energy alternatives. The need for and types of several alternative sources are discussed. Indicates that the United States needs to pursue both offshore and other domestic liquid-fuel sources if it is to avoid becoming increasingly dependent on imports.…

  10. 31 CFR 547.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 547.406 Section 547.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE... REGULATIONS Interpretations § 547.406 Offshore transactions. The prohibitions in § 547.201 on transactions or...

  11. [Offshore substation workers' exposure to harmful factors - Actions minimizing risk of hazards].

    PubMed

    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.

  12. Structural features offshore northern Taiwan

    NASA Astrophysics Data System (ADS)

    Yicheng Yang, Eason; Liu, Char-Shine; Chang, Jih-Hsin; Chiu, Chien-Hsuan

    2016-04-01

    The area offshore northern Taiwan is the place where East China Sea Shelf extends into the Southern Okinawa Trough, and where pre-Pleistocene arc-continental collision had occurred. Comparison between fault distribution in the area with previously published results suggests that the fault distribution and regional structural framework are still controversial. Using marine multichannel seismic reflection data collected in 3 marine geophysical survey cruises, we remapped the fault distribution in the northern offshore area of Taiwan. By analyzing all the seismic profiles using the KINGDOM suite (a seismic interpretation software), a new fault distribution map is presented, and a subsurface unconformity PRSB (Pliocene reflection sequence boundary) is identified. Six major NE-SW trending high-angle normal faults cut the PRSB can be traced to the fault systems on land northernmost Taiwan. These normal faults are located between the Southern Okinawa Trough and the East China Sea continental shelf basin, and have been suggested to be reactivated from pre-existing reverse faults. The offsets of fault ramps in PRSB increase toward southeast. The isopach map of the study area compiled shows that sediment strata overlying PRSB thin toward northwest.

  13. Underbalanced drilling benefits now available offshore

    SciTech Connect

    Vozniak, J.P.; Cuthbertson, B.; Nessa, D.O.

    1997-05-01

    Offshore underbalanced drilling (UBD) is a reality. Applications in older, partially depleted fields and new fields are being considered. However, low productivity reservoirs and fields with sub normal pressures causing drilling problems are currently the main targets for offshore UBD. With proper planning and the correct technique, both jointed pipe and coiled tubing UBD drilling operations have been carried out offshore with success. The main concerns for offshore UBD have been altered drilling practices and surface production system operation. These issues have been examined and equipment has been designed and tested to address them. Environmental, safety and health issues are paramount and have been studied carefully. Detailed well planning, engineering, and flow modeling have proven critical for successful offshore UBD operations. Examples are given from oil and gas fields.

  14. Offshore Wind Market and Economic Analysis

    SciTech Connect

    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 economy with the potential to affect offshore wind deployment in the United States

  15. Organic geochemistry of sediments on the flanks of Tanner and Cortes banks offshore from southern California

    USGS Publications Warehouse

    Rapp, J.B.; Kvenvolden, K.A.

    1982-01-01

    Holocene sediment, composed mainly of foram tests, occurs on the flanks of the Tanner and Cortes Banks, offshore southern California. The organic matter in this sediment differs in content and composition from the organic matter in nearby basins. Two sources of hydrocarbons are indicated: terrestrial plants and biodegraded or immature petroleum.

  16. Offshore Wind Energy Systems Engineering Curriculum Development

    SciTech Connect

    McGowan, Jon G.; Manwell, James F.; Lackner, Matthew A.

    2012-12-31

    Utility-scale electricity produced from offshore wind farms has the potential to contribute significantly to the energy production of the United States. In order for the U.S. to rapidly develop these abundant resources, knowledgeable scientists and engineers with sound understanding of offshore wind energy systems are critical. This report summarizes the development of an upper-level engineering course in "Offshore Wind Energy Systems Engineering." This course is designed to provide students with a comprehensive knowledge of both the technical challenges of offshore wind energy and the practical regulatory, permitting, and planning aspects of developing offshore wind farms in the U.S. This course was offered on a pilot basis in 2011 at the University of Massachusetts and the National Renewable Energy Laboratory (NREL), TU Delft, and GL Garrad Hassan have reviewed its content. As summarized in this report, the course consists of 17 separate topic areas emphasizing appropriate engineering fundamentals as well as development, planning, and regulatory issues. In addition to the course summary, the report gives the details of a public Internet site where references and related course material can be obtained. This course will fill a pressing need for the education and training of the U.S. workforce in this critically important area. Fundamentally, this course will be unique due to two attributes: an emphasis on the engineering and technical aspects of offshore wind energy systems, and a focus on offshore wind energy issues specific to the United States.

  17. Offshore Fish Community: Ecological Interactions | Science ...

    EPA Pesticide Factsheets

    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.

  18. Installation of an offshore structure

    SciTech Connect

    Will, S.A.; Young, C.E.

    1981-04-07

    In the installation of a jacket or substructure component of an offshore platform on the sea floor over an underwater fixture containing one or more wellheads, a jacket is first ballasted to rest in a vertical orientation on the sea floor. Power winches are mounted atop the jacket above the water line and anchored mooring lines are connected to the winches via fairlead sheaves which define points of attachment for the mooring lines to the jacket. The jacket is deballasted to float with a near sea bottom clearance and is maneuvered horizontally with the power winches toward the underwater fixture. Docking guides carried by the jacket engage vertical guideposts driven drilled into the sea floor at preselected locations relative to the underwater fixture to align the jacket with the underwater fixture. The jacket is then lowered into the desired on-bottom position during controlled ballasting procedures. Finally, piles are driven through hollow jacket columns to anchor the jacket to the sea bottom.

  19. Geology of offshore central California

    SciTech Connect

    McCulloch, D.S.; Lewis, S.D.

    1988-03-01

    The offshore central California margin records Mesozoic and Cenozoic events attributable to continental and oceanic plate interactions. Terranes, some carried thousands of kilometers northward on the Kula and/or Farallon plates, were accreted to North America by late Eocene. Following accretion to North America, terranes along the margin were silvered and redistributed by strike-slip motion along the San Andreas and related faults. During Oligocene global low sea level, much of the coastal margin was subareal and erosion stripped Upper Cretaceous and Eocene strata from elevated basement blocks. These basement blocks subsequently subsided along large-displacement near-coastal faults, and shallow-water marine upper Oligocene and/or lower Miocene volcanics on the present shelf were covered by hemipelagic sediment at bathyal to mid-bathyal depths. This subsidence coincided with tectonism and significant changes in water depth elsewhere around the Pacific margin, and may have been related to a change in Pacific and North American plate relative motion that produced transtensional motion along the California margin. Transtension may have initiated both rupture and volcanism along the San Andreas fault system at about 23 Ma and wrench tectonic deformation on the shelf. During the late Miocene, growing structural highs on the shelf edge formed elongate shelf basins. A compressional component in Pacific and North America plate relative motion, which began between 5 and 3 Ma, produced strike-parallel folds and compressional faults that now dominate the structural grain of the offshore basins. Continued compressive deformation along coastal California is documented by active thrust faults, rapid coastal uplift, and earthquake focal mechanism solutions indicative of northeast-southwest compression.

  20. Offshore drilling, construction: Fortunes tied to stable gas prices

    SciTech Connect

    Pagano, S.S.; Marsh, T.

    1993-01-01

    Significantly improved US natural gas prices fueled an upswing in offshore drilling in the Gulf of Mexico in late 1992. Stabilized gas prices will be necessary to support both the off-shore drilling and construction markets in 1993 and beyond. The article discusses both these segments in detail: offshore drilling and offshore construction.

  1. 47 CFR 22.1037 - Application requirements for offshore stations.

    Code of Federal Regulations, 2010 CFR

    2010-10-01

    ... CARRIER SERVICES PUBLIC MOBILE SERVICES Offshore Radiotelephone Service § 22.1037 Application requirements for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an... 47 Telecommunication 2 2010-10-01 2010-10-01 false Application requirements for offshore stations...

  2. Offshore drilling to increase in 1984

    SciTech Connect

    Not Available

    1984-05-01

    A mid-year report presents a worldwide overview of offshore drilling operations. The Gulf of Mexico and the North Sea are posting substantial gains as companies rush to drill the millions of acres acquired in those sectors both last year and in previous offerings. The Middle East, Latin America and the Asia/Pacific offshore theaters will see only slight increases. The Mediterranean and African regions are expected to sustain declines. A region-by-region summary of the 1984 offshore forecast is presented showing exploration and appraisal activities, as well as development for all of these areas.

  3. Certification of offshore mooring steel wire ropes

    SciTech Connect

    Lohne, P.W.

    1996-12-31

    The trend to produce oil in increasingly deeper water has led to the development of floating production solutions for the exploitation of the energy resources in these areas. It is a fact that steel wire ropes have been used and are being proposed as line segments in the majority of the mooring systems of these units/ships. This paper specifies requirements for the materials, design, manufacture and testing of large diameter offshore mooring steel wire ropes and may serve as a technical reference document in contractual matters between the purchaser and the manufacturer. Typical applications covered are permanently moored floating production systems (FPS), offshore loading systems and mobile offshore units.

  4. Current and future offshore activities in Canada

    SciTech Connect

    Hnatiuk, J.

    1987-06-01

    The development of innovative exploratory drilling systems for Canada's harsh Arctic offshore areas over the past decade and future activity in these areas, including possible production concepts, are discussed. The results can be applied in other Arctic areas of the world, including offshore Alaska. This operating experience will advance technology and serve as a basis for the design of Arctic offshore production and transportation systems. Unique technology has been developed and successfully used in the discovery of major accumulations of hyrodcarbons. Continued technological advances are anticipated to have widespread Arctic applications in both exploratory and production operations.

  5. Installation, Operation, and Maintenance Strategies to Reduce the Cost of Offshore Wind Energy

    SciTech Connect

    Maples, B.; Saur, G.; Hand, M.; van de Pietermen, R.; Obdam, T.

    2013-07-01

    Currently, installation, operation, and maintenance (IO&M) costs contribute approximately 30% to the LCOE of offshore wind plants. To reduce LCOE while ensuring safety, this paper identifies principal cost drivers associated with IO&M and quantifies their impacts on LCOE. The paper identifies technology improvement opportunities and provides a basis for evaluating innovative engineering and scientific concepts developed subsequently to the study. Through the completion of a case study, an optimum IO&M strategy for a hypothetical offshore wind project is identified.

  6. Structural health and prognostics management for offshore wind turbines :

    SciTech Connect

    Myrent, Noah J.; Kusnick, Joshua F.; Barrett, Natalie C.; Adams, Douglas E.; Griffith, Daniel

    2013-04-01

    Operations and maintenance costs for offshore wind plants are significantly higher than the current costs for land-based (onshore) wind plants. One way to reduce these costs would be to implement a structural health and prognostic management (SHPM) system as part of a condition based maintenance paradigm with smart load management and utilize a state-based cost model to assess the economics associated with use of the SHPM system. To facilitate the development of such a system a multi-scale modeling approach developed in prior work is used to identify how the underlying physics of the system are affected by the presence of damage and faults, and how these changes manifest themselves in the operational response of a full turbine. This methodology was used to investigate two case studies: (1) the effects of rotor imbalance due to pitch error (aerodynamic imbalance) and mass imbalance and (2) disbond of the shear web; both on a 5-MW offshore wind turbine in the present report. Based on simulations of damage in the turbine model, the operational measurements that demonstrated the highest sensitivity to the damage/faults were the blade tip accelerations and local pitching moments for both imbalance and shear web disbond. The initial cost model provided a great deal of insight into the estimated savings in operations and maintenance costs due to the implementation of an effective SHPM system. The integration of the health monitoring information and O&M cost versus damage/fault severity information provides the initial steps to identify processes to reduce operations and maintenance costs for an offshore wind farm while increasing turbine availability, revenue, and overall profit.

  7. Structural health and prognostics management for offshore wind turbines :

    SciTech Connect

    Griffith, Daniel; Resor, Brian Ray; White, Jonathan Randall; Paquette, Joshua A.; Yoder, Nathanael C.

    2012-12-01

    Operations and maintenance costs for offshore wind plants are expected to be significantly higher than the current costs for onshore plants. One way in which these costs may be able to be reduced is through the use of a structural health and prognostic management system as part of a condition based maintenance paradigm with smart load management. To facilitate the creation of such a system a multiscale modeling approach has been developed to identify how the underlying physics of the system are affected by the presence of damage and how these changes manifest themselves in the operational response of a full turbine. The developed methodology was used to investigate the effects of a candidate blade damage feature, a trailing edge disbond, on a 5-MW offshore wind turbine and the measurements that demonstrated the highest sensitivity to the damage were the local pitching moments around the disbond. The multiscale method demonstrated that these changes were caused by a local decrease in the blades torsional stiffness due to the disbond, which also resulted in changes in the blades local strain field. Full turbine simulations were also used to demonstrate that derating the turbine power by as little as 5% could extend the fatigue life of a blade by as much as a factor of 3. The integration of the health monitoring information, conceptual repair cost versus damage size information, and this load management methodology provides an initial roadmap for reducing operations and maintenance costs for offshore wind farms while increasing turbine availability and overall profit.

  8. Offshore oil in the Alaskan Arctic

    NASA Technical Reports Server (NTRS)

    Weeks, W. F.; Weller, G.

    1984-01-01

    Oil and gas deposits in the Alaskan Arctic are estimated to contain up to 40 percent of the remaining undiscovered crude oil and oil-equivalent natural gas within U.S. jurisdiction. Most (65 to 70 percent) of these estimated reserves are believed to occuur offshore beneath the shallow, ice-covered seas of the Alaskan continental shelf. Offshore recovery operations for such areas are far from routine, with the primary problems associated with the presence of ice. Some problems that must be resolved if efficient, cost-effective, environmentally safe, year-round offshore production is to be achieved include the accurate estimation of ice forces on offshore structures, the proper placement of pipelines beneath ice-produced gouges in the sea floor, and the cleanup of oil spills in pack ice areas.

  9. Offshore oil in the alaskan arctic.

    PubMed

    Weeks, W F; Weller, G

    1984-07-27

    Oil and gas deposits in the Alaskan Arctic are estimated to contain up to 40 percent of the remaining undiscovered crude oil and oil-equivalent nature gas within U.S. jurisdiction. Most (65 to 70 percent) of these estimated reserves are believed to occur offshore beneath the shallow, ice-covered seas, of the Alaskan continental shelf. Offshore recovery operations for such areas are far from routine, with the primary problems associated with the presence of ice. Some problems that must be resolved if efficient, cost-effective, environmentally safe, year-round offshore production is to be achieved include the accurate estimation of ice forces on offshore structures, the proper placement of pipelines beneath ice-produced gouges in the sea floor, and the cleanup of oil spills in pack ice areas.

  10. EMS offshore. A new horizon for paramedics.

    PubMed

    Mallard, A S

    1991-10-01

    The difficulty in getting medical aid to offshore drilling platforms can be a source of life-threatening delays. Recently, some companies have charted new waters by actually stationing EMS crews on their rigs.

  11. Civil engineering in the Arctic offshore

    SciTech Connect

    Bennett, F.L.; Machemehl, J.L.

    1985-01-01

    This book presents the current state of practice and theory in the civil engineering aspects of offshore development in the Arctic. It also covers the emerging concepts and requirements, research and development needs, and a critique of present undergraduate programmes.

  12. Offshore oil in the Alaskan Arctic

    NASA Technical Reports Server (NTRS)

    Weeks, W. F.; Weller, G.

    1984-01-01

    Oil and gas deposits in the Alaskan Arctic are estimated to contain up to 40 percent of the remaining undiscovered crude oil and oil-equivalent natural gas within U.S. jurisdiction. Most (65 to 70 percent) of these estimated reserves are believed to occuur offshore beneath the shallow, ice-covered seas of the Alaskan continental shelf. Offshore recovery operations for such areas are far from routine, with the primary problems associated with the presence of ice. Some problems that must be resolved if efficient, cost-effective, environmentally safe, year-round offshore production is to be achieved include the accurate estimation of ice forces on offshore structures, the proper placement of pipelines beneath ice-produced gouges in the sea floor, and the cleanup of oil spills in pack ice areas.

  13. Engineering Challenges for Floating Offshore Wind Turbines

    SciTech Connect

    Butterfield, S.; Musial, W.; Jonkman, J.; Sclavounos, P.

    2007-09-01

    The major objective of this paper is to survey the technical challenges that must be overcome to develop deepwater offshore wind energy technologies and to provide a framework from which the first-order economics can be assessed.

  14. New perspectives in offshore wind energy.

    PubMed

    Failla, Giuseppe; Arena, Felice

    2015-02-28

    The design of offshore wind turbines is one of the most fascinating challenges in renewable energy. Meeting the objective of increasing power production with reduced installation and maintenance costs requires a multi-disciplinary approach, bringing together expertise in different fields of engineering. The purpose of this theme issue is to offer a broad perspective on some crucial aspects of offshore wind turbines design, discussing the state of the art and presenting recent theoretical and experimental studies.

  15. New perspectives in offshore wind energy

    PubMed Central

    Failla, Giuseppe; Arena, Felice

    2015-01-01

    The design of offshore wind turbines is one of the most fascinating challenges in renewable energy. Meeting the objective of increasing power production with reduced installation and maintenance costs requires a multi-disciplinary approach, bringing together expertise in different fields of engineering. The purpose of this theme issue is to offer a broad perspective on some crucial aspects of offshore wind turbines design, discussing the state of the art and presenting recent theoretical and experimental studies. PMID:25583869

  16. Arctic offshore drilling: a new challenge

    SciTech Connect

    Wetmore, S.B.

    1985-11-01

    The arctic offshore environment provides the drilling industry with its greatest challenge yet. Problems due to sea ice, high wind, extreme cold and poor bottom soil have required the design of special structures appropriate only for arctic offshore drilling. The challenge lies not just in the obvious factors of temperature and ice, but also the basic physics of ice problems are not well understood. The arctic environment and the petroleum industry are discussed.

  17. 2014 Offshore Wind Market and Economic Analysis

    SciTech Connect

    Hamilton, Bruce

    2014-08-25

    The objective of this report is to provide a comprehensive annual assessment of the U.S. offshore wind market.This 3rd annual report focuses on new developments that have occurred in 2014. The report provides stakeholders with a reliable and consistent data source addressing entry barriers and U.S. competitiveness in the offshore wind market. Available for download are both the full report and the report's underlying data.

  18. [Musculoskeletal disorders in the offshore oil industry].

    PubMed

    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.

  19. Arctic and offshore research. Technology status report

    SciTech Connect

    Not Available

    1985-10-01

    DOE's Morgantown Energy Technology Center (METC) and the DOE Fossil Energy Office of Oil, Gas, and Shale Technology are performing the following activities in Arctic and Offshore Research (AOR): (1) AOR Energy-Related Technology Data Base Development; (2) AOR seminars and workshops; (3) Arctic and Offshore Energy Research Coordination; (4) Arctic and Offshore Research which includes analysis of ice island generation, and prediction of drift paths; field and laboratory determination of (1) the engineering properties of multiyear ice, and (2) the interaction of multiyear ice with offshore structures; analysis of ice gouging in deep water (150 to 210 feet) in the Arctic Ocean, and numerical simulation modeling of the gouging process; analysis of the location and origin of the ice-ridging shear zone; analysis of sea-ice thickness using airborne radar sensing techniques; improvement of permafrost detection techniques, and analysis of permafrost characteristics; investigation of the effects of ice accretion and corrosion on offshore structures; measurements of seismic acceleration and velocity for analyzing vibration in and stability of off-shore structures; detection of oil spills that occur below the Arctic ice pack; analysis of the effects of frost heave and corrosion on pipelines; (5) Advanced Recovery Technologies; and (6) Subice Systems Development. Current activities include determining the Arctic bibliographic data base and initiating most of the research described above (except multiyear ice properties, pipeline research, and subice systems development). 10 refs., 15 figs., 3 tabs.

  20. Medical evacuations from offshore structures.

    PubMed Central

    Norman, J N; Ballantine, B N; Brebner, J A; Brown, B; Gauld, S J; Mawdsley, J; Roythorne, C; Valentine, M J; Wilcock, S E

    1988-01-01

    A retrospective study was carried out on medical evacuations from the installations of four major oil or gas producing companies, or both, operating offshore on the United Kingdom continental shelf. The study covered 1976-84 during which 2162 evacuations were recorded. Of these, 137 (7.7%) required the use of a chartered helicopter. In the earlier years of the study there were substantially more injuries sustained than episodes of illness recorded but from 1980 onwards the cases of illness equalled those of injury. Using the International Classification of Diseases, the digestive system was responsible for most evacuations for illness and of those, about half (115 evacuations) were for dental problems. Suspected fractures were responsible for about one third of those evacuated for an injury but injuries of hands and eye conditions were particularly common, accounting for 25% of all evacuations. As the age of the evacuee increased the proportion of evacuations for injury decreased and that for illness increased. The mean age for evacuation for injury was 28.3 years and for illness 34.4 years. Few evacuations were required for those aged over 45. PMID:3179237

  1. Medical evacuations from offshore structures.

    PubMed

    Norman, J N; Ballantine, B N; Brebner, J A; Brown, B; Gauld, S J; Mawdsley, J; Roythorne, C; Valentine, M J; Wilcock, S E

    1988-09-01

    A retrospective study was carried out on medical evacuations from the installations of four major oil or gas producing companies, or both, operating offshore on the United Kingdom continental shelf. The study covered 1976-84 during which 2162 evacuations were recorded. Of these, 137 (7.7%) required the use of a chartered helicopter. In the earlier years of the study there were substantially more injuries sustained than episodes of illness recorded but from 1980 onwards the cases of illness equalled those of injury. Using the International Classification of Diseases, the digestive system was responsible for most evacuations for illness and of those, about half (115 evacuations) were for dental problems. Suspected fractures were responsible for about one third of those evacuated for an injury but injuries of hands and eye conditions were particularly common, accounting for 25% of all evacuations. As the age of the evacuee increased the proportion of evacuations for injury decreased and that for illness increased. The mean age for evacuation for injury was 28.3 years and for illness 34.4 years. Few evacuations were required for those aged over 45.

  2. Norwegian Offshore Stratigraphic Lexicon (NORLEX)

    NASA Astrophysics Data System (ADS)

    Gradstein, Felix M.; Hammer, Oyvind; Brunstad, Harald; Charnock, Mike; Hellem, Terje; Sigve Lervik, Kjell; Anthonissen, Erik

    2010-05-01

    The Norwegian Offshore Stratigraphic Lexicon (NORLEX) provides a relational stratigraphic database for the North Sea, Norwegian Sea, Barents Sea and Svalbard. Both regional lithostratigraphy and biostratigraphy are being substantially updated, following guidelines laid out in the International Stratigraphic Guide. The main body of information developed is available as a petroleum consortium (oracle-style) database, and the new lithostratigraphic definitions as a public domain (paper) document. NORLEX is presented as a browsing website via the internet at http://www.nhm.uio.no/norlex. Seismic cross-sections, core photographs, well logs, field outcrops, microfossil occurrences and other vital attributes are relationally cross-linked. In addition, there are menus for instantly finding updated formation and member tops or microfossil events in all wells, plus a map contouring routine for unit thicknesses and depths. Several new initiatives will expand data and user coverage: 1. Overhaul of Mesozoic stratigraphy, especially Triassic and Cretaceous, in the Barents Sea. 2. Coverage of East Greenland 3. Linkage to UK and Belgium and The Netherlands surface and subsurface stratigraphy 4. Creation of a Sequence Stratigraphic Framework for specific regions. 5. A national microfossil atlas to support zonations 6. Tight linkage to the basin datapacks in TimeScaleCreator Pro, as developed for Australia, New Zealand, Brasil, Gulf of Mexico, Canada and Russia. NORLEX may thus evolve to become STRATLEX, covering many basin regions.

  3. Offshore oil and the coastline

    NASA Astrophysics Data System (ADS)

    Bell, Peter M.

    A radical, accelerated 5-year plan to offer 875 million acres (of which 20 million could actually be leased for oil and gas extraction purposes) on the outer continental shelf (OCS) could result in the release of large volumes of drilling wastes and spillage (Environ. Sci. Tech., Nov. 1981). The actual leasing, under the 5-year plan proposed by Secretary of the Interior James G. Watt, could amount to 4-5 million acres per year—about 10 times as much, on the average, as had been leased over the past 25 years. Regulations on the environmental effects may be less complicated yet more effective in that impact statements will cover large areas instead of the tract-by-tract statements now required. A number of the new offshore leasing areas, for example, the Alaska Coast (Cook Inlet, Beaufort Bay, Gulf of Alaska), the Blake Plateau and Baltimore Canyon, and the Georges Bank, are extremely valuable in terms of renewable resources and potentially fragile in terms of environmental conditions. Fishing interests in these areas have produced considerable controversy over the planned sale of petroleum rights.

  4. Problems unique to offshore measurement

    SciTech Connect

    Young, J.G.

    1995-12-01

    Most of us have arrived at this meeting in some kind of company provided transportation. This is supplied in order for us to do our assigned jobs. These may be trucks, or cars, or even helicopters, and maybe boats. All who are involved in the offshore industry know that transportation is the cost costly of all. The helicopter bill for our company is a bill which costs us somewhere in the 9 million dollar range. Since this costs us so much, we are constantly looking at ways to reduce this. The helicopters we use cost us $510.00 a flying hour plus $28,000.00 a month for lease. These helicopters fly in the neighborhood of 140 miles per hour. You can quickly see how fast the cost can climb. We have two technicians, along with a pilot, and approx. 400 lbs of test gear and spare parts. You have to carry all you think you will need for the day`s activities because it`s a long and costly trip to go pick up some gasket material or an orifice plate.

  5. Assessment of Ports for Offshore Wind Development in the United States

    SciTech Connect

    Elkinton, Chris; Blatiak, Alicia; Ameen, Hafsa

    2014-03-21

    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 carrying 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

  6. Submarine landslides hazard offshore Israel

    NASA Astrophysics Data System (ADS)

    Katz, Oded

    2016-04-01

    Submarine landslides pose significant natural hazards. They can damage seafloor infrastructure, such as that used to recover oil and gas or seafloor telecommunication cables, and even generate tsunamis. We recently mapped 447 submarine landslides across the east Mediterranean continental slope, offshore Israel (hereafter the studied area). The mapped landslides are found at water depths of 130 m to 1,000 m and their volume ranges 10-5 - 100 km3. Landslide scars are typically related to a critical slope angle of >4° . Landslides at the northern part of the studied area are spatially associated with fault scarps and are smaller than the ones on the southern part. In this work we evaluate the potential hazard to population and to on- and off- shore facilities posed by submarine landslides across the studied area. We integrate three independent probabilities: (1) the probability for a landslide event of a given volume, based on the size distribution of the mapped landslides; (2) the probability for a landslide event in a given time, based on the reoccurrence time of triggering earthquakes with M >7, and on a 50,000 years general time frame derived from submarine landslides identified across the Mediterranean Sea; (3) the probability for a landslide event in a given area, based on the distribution of slopes exceeding the critical angle. Overall, the fraction of potentially destructive landslides (size > 0.1 km3) is small, 0.05. Thus, considering typical planning time scales of less than 100 years, the calculated hazard is only moderate. The small fraction of landslides with tsunamogenic potential (size > 1 km3), suggests that the hazard for landslide-induced tsunamis along the open slope part of the studied area is small. Landslides in the southern part of the studied area are larger and thus present a somewhat bigger potential source of tsunami waves.

  7. Operational management of offshore energy assets

    NASA Astrophysics Data System (ADS)

    Kolios, A. J.; Martinez Luengo, M.

    2016-02-01

    Energy assets and especially those deployed offshore are subject to a variety of harsh operational and environmental conditions which lead to deterioration of their performance and structural capacity over time. The aim of reduction of CAPEX in new installations shifts focus to operational management to monitor and assess performance of critical assets ensuring their fitness for service throughout their service life and also to provide appropriate and effective information towards requalification or other end of life scenarios, optimizing the OPEX. Over the last decades, the offshore oil & gas industry has developed and applied various approaches in operational management of assets through Structural Health and Condition Monitoring (SHM/CM) systems which can be, at a certain level, transferable to offshore renewable installations. This paper aims to highlight the key differences between offshore oil & gas and renewable energy assets from a structural integrity and reliability perspective, provide a comprehensive overview of different approaches that are available and applicable, and distinguish the benefits of such systems in the efficient operation of offshore energy assets.

  8. Offshore oil gas trends in ROVs tooling

    SciTech Connect

    Jacobson, J.R. )

    1994-04-01

    The ROVs that operate in today's offshore environment bear little or no resemblance to those which first began supporting the oil and gas work requirements less than 15 years ago. In that short span of time, an explosion of subsea technology has occurred, rendering older equipment obsolete and expanding subsea remote intervention capabilities beyond the horizon of intervention tasks originally envisioned. Today's offshore work ROVs employ the latest in robotics, fiver optics, acoustics, video, and computer technologies, and routinely achieve better than 90 percent operational availability. Leading offshore ROV operations companies have demonstrated less than 1 percent down-time over thousands of hours of operation. As the offshore oil and gas market evolves, the ever-expanding capabilities of the work ROV plays a major role in shaping the operational concepts employed in subsea oil and gas field exploration, development, and production. This paper explores the capabilities of available ROV systems in use offshore today, the economic trends driving ROV technology development, and the new trends in the employment of ROVs and their associated sensors and tooling systems.

  9. New OBS network deployment offshore Ireland

    NASA Astrophysics Data System (ADS)

    Le Pape, Florian; Bean, Chris; Craig, David; Jousset, Philippe; Horan, Clare; Hogg, Colin; Donne, Sarah; McCann, Hannah; Möllhoff, Martin; Kirk, Henning; Ploetz, Aline

    2016-04-01

    With the presence of the stormy NE Atlantic, Ireland is ideally located to investigate further our understanding of ocean generated microseisms and use noise correlation methods to develop seismic imaging in marine environments as well as time-lapse monitoring. In order to study the microseismic activity offshore Ireland, 10 Broad Band Ocean Bottom Seismographs (OBSs) units including hydrophones have been deployed in January 2016 across the shelf offshore Donegal and out into the Rockall Trough. This survey represents the first Broadband passive study in this part of the NE Atlantic. The instruments will be recovered in August 2016 providing 8 months worth of data to study microseisms but also the offshore seismic activity in the area. One of the main goal of the survey is to investigate the spatial and temporal distributions of dominant microseism source regions, close to the microseism sources. Additionally we will study the coupling of seismic and acoustic signals at the sea bed and its evolution in both the deep water and continental shelf areas. Furthermore, the survey also aims to investigate further the relationship between sea state conditions (e.g. wave height, period), seafloor pressure variations and seismic data recorded on both land and seafloor. Finally, the deployed OBS network is also the first ever attempt to closely monitor local offshore earthquakes in Ireland. Ireland seismicity although relatively low can reduce slope stability and poses the possibility of triggering large offshore landslides and local tsunamis.

  10. 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.

  11. Offshore Hydrokinetic Energy Conversion for Onshore Power Generation

    NASA Technical Reports Server (NTRS)

    Jones, Jack A.; Chao, Yi

    2009-01-01

    Design comparisons have been performed for a number of different tidal energy systems, including a fully submerged, horizontal-axis electro-turbine system, similar to Verdant Tidal Turbines in New York's East River, a platform-based Marine Current Turbine, now operating in Northern Ireland's Strangford Narrows, and the Rotech Lunar Energy system, to be installed off the South Korean Coast. A fourth type of tidal energy system studied is a novel JPL/Caltech hydraulic energy transfer system that uses submerged turbine blades which are mechanically attached to adjacent high-pressure pumps, instead of to adjacent electrical turbines. The generated highpressure water streams are combined and transferred to an onshore hydroelectric plant by means of a closed-cycle pipeline. The hydraulic energy transfer system was found to be cost competitive, and it allows all electronics to be placed onshore, thus greatly reducing maintenance costs and corrosion problems. It also eliminates the expenses of conditioning and transferring multiple offshore power lines and of building offshore platforms embedded in the sea floor.

  12. Comparative management of offshore posidonia residues: composting vs. energy recovery.

    PubMed

    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.

  13. Offshore Hydrokinetic Energy Conversion for Onshore Power Generation

    NASA Technical Reports Server (NTRS)

    Jones, Jack A.; Chao, Yi

    2009-01-01

    Design comparisons have been performed for a number of different tidal energy systems, including a fully submerged, horizontal-axis electro-turbine system, similar to Verdant Tidal Turbines in New York's East River, a platform-based Marine Current Turbine, now operating in Northern Ireland's Strangford Narrows, and the Rotech Lunar Energy system, to be installed off the South Korean Coast. A fourth type of tidal energy system studied is a novel JPL/Caltech hydraulic energy transfer system that uses submerged turbine blades which are mechanically attached to adjacent high-pressure pumps, instead of to adjacent electrical turbines. The generated highpressure water streams are combined and transferred to an onshore hydroelectric plant by means of a closed-cycle pipeline. The hydraulic energy transfer system was found to be cost competitive, and it allows all electronics to be placed onshore, thus greatly reducing maintenance costs and corrosion problems. It also eliminates the expenses of conditioning and transferring multiple offshore power lines and of building offshore platforms embedded in the sea floor.

  14. Federal Offshore Statistics, 1993. Leasing, exploration, production, and revenue as of December 31, 1993

    SciTech Connect

    Francois, D.K.

    1994-12-31

    This document contains statistical data on the following: federal offshore lands; offshore leasing activity and status; offshore development activity; offshore production of crude oil and natural gas; federal offshore oil and natural gas sales volume and royalties; revenue from federal offshore leases; disbursement of federal offshore revenue; reserves and resource estimates of offshore oil and natural gas; oil pollution in US and international waters; and international activities and marine minerals. A glossary is included.

  15. Federal offshore statistics: leasing - exploration - production - revenue

    SciTech Connect

    Essertier, E.P.

    1984-01-01

    Federal Offshore Statistics is a numerical record of what has happened since Congress gave authority to the Secretary of the Interior in 1953 to lease the Federal portion of the Continental Shelf for oil and gas. The publication updates and augments the first Federal Offshore Statistics, published in December 1983. It also extends a statistical series published annually from 1969 until 1981 by the US Geological Survey (USGS) under the title Outer Continental Shelf Statistics. The USGS collected royalties and supervised operation and production of minerals on the Outer Continental Shelf (OCS) until the Minerals Management Service (MMS) took over these functions in 1982. Statistics are presented under the following topics: (1) highlights, (2) leasing, (3) exploration and development, (4) production and revenue, (5) federal offshore production by ranking operator, 1983, (6) reserves and undiscovered recoverable resources, and (7) oil pollution in the world's oceans.

  16. Solar power satellite offshore rectenna study

    NASA Astrophysics Data System (ADS)

    1980-05-01

    Offshore rectennas are feasible and cost competitive with land rectennas but the type of rectenna suitable for offshore use is quite different from that specified in the present reference system. A nonground plane design minimizes the weight and greatly reduces the number of costly support towers. This perferred design is an antenna array consisting of individually encapsulated dipoles with reflectors or tagis supported on feed wires. Such a 5 GW rectenna could be built at a 50 m water depth site to withstand hurricane, winter storm, and icing conditions for a one time cost of $5.7 billion. Subsequent units would be about 1.3 less expensive. More benign and more shallow water sites would result in substantially lower costs. The major advantage of an offshore rectenna is the removal of microwave radiation from populated areas.

  17. Model refinement for offshore platforms: Experimental study

    NASA Astrophysics Data System (ADS)

    Zhang, Min; Chen, Zongli; Wu, Yanjian

    2017-08-01

    Offshore jacket platforms are widely used in offshore oil and gas exploitation. Finite element models of such structures need to have many degrees of freedom (DOFs) to represent the geometrical detail of complex structures, thereby leading to incompatibility in the number of DOFs of experimental models. To bring them both to the same order while ensuring that the essential eigen- properties of the refined model match those of experimental models, an extended model refinement procedure is presented in this paper. Vibration testing of an offshore jacket platform model is performed to validate the applicability of the proposed approach. A full-order finite element model of the platform is established and then tuned to meet the measured modal properties identified from the acceleration signals. Both model reduction and modal expansion methods are investigated, as well as various scenarios of sensor arrangements. Upon completion of the refinement, the updated jacket platform model matches the natural frequencies of the measured model well.

  18. Solar power satellite offshore rectenna study

    NASA Technical Reports Server (NTRS)

    1980-01-01

    Offshore rectennas are feasible and cost competitive with land rectennas but the type of rectenna suitable for offshore use is quite different from that specified in the present reference system. A nonground plane design minimizes the weight and greatly reduces the number of costly support towers. This perferred design is an antenna array consisting of individually encapsulated dipoles with reflectors or tagis supported on feed wires. Such a 5 GW rectenna could be built at a 50 m water depth site to withstand hurricane, winter storm, and icing conditions for a one time cost of $5.7 billion. Subsequent units would be about 1.3 less expensive. More benign and more shallow water sites would result in substantially lower costs. The major advantage of an offshore rectenna is the removal of microwave radiation from populated areas.

  19. Current and future offshore activities in Canada

    SciTech Connect

    Hnatiuk, J.

    1984-05-01

    The development of innovative exploratory drilling systems for Canada's harsh Arctic offshore areas over the past decade is described. Future activity in these areas, including possible production concepts, is also discussed. The results of the experience in Canadian waters can be applied in other Arctic areas of the world including offshore Alaska. This operating experience will serve to further advance the drilling technology and will serve as a basis for the design of Arctic offshore production and transportation systems. Artificial islands, first commenced in 1972, are still being constructed but with improved designs and equipment. A step forward has been the use of subsea berms on which concrete or steel segmented caissons have been placed. Integrated-type steel caissons have also been adapted for placement on subsea berms, one of which is half of a crude oil tanker and a second, a purpose-built steel caisson to be placed this summer.

  20. National Offshore Wind Energy Grid Interconnection Study Full Report

    SciTech Connect

    Daniel, John P.; Liu, Shu; Ibanez, Eduardo; Pennock, Ken; Reed, Gregory; Hanes, Spencer

    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.

  1. Strengthening America's Energy Security with Offshore Wind (Fact Sheet)

    SciTech Connect

    Not Available

    2012-02-01

    This fact sheet describes the current state of the offshore wind industry in the United States and the offshore wind research and development activities conducted the U.S. Department of Energy Wind and Water Power Program.

  2. National Offshore Wind Energy Grid Interconnection Study Executive Summary

    SciTech Connect

    Daniel, John P.; Liu, Shu; Ibanez, Eduardo; Pennock, Ken; Reed, Gregory; Hanes, Spencer

    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.

  3. Regional method to assess offshore slope stability.

    USGS Publications Warehouse

    Lee, H.J.; Edwards, B.D.

    1986-01-01

    The slope stability of some offshore environments can be evaluated by using only conventional acoustic profiling and short-core sampling, followed by laboratory consolidation and strength testing. The test results are synthesized by using normalized-parameter techniques. The normalized data are then used to calculate the critical earthquake acceleration factors or the wave heights needed to initiate failure. These process-related parameters provide a quantitative measure of the relative stability for locations from which short cores were obtained. The method is most applicable to offshore environments of gentle relief and simple subsurface structure and is not considered a substitute for subsequent site-specific analysis. -from ASCE Publications Information

  4. United States Offshore Wind Resource Assessment

    NASA Astrophysics Data System (ADS)

    Schwartz, M.; Haymes, S.; Heimiller, D.

    2008-12-01

    The utilization of the offshore wind resource will be necessary if the United States is to meet the goal of having 20% of its electricity generated by wind power because many of the electrical load centers in the country are located along the coastlines. The United States Department of Energy, through its National Renewable Energy Laboratory (NREL), has supported an ongoing project to assess the wind resource for the offshore regions of the contiguous United States including the Great Lakes. Final offshore maps with a horizontal resolution of 200 meters (m) have been completed for Texas, Louisiana, Georgia, northern New England, and the Great Lakes. The ocean wind resource maps extend from the coastline to 50 nautical miles (nm) offshore. The Great Lake maps show the resource for all of the individual lakes. These maps depict the wind resource at 50 m above the water as classes of wind power density. Class 1 represents the lowest available wind resource, while Class 7 is the highest resource. Areas with Class 5 and higher wind resource can be economical for offshore project development. As offshore wind turbine technology improves, areas with Class 4 and higher resource should become economically viable. The wind resource maps are generated using output from a modified numerical weather prediction model combined with a wind flow model. The preliminary modeling is performed by AWS Truewind under subcontract to NREL. The preliminary model estimates are sent to NREL to be validated. NREL validates the preliminary estimates by comparing 50 m model data to available measurements that are extrapolated to 50 m. The validation results are used to modify the preliminary map and produce the final resource map. The sources of offshore wind measurement data include buoys, automated stations, lighthouses, and satellite- derived ocean wind speed data. The wind electric potential is represented as Megawatts (MW) of potential installed capacity and is based on the square

  5. 76 FR 62817 - National Offshore Safety Advisory Committee

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-10-11

    ... SECURITY Coast Guard National Offshore Safety Advisory Committee AGENCY: United States Coast Guard. ACTION: Committee Management; Notice of Federal Advisory Committee Meeting. SUMMARY: The National Offshore Safety... related to safety of operations and other matters affecting the oil and gas offshore industry. The...

  6. 76 FR 3919 - National Offshore Safety Advisory Committee

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-01-21

    ... safety of operations and other matters affecting the oil and gas offshore industry. The purpose of this... Coast Guard on safety and other concerns affecting the offshore oil and gas industry and assists the... SECURITY Coast Guard National Offshore Safety Advisory Committee AGENCY: Coast Guard, DHS. ACTION: Notice...

  7. 75 FR 80064 - National Offshore Safety Advisory Committee

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-12-21

    ... oil and gas offshore industry. The purpose of this meeting is to review and discuss reports and... other concerns affecting the offshore oil and gas industry and assists the Coast Guard in formulating U... SECURITY Coast Guard National Offshore Safety Advisory Committee AGENCY: Coast Guard, DHS. ACTION: Notice...

  8. 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...

  9. 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...

  10. 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...

  11. 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...

  12. 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...

  13. 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...

  14. 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...

  15. 47 CFR 22.1007 - Channels for offshore radiotelephone systems.

    Code of Federal Regulations, 2011 CFR

    2011-10-01

    ... CARRIER SERVICES PUBLIC MOBILE SERVICES Offshore Radiotelephone Service § 22.1007 Channels for offshore... located in the specified geographical zones that provide offshore radiotelephone service. All channels... and/or airborne mobile) as indicated, for voice-grade general communications and private line...

  16. 47 CFR 22.1007 - Channels for offshore radiotelephone systems.

    Code of Federal Regulations, 2010 CFR

    2010-10-01

    ... CARRIER SERVICES PUBLIC MOBILE SERVICES Offshore Radiotelephone Service § 22.1007 Channels for offshore... located in the specified geographical zones that provide offshore radiotelephone service. All channels... and/or airborne mobile) as indicated, for voice-grade general communications and private line...

  17. 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…

  18. 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…

  19. 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…

  20. 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...

  1. 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...

  2. 77 FR 26562 - Mobile Offshore Drilling Unit Dynamic Positioning Guidance

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-05-04

    ... SECURITY Coast Guard Mobile Offshore Drilling Unit Dynamic Positioning Guidance AGENCY: Coast Guard, DHS... procedures on a Mobile Offshore Drilling Unit. We received comments both as submissions to the docket and at... damage. This is particularly true for Mobile Offshore Drilling Units (MODUs), where a loss of...

  3. Lake Michigan Offshore Wind Feasibility Assessment

    SciTech Connect

    Boezaart, Arnold; Edmonson, James; Standridge, Charles; Pervez, Nahid; Desai, Neel; Williams, Bruce; Clark, Aaron; Zeitler, David; Kendall, Scott; Biddanda, Bopi; Steinman, Alan; Klatt, Brian; Gehring, J. L.; Walter, K.; Nordman, Erik E.

    2014-06-30

    The purpose of this project was to conduct the first comprehensive offshore wind assessment over Lake Michigan and to advance the body of knowledge needed to support future commercial wind energy development on the Great Lakes. The project involved evaluation and selection of emerging wind measurement technology and the permitting, installation and operation of the first mid-lake wind assessment meteorological (MET) facilities in Michigan’s Great Lakes. In addition, the project provided the first opportunity to deploy and field test floating LIDAR and Laser Wind Sensor (LWS) technology, and important research related equipment key to the sitting and permitting of future offshore wind energy development in accordance with public participation guidelines established by the Michigan Great Lakes Wind Council (GLOW). The project created opportunities for public dialogue and community education about offshore wind resource management and continued the dialogue to foster Great Lake wind resource utilization consistent with the focus of the GLOW Council. The technology proved to be effective, affordable, mobile, and the methods of data measurement accurate. The public benefited from a substantial increase in knowledge of the wind resources over Lake Michigan and gained insights about the potential environmental impacts of offshore wind turbine placements in the future. The unique first ever hub height wind resource assessment using LWS technology over water and development of related research data along with the permitting, sitting, and deployment of the WindSentinel MET buoy has captured public attention and has helped to increase awareness of the potential of future offshore wind energy development on the Great Lakes. Specifically, this project supported the acquisition and operation of a WindSentinel (WS) MET wind assessment buoy, and associated research for 549 days over multiple years at three locations on Lake Michigan. Four research objectives were defined for the

  4. Offshore Wind Farms in the North Sea: Is there an effect on the zooplankton community?

    NASA Astrophysics Data System (ADS)

    Auch, Dominik; Dudeck, Tim; Callies, Ulrich; Riethmüller, Rolf; Hufnagl, Marc; Eckhardt, André; Ove Möller, Klas; Haas, Bianca; Spreitzenbarth, Stefan; van Beusekom, Justus; Walter, Bettina; Temming, Axel; Möllmann, Christian; Floeter, Jens

    2016-04-01

    The climate conference in Paris 2015 has resulted in ambitious goals to mitigate the extent of global climate warming within this century. In Germany, the expansion of renewable energy sources is without any alternative to match the own aims of greenhouse gas reductions. Therefore, in the German EEZ of the North Sea around 10 offshore wind farms (OWFs) are already working and more are currently planned or already under construction. At this already substantial level of offshore wind energy production little is known about the effects of OWFs on the pelagic ecosystem. Earlier investigations have shown an increase of benthic organisms settling on hard substrates provided by the power plant foundations. However, the effects of offshore power plants on lower trophic level organisms within the water column are poorly understood. Thus, we investigated the abundance and distribution of zooplankton within and around OWFs. The analysis was based on optical data derived from a Video Plankton Recorder (VPR). The VPR was mounted on a TRIAXUS system including a suite of different sensors, hence allowing to combine zooplankton information with ambient hydrographic parameters. The combination of the VPR and the TRIAXUS system enabled us to analyse continuous zooplankton and hydrographic data with a high spatial resolution. In this study, we present results of transects through the OWFs Global Tech I, BARD Offshore 1, and Alpha Ventus. The analysis exhibits distinct pattern in the spatial distribution both of physical state variables and of plankton organisms within the vicinity of OWFs, especially of meroplankton, the larval phase of benthic organisms. Keywords: Offshore Wind Farms, Zooplankton, TRIAXUS, Video Plankton Recorder, Meroplankton Corresponding author: Dominik Auch, Institute for Hydrobiology and Fisheries Science, University of Hamburg, Olbersweg 24, 22767 Hamburg, Germany; auch.dominik@web.de

  5. 31 CFR 593.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 31 Money and Finance:Treasury 3 2011-07-01 2011-07-01 false Offshore transactions. 593.406 Section 593.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY FORMER LIBERIAN REGIME OF CHARLES TAYLOR SANCTIONS...

  6. Human Rights, Academic Freedom, and Offshore Academics

    ERIC Educational Resources Information Center

    Ross, Andrew

    2011-01-01

    Despite the carnage wrought on higher education by the Great Recession, evidence persists that the sector is still host to a speculator psychology. One example is the unabated stampede to set up branches and programs overseas. Colleges have many reasons to go offshore: (1) to reduce costs; (2) to build their "brands" in "emerging…

  7. 31 CFR 542.406 - Offshore transactions.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 31 Money and Finance:Treasury 3 2013-07-01 2013-07-01 false Offshore transactions. 542.406 Section 542.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY SYRIAN SANCTIONS REGULATIONS Interpretations §...

  8. 31 CFR 542.406 - Offshore transactions.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 31 Money and Finance:Treasury 3 2012-07-01 2012-07-01 false Offshore transactions. 542.406 Section 542.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY SYRIAN SANCTIONS REGULATIONS Interpretations §...

  9. 31 CFR 542.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 542.406 Section 542.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY SYRIAN SANCTIONS REGULATIONS...

  10. 31 CFR 542.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 31 Money and Finance:Treasury 3 2011-07-01 2011-07-01 false Offshore transactions. 542.406 Section 542.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY SYRIAN SANCTIONS REGULATIONS Interpretations §...

  11. 31 CFR 548.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 31 Money and Finance:Treasury 3 2011-07-01 2011-07-01 false Offshore transactions. 548.406 Section 548.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BELARUS SANCTIONS REGULATIONS Interpretations §...

  12. 31 CFR 548.406 - Offshore transactions.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 31 Money and Finance:Treasury 3 2012-07-01 2012-07-01 false Offshore transactions. 548.406 Section 548.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BELARUS SANCTIONS REGULATIONS Interpretations §...

  13. 31 CFR 548.406 - Offshore transactions.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 31 Money and Finance:Treasury 3 2013-07-01 2013-07-01 false Offshore transactions. 548.406 Section 548.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BELARUS SANCTIONS REGULATIONS Interpretations §...

  14. 31 CFR 548.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 548.406 Section 548.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BELARUS SANCTIONS REGULATIONS...

  15. 31 CFR 548.406 - Offshore transactions.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 31 Money and Finance:Treasury 3 2014-07-01 2014-07-01 false Offshore transactions. 548.406 Section 548.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BELARUS SANCTIONS REGULATIONS Interpretations §...

  16. Solar power satellite offshore rectenna study

    NASA Astrophysics Data System (ADS)

    1980-11-01

    It was found that an offshore rectenna is feasible and cost competitive with land rectennas but that the type of rectenna which is suitable for offshore use is quite different from that specified in the present reference system. The result is a nonground plane design which minimizes the weight and greatly reduces the number of costly support towers. This preferred design is an antenna array consisting of individually encapsulated dipoles with reflectors supported on feed wires. Such a 5 GW rectenna could be built at a 50 m water depth site to withstand hurricane and icing conditions for a one time cost of 5.7 billion dollars. Subsequent units would be about 1/3 less expensive. The east coast site chosen for this study represents an extreme case of severe environmental conditions. More benign and more shallow water sites would result in lower costs. Secondary uses such as mariculture appear practical with only minor impact on the rectenna design. The potential advantages of an offshore rectenna, such as no land requirements, removal of microwave radiation from populated areas and minimal impact on the local geopolitics argue strongly that further investigation of the offshore rectenna should be vigorously pursued.

  17. 31 CFR 593.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 593.406 Section 593.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY FORMER LIBERIAN REGIME OF CHARLES...

  18. 31 CFR 587.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 587.406 Section 587.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY FEDERAL REPUBLIC OF YUGOSLAVIA (SERBIA...

  19. Cut drydocking costs for offshore rigs

    SciTech Connect

    Albaugh, E.K.

    1985-07-01

    Heavy-lift transport vessels (HLVs) can provide an economic alternative to the conventional shipyard approach of drydocking mobile offshore rigs for regulatory body inspections and/or repairs. Contractors now can drydock rigs in areas of the world where conventional drydocks are unavailable. This article discusses pros and cons of conventional shipyard drydocking and the HLV approach.

  20. Accord near for offshore California oil shipments

    SciTech Connect

    Not Available

    1993-02-15

    There are faint glimmers of hope again for offshore California operators. After more than a decade of often bitter strife over offshore oil and gas development and transportation issues, state officials and oil producers may be moving toward compromise solutions. One such solution may be forthcoming on offshore development. But the real change came with the turnabout of the California Coastal Commission (CCC), which last month approved a permit for interim tankering of crude from Point Arguello oil field in the Santa Barbara Channel to Los Angeles. The dispute over how to ship offshore California crude to market has dragged on since before Point Arguelo development plans were unveiled. The project's status has become a flashpoint in the U.S. debate over resource use and environmental concerns. The controversy flared anew in the wake of the 1989 Exxon Valdez tanker spill off Alaska, when CCC voided a Santa Barbara County permit for interim tankering, a move project operator Chevron Corp. linked to the Exxon Valdez accident. Faced with litigation, the state's economic devastation, and acrimonious debate over transporting California crude, Gov. Pete Wilson and other agencies approved the CCC permit. But there's a catch: A permanent pipeline must be built to handle full production within 3 years. The paper discusses permit concerns, the turnaround decision, the anger of environmental groups, and pipeline proposals.

  1. 31 CFR 549.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 31 Money and Finance:Treasury 3 2011-07-01 2011-07-01 false Offshore transactions. 549.406 Section 549.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY LEBANON SANCTIONS REGULATIONS Interpretations § 549.406...

  2. 31 CFR 537.406 - Offshore transactions.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 31 Money and Finance:Treasury 3 2013-07-01 2013-07-01 false Offshore transactions. 537.406 Section 537.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BURMESE SANCTIONS REGULATIONS Interpretations §...

  3. Solar power satellite offshore rectenna study

    NASA Technical Reports Server (NTRS)

    1980-01-01

    It was found that an offshore rectenna is feasible and cost competitive with land rectennas but that the type of rectenna which is suitable for offshore use is quite different from that specified in the present reference system. The result is a nonground plane design which minimizes the weight and greatly reduces the number of costly support towers. This preferred design is an antenna array consisting of individually encapsulated dipoles with reflectors supported on feed wires. Such a 5 GW rectenna could be built at a 50 m water depth site to withstand hurricane and icing conditions for a one time cost of 5.7 billion dollars. Subsequent units would be about 1/3 less expensive. The east coast site chosen for this study represents an extreme case of severe environmental conditions. More benign and more shallow water sites would result in lower costs. Secondary uses such as mariculture appear practical with only minor impact on the rectenna design. The potential advantages of an offshore rectenna, such as no land requirements, removal of microwave radiation from populated areas and minimal impact on the local geopolitics argue strongly that further investigation of the offshore rectenna should be vigorously pursued.

  4. Offshore blowouts, data for risk assessment

    SciTech Connect

    Holand, P.

    1995-12-31

    Blowouts are, besides gas leakages, the major contributor to the total risk for offshore installations. Therefore, the blowout risk is always included in Quantitative Risk Analyses (QRAs) of offshore installations in the Norwegian Sector of the North Sea. SINTEF Offshore Blowout Database has existed since 1984 (until 1990 it was called Marintek`s blowout database). In 1990 the responsibility of the database was transferred to SINTEF Safety and Reliability. Throughout these years the database has been used for assessing blowout risk associated to development and operation of fields offshore Norway. Six oil companies and two consultants are presently sponsoring the database. These companies are using the database when performing risk analyses. During the past three years the database has been subjected to a thorough quality improvement, both with respect to the user interface, and most important, regarding the blowout data included in the database. What is unique with this database, besides the high quality of blowout descriptions, is first that the blowout causes are categorized related to loss of primary and secondary barriers. Secondly that the user interface makes it possible to establish searches to withdraw information regarding any blowout type subjected for specific searches.

  5. 31 CFR 543.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 543.406 Section 543.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY CôTE D'IVOIRE SANCTIONS...

  6. Offshore Investments by Colleges Draw Scrutiny

    ERIC Educational Resources Information Center

    Fain, Paul; Wolverton, Brad

    2007-01-01

    Billions of dollars in untaxed, offshore investments by college endowments could be subject to taxation under a proposal being considered by the leaders of the U.S. Senate Finance Committee. The proposed change, which targets hedge funds, a popular investing strategy for many colleges, would affect the largest college endowments, including those…

  7. Human Rights, Academic Freedom, and Offshore Academics

    ERIC Educational Resources Information Center

    Ross, Andrew

    2011-01-01

    Despite the carnage wrought on higher education by the Great Recession, evidence persists that the sector is still host to a speculator psychology. One example is the unabated stampede to set up branches and programs overseas. Colleges have many reasons to go offshore: (1) to reduce costs; (2) to build their "brands" in "emerging…

  8. Risk analysis for Arctic offshore operations

    SciTech Connect

    Slomski, S.; Vivatrat, V.

    1986-04-01

    Offshore exploration for hydrocarbons is being conducted in the near-shore regions of the Beaufort Sea. This activity is expected to be intensified and expanded into the deeper portions of the Beaufort, as well as into the Chukchi Sea. The ice conditions in the Beaufort Sea are very variable, particularly in the deeper water regions. This variability greatly influences the probability of success or failure of an offshore operation. For example, a summer exploratory program conducted from a floating drilling unit may require a period of 60 to 100 days on station. The success of such a program depends on: (a) the time when the winter ice conditions deteriorate sufficiently for the drilling unit to move on station; (b) the number of summer invasions by the arctic ice pack, forcing the drilling unit to abandon station; (c) the rate at which first-year ice grows to the ice thickness limit of the supporting icebreakers; and (d) the extent of arctic pack expansion during the fall and early winter. In general, the ice conditions are so variable that, even with good planning, the change of failure of an offshore operation will not be negligible. Contingency planning for such events is therefore necessary. This paper presents a risk analysis procedure which can greatly benefit the planning of an offshore operation. A floating drilling program and a towing and installation operation for a fixed structure are considered to illustrate the procedure.

  9. Planning and evaluation parameters for offshore complexes

    NASA Technical Reports Server (NTRS)

    Sincoff, M. Z. (Editor); Dajani, J. S. (Editor)

    1976-01-01

    Issues are presented for consideration in the planning and design of offshore artificial complexes. The construction of such complexes, their social, economic, and ecological impacts, and the legal-political-institutional environments within which their development could occur, are discussed. Planning, design, and construction of near-shore complexes located off the Mid-Atlantic coast of the United States is emphasized.

  10. Efficient high-permeability fracturing offshore

    SciTech Connect

    Phillipi, M.; Farabee, M.

    1996-12-31

    Offshore operators can more efficiently and effectively perform high-permeability and conventional hydraulic fracture treatments by blending treatment slurries under microprocessor control, adding undiluted acid on-the-fly, and altering sand concentrations and other slurry properties instantaneously. A two-skid system has been designed with these considerations in mind. The system, which can be shipped efficiently in ISO containers, has been tested on fluids up to 210-cp viscosity and can step or ramp sand concentrations up to a maximum of 20 lb/gal. All additives, including acid treatments, are added on-the-fly; leftover additives and acids may be stored for future jobs. The system may be applied in most conditions, including offshore wells requiring conventional or high-permeability fracture treatments and certain land-based wells in remote areas where a compact skid is needed. Three significant benefits have resulted from using the compact-skid system: offshore operators have been able to ship the skid system at 20% of shipping costs of non-ISO equipment; on-the-fly mixing has prevented material waste associated with batch-mixing; and volumes pumped on actual jobs have closely matched job designs. Data have been collected from several Gulf of Mexico jobs run with the two-part skid system that has been designed for conducting hydraulic fracture treatments from offshore rigs.

  11. Offshore Investments by Colleges Draw Scrutiny

    ERIC Educational Resources Information Center

    Fain, Paul; Wolverton, Brad

    2007-01-01

    Billions of dollars in untaxed, offshore investments by college endowments could be subject to taxation under a proposal being considered by the leaders of the U.S. Senate Finance Committee. The proposed change, which targets hedge funds, a popular investing strategy for many colleges, would affect the largest college endowments, including those…

  12. 31 CFR 537.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 31 Money and Finance:Treasury 3 2011-07-01 2011-07-01 false Offshore transactions. 537.406 Section 537.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BURMESE SANCTIONS REGULATIONS Interpretations §...

  13. Offshore industry: medical emergency response in the offshore oil and gas industry.

    PubMed

    Ponsonby, Will; Mika, Frano; Irons, Greg

    2009-08-01

    The hunt for oil and gas has taken workers into new more distant locations including those offshore. The remoteness of the offshore platforms and vessels coupled with the potential risk of being cut off by bad weather presents particular challenges for medical emergency response (MER). Firstly to define the challenges for MER in terms of locations, population and epidemiology of injuries and illnesses in the offshore environment. Secondly to give examples of legal requirements and industry standards to manage MER. Thirdly to look at existing and emerging practice to manage these challenges. A review of published literature was supplemented with a summary of current practice in the industry. Medical professionals (medics) working offshore on installations and vessels are primarily responsible for the medical care of the workers. The medics have clinics with suitable medical equipment for managing emergencies as well as providing limited primary care. Some countries have legislation that stipulate minimum requirements. Where there is no national legislation, industry and company guidance is used to define the MER standards. Supervision of the offshore medics is often provided by doctors on shore via radio and phone links. These methods of communication are now being augmented with more sophisticated telemedicine solutions such as the Internet and live video links. These newer solutions allow for prompt high-quality care and provide the scope for a variety of new treatment options to be available for the offshore workforce.

  14. Integration of offshore wind farms through high voltage direct current networks

    NASA Astrophysics Data System (ADS)

    Livermore, Luke

    The integration of offshore wind farms through Multi Terminal DC (MTDC) networks into the GB network was investigated. The ability of Voltage Source Converter (VSC) High Voltage Direct Current (HVDC) to damp Subsynchronous Resonance (SSR) and ride through onshore AC faults was studied. Due to increased levels of wind generation in Scotland, substantial onshore and offshore reinforcements to the GB transmission network are proposed. Possible inland reinforcements include the use of series compensation through fixed capacitors. This potentially can lead to SSR. Offshore reinforcements are proposed by two HVDC links. In addition to its primary functions of bulk power transmission, a HVDC link can be used to provide damping against SSR, and this function has been modelled. Simulation studies have been carried out in PSCAD. In addition, a real-time hardware-in-the-loop HVDC test rig has been used to implement and validate the proposed damping scheme on an experimental platform. When faults occur within AC onshore networks, offshore MTDC networks are vulnerable to DC overvoltages, potentially damaging the DC plant and cables. Power reduction and power dissipation control systems were investigated to ride through onshore AC faults. These methods do not require dedicated fast communication systems. Simulations and laboratory experiments are carried out to evaluate the control systems, with the results from the two platforms compared..

  15. Mapping Seabird Sensitivity to Offshore Wind Farms

    PubMed Central

    Bradbury, Gareth; Trinder, Mark; Furness, Bob; Banks, Alex N.; Caldow, Richard W. G.; Hume, Duncan

    2014-01-01

    We present a Geographic Information System (GIS) tool, SeaMaST (Seabird Mapping and Sensitivity Tool), to provide evidence on the use of sea areas by seabirds and inshore waterbirds in English territorial waters, mapping their relative sensitivity to offshore wind farms. SeaMaST is a freely available evidence source for use by all connected to the offshore wind industry and will assist statutory agencies in assessing potential risks to seabird populations from planned developments. Data were compiled from offshore boat and aerial observer surveys spanning the period 1979–2012. The data were analysed using distance analysis and Density Surface Modelling to produce predicted bird densities across a grid covering English territorial waters at a resolution of 3 km×3 km. Coefficients of Variation were estimated for each grid cell density, as an indication of confidence in predictions. Offshore wind farm sensitivity scores were compiled for seabird species using English territorial waters. The comparative risks to each species of collision with turbines and displacement from operational turbines were reviewed and scored separately, and the scores were multiplied by the bird density estimates to produce relative sensitivity maps. The sensitivity maps reflected well the amassed distributions of the most sensitive species. SeaMaST is an important new tool for assessing potential impacts on seabird populations from offshore development at a time when multiple large areas of development are proposed which overlap with many seabird species’ ranges. It will inform marine spatial planning as well as identifying priority areas of sea usage by marine birds. Example SeaMaST outputs are presented. PMID:25210739

  16. Mapping seabird sensitivity to offshore wind farms.

    PubMed

    Bradbury, Gareth; Trinder, Mark; Furness, Bob; Banks, Alex N; Caldow, Richard W G; Hume, Duncan

    2014-01-01

    We present a Geographic Information System (GIS) tool, SeaMaST (Seabird Mapping and Sensitivity Tool), to provide evidence on the use of sea areas by seabirds and inshore waterbirds in English territorial waters, mapping their relative sensitivity to offshore wind farms. SeaMaST is a freely available evidence source for use by all connected to the offshore wind industry and will assist statutory agencies in assessing potential risks to seabird populations from planned developments. Data were compiled from offshore boat and aerial observer surveys spanning the period 1979-2012. The data were analysed using distance analysis and Density Surface Modelling to produce predicted bird densities across a grid covering English territorial waters at a resolution of 3 km×3 km. Coefficients of Variation were estimated for each grid cell density, as an indication of confidence in predictions. Offshore wind farm sensitivity scores were compiled for seabird species using English territorial waters. The comparative risks to each species of collision with turbines and displacement from operational turbines were reviewed and scored separately, and the scores were multiplied by the bird density estimates to produce relative sensitivity maps. The sensitivity maps reflected well the amassed distributions of the most sensitive species. SeaMaST is an important new tool for assessing potential impacts on seabird populations from offshore development at a time when multiple large areas of development are proposed which overlap with many seabird species' ranges. It will inform marine spatial planning as well as identifying priority areas of sea usage by marine birds. Example SeaMaST outputs are presented.

  17. Occurrence of Waterborne Pathogens and Escherichia coli at Offshore Drinking Water Intakes in Lake Ontario

    PubMed Central

    Khan, I. U. H.; Bouchard, R.; Guo, J.; Hill, S.; Locas, A.; Moore, L.; Neumann, N.; Nowak, E.; Payment, P.; Yang, R.; Yerubandi, R.; Watson, S.

    2013-01-01

    The occurrence of waterborne pathogens was investigated at three drinking water intakes located about 2 km offshore in Lake Ontario. Water sampling was conducted over 3 years for Campylobacter spp., Cryptosporidium spp., Giardia spp., cultivable enteric viruses, and water quality parameters. All pathogens were detected in the offshore source water for each water treatment plant (WTP1 to WTP3), although at relatively low frequencies and concentrations. Giardia was the most common pathogen, occurring in 36% of water samples from the influent of WTP1 (n = 46), and with a maximum concentration of 0.70 cysts/liter in this influent. Cryptosporidium occurred as frequently as 15% in the WTP2 influent (n = 35), with a maximum concentration of 0.40 oocysts/liter in the WTP1 influent. The human Bacteroidales HF183 DNA marker was most common in the WTP1 influent (19%), and this was the only WTP where the Cryptosporidium hominis genotype was detected. No water quality parameter was predictive of pathogen occurrence across all three WTP influents. Escherichia coli was often below detection when pathogens were detected, and spikes in E. coli concentrations often did not coincide with pathogen occurrence. After summer rain events, river plumes had E. coli concentrations as high as 222 CFU/100 ml in surface waters 2 km offshore, without impacting drinking water intakes below the thermocline on the lake bottom. At times, prechlorination to control mussels at offshore intake cribs compromised the use of E. coli for “raw” water quality assessment, particularly for chlorine-resistant Cryptosporidium. E. coli measured by standard methods did not reliably predict pathogen occurrence at drinking water intakes in offshore ecosystems. PMID:23835181

  18. Occurrence of waterborne pathogens and Escherichia coli at offshore drinking water intakes in lake Ontario.

    PubMed

    Edge, T A; Khan, I U H; Bouchard, R; Guo, J; Hill, S; Locas, A; Moore, L; Neumann, N; Nowak, E; Payment, P; Yang, R; Yerubandi, R; Watson, S

    2013-10-01

    The occurrence of waterborne pathogens was investigated at three drinking water intakes located about 2 km offshore in Lake Ontario. Water sampling was conducted over 3 years for Campylobacter spp., Cryptosporidium spp., Giardia spp., cultivable enteric viruses, and water quality parameters. All pathogens were detected in the offshore source water for each water treatment plant (WTP1 to WTP3), although at relatively low frequencies and concentrations. Giardia was the most common pathogen, occurring in 36% of water samples from the influent of WTP1 (n = 46), and with a maximum concentration of 0.70 cysts/liter in this influent. Cryptosporidium occurred as frequently as 15% in the WTP2 influent (n = 35), with a maximum concentration of 0.40 oocysts/liter in the WTP1 influent. The human Bacteroidales HF183 DNA marker was most common in the WTP1 influent (19%), and this was the only WTP where the Cryptosporidium hominis genotype was detected. No water quality parameter was predictive of pathogen occurrence across all three WTP influents. Escherichia coli was often below detection when pathogens were detected, and spikes in E. coli concentrations often did not coincide with pathogen occurrence. After summer rain events, river plumes had E. coli concentrations as high as 222 CFU/100 ml in surface waters 2 km offshore, without impacting drinking water intakes below the thermocline on the lake bottom. At times, prechlorination to control mussels at offshore intake cribs compromised the use of E. coli for "raw" water quality assessment, particularly for chlorine-resistant Cryptosporidium. E. coli measured by standard methods did not reliably predict pathogen occurrence at drinking water intakes in offshore ecosystems.

  19. Offshore safety case approach and formal safety assessment of ships.

    PubMed

    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.

  20. Response of wave excited offshore platforms

    SciTech Connect

    Chang, Shih-Jung; Hahn, G.D.

    1995-09-01

    A study of the resultants of inertia and drag force components induced by waves on offshore structures is made, and the relations between these resultants and the corresponding modal forces that govern the structural response are examined. The information and concepts reported elucidate the main factors that control such forces. Using the deep-water approximation of linear wave theory and the Morison equation, it is shown that the inertia and drag components of the modal forces can be expressed in terms of the sea surface kinematics. This treatment of the wave excitations advances the understanding of their characteristics and contributes to forming a basis for efficient, reliable evaluations of the response of wave- excited offshore platforms.

  1. Urinary 1-hydroxypyrene levels in offshore workers.

    PubMed

    Hopf, Nancy Brenna; Kirkeleit, Jorunn; Kramer, Stacy L; Moen, Bente; Succop, Paul; Genter, Mary Beth; Carreón, Tania; Mack, James; Talaska, Glenn

    2010-01-01

    To compare differences in pre- and post-shift urinary 1-hydroxypyrene (1OHP) levels as a measure of internal dose of polycyclic aromatic hydrocarbons (PAHs) between two groups of oil production workers offshore assumed to be exposed to PAH, and to compare the exposed group to an unexposed control group. Participants' (n = 42) urine samples, collected over a study period of three consecutive 12-h work days (pre-shift on the first day and post-shift on the third day), were analyzed using high performance liquid chromatography (HPLC) with fluorescence detection. Analysis of covariance was used in the statistical models. (1) Post-shift 1OHP levels were significantly higher in the exposed workers compared to the controls. (2) Tank workers and process operators did not show statistically significant different post-shift 1OHP levels. Altogether, this study indicates the presence of a low level PAH exposure among offshore oil production workers.

  2. New technology emphasizes international offshore effort

    SciTech Connect

    1997-07-01

    While the offshore industry is focusing its major development efforts on the deeper waters of the US Gulf, West Africa and Brazil, technology has not stood still in the world`s many other established and frontier offshore development areas. These selected items drawn from contributions by UK companies and a major joint-venture development in Eastern Canada emphasize this effort. Included here are: (1) announcement of a major six-field, 3 Tcf gas development off Nova Scotia`s Sable Island and award of two drilling contracts; (2) a comprehensive study of mobile production units in the UK by Smith Rea Energy Analysts; (3) four applications of an option to high-pressure swivels on an FPSO with multiple subsea inlet lines; (4) a contract to supply a DC bus drive for 17 ESPs on Texaco`s Captain field; and (5) review of an environmental study of the Falkland Islands in preparation for exploration activity.

  3. Locating Microseism Sources in Offshore Southern California

    NASA Astrophysics Data System (ADS)

    Tian, X.; Clayton, R. W.

    2007-12-01

    We use the broadband stations from the S. California network to locate the apparent origin of secondary microseisms energy (5-8 Hz band). The procedure is to grid the offshore region and using each grid point as the source point, predict the response of a Rayleigh wave at each station. These predicted waveforms are then correlated with the data over a time window that is typically a 1/2 hour in length and composited at the grid point. The length of the time window controls a tradeoff between the spatial-temporal resolution of the sources and the robustness on the image. The procedure is valid for multiple sources. This results show that during periods of high microseism activity the sources are distinct at several locations in a region approximately 50-100 km offshore. For an 11/09/2002 Southern Ocean storm, for example, two zones parallel to each other and perpendicular to the coast are imaged.

  4. Department of Defense Offshore Military Activities Program

    DTIC Science & Technology

    1987-03-16

    joint use of offshore areas for military and mineral exploration or developmental purposes. (See enclosure 2.) In carrying out negotiations with elements...that from time to time and from place to place the requirements for mineral exploration /development and defense related activities may conflict. In...area, certain defense- related activities on the OCS may be irreconcilable with mineral exploration / development and will, under the procedures

  5. Protective riser-conductor for offshore structures

    SciTech Connect

    Rutherford, D. A.; Albers, G. P.

    1985-07-09

    A protective sleeve for fitting about the periphery of the leg of an offshore structure. The sleeve comprises means for carrying and enclosing a plurality of conductors. It further includes one or more inner rings; an outer jacket is fixedly spaced from the rings to define longitudinal passages within which the respective conductors are fixedly positioned. The sleeve is capable of deflecting packed ice and floating objects which represent possible sources of damage to the structure or to conductors.

  6. Automatic welding comes of age. [Offshore

    SciTech Connect

    Turner, D.L. Jr.

    1981-07-01

    Automatic pipe welding systems today fall into three main categories: gas metal arc welding, gas-tungsten arc welding, and flash-butt welding. The first automatic welding devices used offshore were the CRC and H.C. Price systems. Both use gas metal arc welding with a consumable steel filler wire. The recently developed McDermott flash-butt welding system is described. (DLC)

  7. Mobile offshore structure for arctic exploratory drilling

    SciTech Connect

    Hale, D. R.; Orndorff Jr., J. A.; Owen, W. A.

    1985-04-23

    An offshore exploratory drilling floatable structure ballastable to rest on a sea floor but to extend above water level when so supported and adapted to withstand arctic ice loads, comprising a substantially vertical wall capable of withstanding arctic ice loads; a structural load bearing bottom rigidly connected to a lower portion of the wall; and a floatable vertically displaceable load bearing structural deck inside the wall.

  8. Arctic and offshore research: Technology status report

    SciTech Connect

    Not Available

    1988-01-01

    This report describes the state of technology relative to the production of oil and gas in the Arctic. It discusses the technical issues that warrant investigation, and focuses on the current Department of Energy supported activities. Major accomplishments during the last year include the following: The Arctic and Offshore Research Information System (AORIS) was planned with industry survey recommendations incorporated. It contains a directory of 85 Arctic databases, a bibliographic component of over 7,000 citations, and a data component of about 300 data sets on sea ice characteristics. Seven position, pressure, and temperature buoys were deployed on ice islands (up to 3 by 6 miles in size) drifting off Ellesmere Island. Ice island movement, as much as 340 miles southwest of the Ward Hunt Ice Shelf during the last 4 years, represents a potential hazard to Arctic offshore structures in the Alaskan Beaufort Sea. The redesigned Seafloor Earthquake Measurement System (SEMS II) was deployed near Shell's Ellen-Elly platforms, about 10 miles offshore of Long Beach, California. The SEMS monitored the July 1986 southern California earthquakes. This was the first time earthquakes were simultaneouslly monitored by sensors located on land, aboard offshore platforms, and beneath the seafloor. Sea spray ice bond shear strength to various structural and protective coatings has been determined. The polyethylene coating demonstrated the most potential for rapid shedding of spray ice by gravity loading. Measurements of temperatures and salinities were completed as part of a pilot test to (1) detect seasonal conditions at the water-seabed interface, and (2) determine how they influence permafrost growth in the coastal waters of the Beaufort Sea. The temperatures and computed freezing point data suggest that seasonal seabed freezing can occur most of the winter. 13 refs., 14 figs., 4 tabs.

  9. Caisson shield for arctic offshore production platform

    SciTech Connect

    Clinton, J. D.; Reusswig, G. H.

    1985-03-12

    A caisson shield for the protection of an offshore production platform and, more particularly, a caisson shield for use in an arctic environment for the protection of the offshore structure in iceberg-infested waters which is capable of absorbing the destructive forces of an impact produced by a large iceberg. The caisson shield consists of an essentially annular concrete structure encircling at least the submerged support section of the offshore production platform including vertically upstanding concentrically spaced, annular side walls, a horizontal slab base resting on the marine bottom on which the side walls are supported, and a slab top supported on the side walls, and including annularly spaced internal radial partition walls whereby the entire overall caisson shield structure provides a generally toroidal configuration incorporating a plurality of closed compartments. In one embodiment of the invention, located along the outer annular wall is a plurality of arcuate wall sections forming a series of arches and enclosed compartments between each arcuate wall section and the outer annular wall, which impart a ''scallop-like'' configuration to the outer circumference of the caisson shield. The ''scallop-like'' outer walls are capable of resisting and absorbing extremely high ice loads by being adapted to progressively crush the leading edge of an impacting iceberg and to thereby minimize the crush of the iceberg against the caisson shield before coming to rest against the shield.

  10. Offshore Essaouira basin: Geology and hydrocarbon potential

    SciTech Connect

    Jabour, H.; Ait Salem, A. )

    1991-03-01

    The study area lies in the offshore extension of the onshore Essaouria basin. The Mesozoic development of the Essaouira margin was largely controlled by Late Triassic to Mid-Jurassic rifting and subsequent opening of the Central Atlantic, with the evolution of a typical passive, opening of the Central Atlantic, with the evolution of a typical passive, continental margin. Diapiric salt structure recognized on seismic defines a Late Triassic-Early Jurassic salt basin in the offshore area initiated during early rifting. Subsidence and sea-level rise during Jurassic resulted in carbonate platform development. This was followed during Cretaceous and Tertiary time by the deposition of a prograding siliciclastic system. Only three wells have been drilled in this basin. Although drilled on poorly defined prospects, these wells encountered gas and oil shows. Fairly extensive seismic coverage of good quality data is now available. A study based on an integrated approach involving seismic facies definition and mapping, correlation with well data, identification of the principal control on sedimentation, and basin modeling in conjunction with source rock prediction and maturity modeling has been carried out. Results have shown that hydrocarbon potential in the offshore Essaouira basin has not yet been substantiated by drilling. Attractive structural and stratigraphic prospects exist in the shelf, shelf edge, and the slope, and await confirmation by drilling.

  11. Offshore Code Comparison Collaboration (OC3) for IEA Wind Task 23 Offshore Wind Technology and Deployment

    SciTech Connect

    Jonkman, J.; Musial, W.

    2010-12-01

    This final report for IEA Wind Task 23, Offshore Wind Energy Technology and Deployment, is made up of two separate reports, Subtask 1: Experience with Critical Deployment Issues and Subtask 2: Offshore Code Comparison Collaborative (OC3). Subtask 1 discusses ecological issues and regulation, electrical system integration, external conditions, and key conclusions for Subtask 1. Subtask 2 included here, is the larger of the two volumes and contains five chapters that cover background information and objectives of Subtask 2 and results from each of the four phases of the project.

  12. 26th Annual offshore technology conference: 1994 Proceedings

    SciTech Connect

    Not Available

    1994-01-01

    This conference represents the world's largest and most comprehensive technical conference and exhibition on offshore resource development. The four proceedings volumes have been separated by major areas of interest with this volume containing papers relative to design of offshore platforms and marine riser systems. Papers deal with design, installation, fabrication, transport systems, mooring devices, repair methods, and development of satellite production facilities. Case histories on various offshore oil and gas fills are discussed along with economics of some applications and designs.

  13. Proceedings - annual offshore technology conference, 13th, 1981

    SciTech Connect

    Anon

    1981-01-01

    The four volumes contain 183 papers presented at the meeting, all of which are indexed separately. Among the subjects covered are floating structure response, fatigue considerations in offshore systems, structural analysis and design, wave forces and hydroelastic response, offshore pipelines, ocean mining, tension leg platforms, oil terminals, geophysical data processing, seafloor surveying and mapping, subsea production systems, wind forces, towage of offshore structures, foundation performance, mooring and anchoring, and others.

  14. Operational Impacts of Large Deployments of Offshore Wind (Poster)

    SciTech Connect

    Ibanez, E.; Heaney, M.

    2014-10-01

    The potential operational impact of deploying 54 GW of offshore wind in the United States was examined. The capacity was not evenly distributed; instead, it was concentrated in regions with better wind quality and close to load centers (Table 1). A statistical analysis of offshore wind power time series was used to assess the effect on the power system. The behavior of offshore wind resembled that of onshore wind, despite the former presenting higher capacity factors, more consistent power output across seasons, and higher variability levels. Thus, methods developed to manage onshore wind variability can be extended and applied to offshore wind.

  15. New Approaches To Off-Shore Wind Energy Management Exploiting Satellite EO Data

    NASA Astrophysics Data System (ADS)

    Morelli, Marco; Masini, Andrea; Venafra, Sara; Potenza, Marco Alberto Carlo

    2013-12-01

    Wind as an energy resource has been increasingly in focus over the past decades, starting with the global oil crisis in the 1970s. The possibility of expanding wind power production to off-shore locations is attractive, especially in sites where wind levels tend to be higher and more constant. Off-shore high-potential sites for wind energy plants are currently being looked up by means of wind atlases, which are essentially based on NWP (Numerical Weather Prediction) archive data and that supply information with low spatial resolution and very low accuracy. Moreover, real-time monitoring of active off- shore wind plants is being carried out using in-situ installed anemometers, that are not very reliable (especially on long time periods) and that should be periodically substituted when malfunctions or damages occur. These activities could be greatly supported exploiting archived and near real-time satellite imagery, that could provide accurate, global coverage and high spatial resolution information about both averaged and near real-time off-shore windiness. In this work we present new methodologies aimed to support both planning and near-real-time monitoring of off-shore wind energy plants using satellite SAR(Synthetic Aperture Radar) imagery. Such methodologies are currently being developed in the scope of SATENERG, a research project funded by ASI (Italian Space Agency). SAR wind data are derived from radar backscattering using empirical geophysical model functions, thus achieving greater accuracy and greater resolution with respect to other wind measurement methods. In detail, we calculate wind speed from X-band and C- band satellite SAR data, such as Cosmo-SkyMed (XMOD2) and ERS and ENVISAT (CMOD4) respectively. Then, using also detailed models of each part of the wind plant, we are able to calculate the AC power yield expected behavior, which can be used to support either the design of potential plants (using historical series of satellite images) or the

  16. Offshore Wind Turbines - Estimated Noise from Offshore Wind Turbine, Monhegan Island, Maine: Environmental Effects of Offshore Wind Energy Development

    SciTech Connect

    Aker, Pamela M.; Jones, Anthony M.; Copping, Andrea E.

    2010-11-23

    Deep C Wind, a consortium headed by the University of Maine will test the first U.S. offshore wind platforms in 2012. In advance of final siting and permitting of the test turbines off Monhegan Island, residents of the island off Maine require reassurance that the noise levels from the test turbines will not disturb them. Pacific Northwest National Laboratory, at the request of the University of Maine, and with the support of the U.S. Department of Energy Wind Program, modeled the acoustic output of the planned test turbines.

  17. 75 FR 82055 - Commercial Leasing for Wind Power on the Outer Continental Shelf (OCS) Offshore Massachusetts...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-12-29

    ... Energy Management, Regulation and Enforcement, Office of Offshore Alternative Energy Programs, 381 Elden... of Offshore Alternative Energy Programs, 381 Elden Street, Mail Stop 4090, Herndon, Virginia 20170...: Bureau of Ocean Energy Management, Regulation and Enforcement, Office of Offshore Alternative Energy...

  18. 77 FR 62247 - Dynamic Positioning Operations Guidance for Vessels Other Than Mobile Offshore Drilling Units...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-10-12

    ...] Dynamic Positioning Operations Guidance for Vessels Other Than Mobile Offshore Drilling Units Operating on... voluntary guidance titled ``Mobile Offshore Drilling Unit Dynamic Positioning Guidance''. The notice recommended owners and operators of Mobile Offshore Drilling Units (MODUs) follow Marine Technology...

  19. National Offshore Wind Strategy: Facilitating the Development of the Offshore Wind Industry in the United States

    SciTech Connect

    Patrick Gilman; Maurer, Ben; Feinberg, Luke; Duerr, Alana; Peterson, Lauren; Musial, Walt; Beiter, Phillipp; Golladay, Jennifer; Stromberg, Jessica; Johnson, Isis; Boren, Doug; Moore, Annette

    2016-09-01

    The U.S. Department of Energy, through its Wind Energy Technologies Office, and U.S. Department of the Interior, through its Bureau of Ocean Energy Management, have jointly produced this updated national strategy to facilitate the responsible development of offshore wind energy in the United States.

  20. Offshore Benin, a classic passive margin

    SciTech Connect

    Mathalone, J.M.P. )

    1991-03-01

    Offshore Benin comprises a narrow east-west continental shelf, some 30 km wide. A sharp shelf break running parallel to the coast borders the shelf, whereupon water depths rapidly increase to over 7000 ft. The area lies within the Dahomey Embayment, one of a series of Cretaceous and younger basins lining the coast of Africa that owe their inception to the Late Mesozoic break-up of the Gondwanaland Continent. The basin extends some 100 km inland, but sedimentary section is thin onshore compared to a maximum of 20,000 ft of sediment offshore. Initial sedimentation in this basin was of Neocomian alluvial and lacustrine clastics. These were deposited in east-west-trending narrow half-grabens associated with the initial break up of the South American and African continents. They are covered unconformably by more extensive Albian and Cenomanian transgressive clastics and shallow marine Turonian sandstones which are the main reservoir at Seme, Benin's only oilfield. The Senonian section offshore comprises passive margin deep sea clastic sediments prograding southwards. Very large proximal deep sea channels up to 2500 ft thick are developed in this interval. These channels are associated with excellent petroleum source rocks, averaging 4-5% oil-prone organic carbon, and form the main exploration target in the area when configured in a trap morphology. Seismic data quality is excellent in the region allowing detailed examination of the relationships between the rifted section and later units. In addition, these data illustrate clearly both internal and external morphology of the Senonian proximal deep sea channels.

  1. Proceedings of the 25th annual offshore technology conference. Volume 1: Geology, earth sciences and environment

    SciTech Connect

    Not Available

    1993-01-01

    This conference proceedings represents volume 1 of a 4 volume conference relating to offshore operations in both energy and non-energy fields of resource development. This volume discusses the use of geophysical surveying techniques and equipment for mapping the seafloor; the design and use of offshore platforms; safety engineering systems; interpretation techniques for offshore survey data; environmental impacts from offshore operations; geology of offshore areas; and regulations pertaining to the development of offshore resources.

  2. Offshore installation and maintenance of submersible pumps

    SciTech Connect

    Verdina, G.G.

    1983-01-01

    Pertamina/IIAPCO operates a large offshore production complex in the Southeast Sumatra Contract Area of Indonesia. The use of submersible centrifugal electric pumps both for artificial lift and for pipeline transfer of produced fluids has played an important role in the success enjoyed by this contract area during its 10-year producing life. This paper describes the conditions and considerations contributing to the initial selection and eventual standardized use of these pumps by the company. Also included are a discussion of operational experience gained and a summary of the submersible pumps' performance record.

  3. Offshore petroleum exploration: capabilities and constraints. [Monograph

    SciTech Connect

    Tinney, R.

    1981-01-01

    Interviews with exploration company officials and industry and Department of Interior professionals as well as published materials were used to see how efficiently the oil and gas industries have handled outer continental shelf (OCS) leasing prior to 1981 and whether the Reagan administration's plans to accelerate the leasing program are likely to prove effective. The results of four scenarios indicate that capital, technology, equipment, and personnel constraints to offshore exploration will cripple the five-year program because the industry lacks this capability. Ignoring these constraints will misplace capital, risk human and environmental damage, and fail to meet national goals. 19 references, 7 figures, 19 tables. (DCK)

  4. Cathodic protection retrofit of an offshore pipeline

    SciTech Connect

    Winters, R.H.; Holk, A.C.

    1997-09-01

    The cathodic protection anodes and corrosion coating on two 8-inch (203.2 mm) outside diameter (O.D.) offshore pipelines were damaged during deep water ({minus}380 feet, {minus}116 m) installation. In-situ methods for deep water inspection and repair of the pipelines` cathodic protection and coating systems were developed and performed. Methods are described in which underwater anode retrofits were performed and friction welding technology was used to re-attach anode leads. Standard procedures for underwater pipeline coating repair and remediation of damaged line pipe are provided.

  5. EPA moves to control offshore emissions

    SciTech Connect

    Not Available

    1991-12-09

    This paper reports that except for most of the Gulf Coast, the Environmental Protection Agency proposes to hold all U.S. offshore rigs and platforms within about 28 miles from shore to the same standards as onshore facilities. EPA estimated compliance will cost the oil industry $2.2 million/year for all sources on the Outer Continental Shelf. The rule, the first EPA has proposed to control air pollution from OCS operations, covers drilling and production off Alaska, the Pacific coast states, the Atlantic coast states, and the Florida Gulf Coast. It does not affect OCS areas off Texas, Louisiana, Mississippi, and Alabama.

  6. Calculator program helps set offshore design criteria

    SciTech Connect

    Tran, V.B.

    1983-01-10

    Describes a new program for the Hewlett-Packard HP 41C (or HP-41C) hand-held programmable calculator which predicts the design criteria for building offshore facilities. Points out that the ''wind and wave'' (WIWA) program can quickly provide the calculations necessary for proper design involving wind forces, wave forces, and stress acting on the hydrostatic pressure case of a submerged system. Presents a flow diagram of the program and the program listing. Explains the equations used as the basis of the program.

  7. Offshore Installations and Their Relevance to the Coast Guard through the Next Twenty-Five Years. Volume III. Appendices.

    DTIC Science & Technology

    1980-11-01

    facility common to all facilities as well as a separate municipal waste treatment plant . The crude refinery and petrochemicals plant produces high...offshore: refinery L M H I power plant I L L M I industrial complex I L L L I II Extensive use of sub-sea production systems I M H I up to 5,000 ft. I... petrochemicals factory or a refinery acting as the core around which an in- dustrial complex is built. The type of core industry selected would depend

  8. 75 FR 47311 - National Offshore Safety Advisory Committee

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-08-05

    ... SECURITY Coast Guard National Offshore Safety Advisory Committee AGENCY: Coast Guard, DHS. ACTION: Notice of open teleconference meeting. SUMMARY: The National Offshore Safety Advisory Committee (NOSAC) will meet by teleconference to discuss items related to safety of operations and other matters affecting...

  9. 2014-2015 Offshore Wind Technologies Market Report

    SciTech Connect

    Smith, Aaron

    2015-11-18

    This presentation provides an overview of progress toward offshore wind cost reduction in Europe and implications for the U.S. market. The presentation covers an overview of offshore wind developments, economic and performance trends, empirical evidence of LCOE reduction, and challenges and opportunities in the U.S. market.

  10. 2016 Offshore Wind Energy Resource Assessment for the United States

    SciTech Connect

    Musial, Walt; Heimiller, Donna; Beiter, Philipp; Scott, George; Draxl, Caroline

    2016-09-01

    This report, the 2016 Offshore Wind Energy Resource Assessment for the United States, was developed by the National Renewable Energy Laboratory, and updates a previous national resource assessment study, and refines and reaffirms that the available wind resource is sufficient for offshore wind to be a large-scale contributor to the nation's electric energy supply.

  11. Canadian Offshore Schools in China: A Comparative Policy Analysis

    ERIC Educational Resources Information Center

    Wang, Fei

    2017-01-01

    Internationalisation is no longer a well-recognised feature unique to higher education. It has permeated K-12 education. However, little research has been done on internationalisation at the K-12 level, particularly on offshore schools. This study examines how Canadian and Chinese policies regarding offshore schools have developed over the years,…

  12. 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 15.520 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY MERCHANT MARINE OFFICERS AND SEAMEN MANNING REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units...

  13. 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)

  14. 26th Annual offshore technology conference: 1994 Proceedings

    SciTech Connect

    Not Available

    1994-01-01

    This conference is the world's largest and most comprehensive technical conference and exhibition on offshore resource development. This conference is divided into four volumes with this volume containing conference papers relative to offshore drilling and well completion information. Papers also deal with construction specifications for marine risers and pipelines, along with any relevant installation and performance information.

  15. International Collaboration on Offshore Wind Energy Under IEA Annex XXIII

    SciTech Connect

    Musial, W.; Butterfield, S.; Lemming, J.

    2005-11-01

    This paper defines the purpose of IEA Annex XXIII, the International Collaboration on Offshore Wind Energy. This international collaboration through the International Energy Agency (IEA) is an efficient forum from which to advance the technical and environmental experiences collected from existing offshore wind energy projects, as well as the research necessary to advance future technology for deep-water wind energy technology.

  16. 78 FR 63233 - National Offshore Safety Advisory Committee; Meeting

    Federal Register 2010, 2011, 2012, 2013, 2014

    2013-10-23

    ... with or in support of the exploration of offshore mineral and energy resources insofar as they relate... National offshore oil exploration activities; (6) Safety and Environmental Management System (SEMS)/Safety... Conference space. The November 14th full committee meeting will also be held in the DNV Conference space...

  17. Chapter 33: Offshore Population Estimates of Marbled Murrelets in California

    Treesearch

    C. John Ralph; Sherri L. Miller

    1995-01-01

    We devised a method of estimating population size of Marbled Murrelets (Brachyramphus marmoratus) found in California’s offshore waters. The method involves determining the distribution of birds from the shore outward to 6,000 m offshore. Applying this distribution to data from boat surveys, we derived population estimates and estimates of sampling...

  18. Wind Resource Mapping for United States Offshore Areas: Preprint

    SciTech Connect

    Elliott, D.; Schwartz, M.

    2006-06-01

    The U.S. Department of Energy's (DOE) National Renewable Energy Laboratory (NREL) is producing validated wind resource maps for priority offshore regions of the United States. This report describes the methodology used to validate the maps and to build a Geographic Information Systems (GIS) database to classify the offshore wind resource by state, water depth, distance from shore, and administrative unit.

  19. 76 FR 77223 - Enbridge Offshore Pipelines (UTOS); Notice of Filing

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-12-12

    ... From the Federal Register Online via the Government Publishing Office DEPARTMENT OF ENERGY Federal Energy Regulatory Commission Enbridge Offshore Pipelines (UTOS); Notice of Filing Take notice that on November 30, 2011, Enbridge Offshore Pipelines (UTOS) submitted a request for a waiver of the reporting...

  20. 76 FR 39410 - National Offshore Safety Advisory Committee; Vacancies

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-07-06

    ... exploration of offshore mineral and energy resources insofar as they relate to matters within Coast Guard... construction of offshore exploration and recovery facilities; (c) One member representing employees of... petroleum. To be eligible, applicants for all available positions should have expertise and/or knowledge and...

  1. 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)

  2. Flying in, Flying out: Offshore Teaching in Higher Education

    ERIC Educational Resources Information Center

    Seah, Wee Tiong; Edwards, Julie

    2006-01-01

    This paper discusses the relatively new phenomenon of university education faculties offering offshore education. The analogy, "flying in, flying out" captures the intensity of such offshore experiences for visiting academics, and contrasts their professional experiences against expatriate academics. This paper reports on case studies of…

  3. 76 FR 81957 - Mobile Offshore Drilling Unit Guidance Policy

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-12-29

    ... SECURITY Coast Guard Mobile Offshore Drilling Unit Guidance Policy AGENCY: Coast Guard, DHS. ACTION: Notice... availability of a draft policy letter entitled, ``Dynamically Positioned Mobile Offshore Drilling Unit (MODU... emergency procedures are critical to the safety of a MODU actively engaged in drilling....

  4. 49 CFR 191.27 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2014 CFR

    2014-10-01

    ... TRANSPORTATION OF NATURAL AND OTHER GAS BY PIPELINE; ANNUAL REPORTS, INCIDENT REPORTS, AND SAFETY-RELATED CONDITION REPORTS § 191.27 Filing offshore pipeline condition reports. (a) Each operator shall, within 60... 49 Transportation 3 2014-10-01 2014-10-01 false Filing offshore pipeline condition reports. 191.27...

  5. 49 CFR 191.27 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2012 CFR

    2012-10-01

    ... TRANSPORTATION OF NATURAL AND OTHER GAS BY PIPELINE; ANNUAL REPORTS, INCIDENT REPORTS, AND SAFETY-RELATED CONDITION REPORTS § 191.27 Filing offshore pipeline condition reports. (a) Each operator shall, within 60... 49 Transportation 3 2012-10-01 2012-10-01 false Filing offshore pipeline condition reports. 191.27...

  6. 49 CFR 191.27 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2011 CFR

    2011-10-01

    ... TRANSPORTATION OF NATURAL AND OTHER GAS BY PIPELINE; ANNUAL REPORTS, INCIDENT REPORTS, AND SAFETY-RELATED CONDITION REPORTS § 191.27 Filing offshore pipeline condition reports. (a) Each operator shall, within 60... 49 Transportation 3 2011-10-01 2011-10-01 false Filing offshore pipeline condition reports. 191.27...

  7. 49 CFR 191.27 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2013 CFR

    2013-10-01

    ... TRANSPORTATION OF NATURAL AND OTHER GAS BY PIPELINE; ANNUAL REPORTS, INCIDENT REPORTS, AND SAFETY-RELATED CONDITION REPORTS § 191.27 Filing offshore pipeline condition reports. (a) Each operator shall, within 60... 49 Transportation 3 2013-10-01 2013-10-01 false Filing offshore pipeline condition reports. 191.27...

  8. Health and climate benefits of offshore wind facilities in the Mid-Atlantic United States

    NASA Astrophysics Data System (ADS)

    Buonocore, Jonathan J.; Luckow, Patrick; Fisher, Jeremy; Kempton, Willett; Levy, Jonathan I.

    2016-07-01

    Electricity from fossil fuels contributes substantially to both climate change and the health burden of air pollution. Renewable energy sources are capable of displacing electricity from fossil fuels, but the quantity of health and climate benefits depend on site-specific attributes that are not often included in quantitative models. Here, we link an electrical grid simulation model to an air pollution health impact assessment model and US regulatory estimates of the impacts of carbon to estimate the health and climate benefits of offshore wind facilities of different sizes in two different locations. We find that offshore wind in the Mid-Atlantic is capable of producing health and climate benefits of between 54 and 120 per MWh of generation, with the largest simulated facility (3000 MW off the coast of New Jersey) producing approximately 690 million in benefits in 2017. The variability in benefits per unit generation is a function of differences in locations (Maryland versus New Jersey), simulated years (2012 versus 2017), and facility generation capacity, given complexities of the electrical grid and differences in which power plants are offset. This work demonstrates health and climate benefits of offshore wind, provides further evidence of the utility of geographically-refined modeling frameworks, and yields quantitative insights that would allow for inclusion of both climate and public health in benefits assessments of renewable energy.

  9. Iodine-129 in seawater offshore Fukushima: distribution, inorganic speciation, sources, and budget.

    PubMed

    Hou, Xiaolin; Povinec, Pavel P; Zhang, Luyuan; Shi, Keliang; Biddulph, Dana; Chang, Ching-Chih; Fan, Yukun; Golser, Robin; Hou, Yingkun; Ješkovský, Miroslav; Jull, A J Tim; Liu, Qi; Luo, Maoyi; Steier, Peter; Zhou, Weijian

    2013-04-02

    The Fukushima nuclear accident in March 2011 has released a large amount of radioactive pollutants to the environment. Of the pollutants, iodine-129 is a long-lived radionuclide and will remain in the environment for millions of years. This work first report levels and inorganic speciation of (129)I in seawater depth profiles collected offshore Fukushima in June 2011. Significantly elevated (129)I concentrations in surface water were observed with the highest (129)I/(127)I atomic ratio of 2.2 × 10(-9) in the surface seawater 40 km offshore Fukushima. Iodide was found as the dominant species of (129)I, while stable (127)I was mainly in iodate form, reflecting the fact that the major source of (129)I is the direct liquid discharges from the Fukushima NPP. The amount of (129)I directly discharged from the Fukushima Dai-ichi nuclear power plant to the sea was estimated to be 2.35 GBq, and about 1.09 GBq of (129)I released to the atmosphere from the accident was deposited in the sea offshore Fukushima. A total release of 8.06 GBq (or 1.2 kg) of (129)I from the Fukushima accident was estimated. These Fukushima-derived (129)I data provide necessary information for the investigation of water circulation and geochemical cycle of iodine in the northwestern Pacific Ocean in the future.

  10. Gladden Pull-Apart Basin, offshore Belize

    SciTech Connect

    Morrice, S. )

    1993-02-01

    The junction of the American and Caribbean plates in Belize has created a complex structural setting for oil and gas exploration. Recent seismic offshore Belize has been used to identify three structural provinces, from west to east: a shallow thrust zone, a narrow upthrown wrench faulted zone and a deeper extensional basin, named the Gladden Pull-Apart Basin. Hydrocarbon leakage from recent fault movement appears to have depleted the shallow structures to the west, but the pull-apart basin has a thick sequence of low-frequency clay-dominated sealing rocks with the potential to preserve hydrocarbon accumulations in Cretaceous carbonate banks. These buried carbonate are of the same age and depositional environment of Mexico's Golden Lane/Tabasco Reforma carbonate banks which are world class giant fields. The Belize and Mexican carbonate banks are within the same Cretaceous depositional basin, the Peten Basin. Seismic interpretations in offshore Belize have been integrated with gravity and magnetic surveys. This provides additional support for the deep extensional basin. The location of the thick Cretaceous carbonate banks is better interpreted with the integration of these three geophysical tools. Airborne geochemical surveys were used to detect the presence of oil seeps on the east and west basin margins.

  11. Semi-submerged modular offshore platform

    SciTech Connect

    Huang, Y.T.

    1994-12-31

    A modular offshore platform which can be used in a deep sea oil exploration is introduced here. A hybrid of guyed tower and tension leg platforms will be studied. A double-layer dodecahedrous float will be stabilized by a series of guyed cables and clump weights that are anchored to the ocean floor. The platform is built on a dodecahedrous float, which can be fabricated onshore and transported to the job site by direct towing. Buoyancy of the dodecahedrous float will counteract the tremendous weight exerted on this offshore structure. With the help of the guy cables and clump weights anchored to the ocean floor, the structure can be column stabilized to a designated location ready for needed drilling operation. Dodecahedron is one of the natural crystal forms which can be built up by modular space components. It is an ideal structure for easy assembly in a hostile, physically restrictive sea environment. In this article only the major factors affecting the analysis is considered. Much more detailed considerations will be required in the final design, reflecting environmental forces in action, stresses during erection, and the fabrication details.

  12. Optimization of monopiles for offshore wind turbines.

    PubMed

    Kallehave, Dan; Byrne, Byron W; LeBlanc Thilsted, Christian; Mikkelsen, Kristian Kousgaard

    2015-02-28

    The offshore wind industry currently relies on subsidy schemes to be competitive with fossil-fuel-based energy sources. For the wind industry to survive, it is vital that costs are significantly reduced for future projects. This can be partly achieved by introducing new technologies and partly through optimization of existing technologies and design methods. One of the areas where costs can be reduced is in the support structure, where better designs, cheaper fabrication and quicker installation might all be possible. The prevailing support structure design is the monopile structure, where the simple design is well suited to mass-fabrication, and the installation approach, based on conventional impact driving, is relatively low-risk and robust for most soil conditions. The range of application of the monopile for future wind farms can be extended by using more accurate engineering design methods, specifically tailored to offshore wind industry design. This paper describes how state-of-the-art optimization approaches are applied to the design of current wind farms and monopile support structures and identifies the main drivers where more accurate engineering methods could impact on a next generation of highly optimized monopiles.

  13. The sea bottom temperature offshore southwestern Taiwan

    NASA Astrophysics Data System (ADS)

    Chiang, H.; Shyu, C.; Peng, Y.; Chang, H.; Chen, S.; Chung, S.; Wang, Y.

    2012-12-01

    The sea bottom temperature (SBT) is important to apply to the heat flow estimation by BSR. Also the SBT may response the fluid migration near subsurface. Here we present 150 measurements of SBT offshore southwestern Taiwan where abundant gas hydrates has been evaluated. The SBT data were acquired by the heat probe with high resolution up to 0.0001°C. Thermal gradients were determined from several temperature sensors installed in different depth in the heat probe and then the SBT could be calculated by extrapolation. The results show that the SBT are between 2.23 and 10.14°C in water depth within the range of 409 to 3248 meters. Basically, the SBT is inversely hyperbolic proportional to the water depth for those 132 measurements the water depth are shallower than 2650 meters. The product of SBT and water depth has an average of 4419 m-°C and a standard deviation of 402 m-°C. However the SBT of others 18 measurements in the deep water region are scattered without any significant trend. Some measurements near mud diapirs in the shallow water have high anomaly SBT. It is suggested that the fluid from deep underground may migrate along the fractures or faults related to the movements of the mud volume.; The sea bottom temperature offshore southwestern Taiwan

  14. Federal offshore statistics: leasing, exploration, production, revenue

    SciTech Connect

    Essertier, E.P.

    1984-09-01

    This publication is a numerical record of what has happened since Congress gave authority to the Secretary of the Interior in 1953 to lease the federal portion of the Continental Shelf for oil and gas. The publication updates and augments the first Federal Offshore Statistics, published in December 1983. It also extends a statistical series published annually from 1969 until 1981 by the US Geological Survey (USGS) under the title Outer Continental Shelf Statistics. The USGS collected royalties and supervised operation and production of minerals on the Outer Continental Shelf (OCS) until the Minerals Management Service (MMS) took over these functions in 1982. Some of the highlights are: of the 329.5 million acres offered for leasing, 37.1 million acres were actually leased; total revenues for the 1954 to 1983 period were $68,173,112,563 and for 1983 $9,161,435,540; a total of 22,095 wells were drilled in federal waters and 10,145 wells were drilled in state waters; from 1954 through 1983, federal offshore areas produced 6.4 billion barrels of oil and condensate, and 62.1 trillion cubic feet of natural gas; in 1983 alone production was 340.7 million barrels of oil and condensate, and 3.9 trillion cubic feet of gas; and for the second straight year, no oil was lost in 1983 as a result of blowouts in federal waters. 8 figures, 66 tables.

  15. Predicting deep reservoir quality, offshore Norway

    SciTech Connect

    Welton, J.E. )

    1996-01-01

    Reducing risk by predicting deep reservoir potential has long been the goal of the explorationist. To successfully evaluate deep reservoir potential requires the integration of information on depositional setting, mineralogy, texture (i.e. grain size and sorting), burial history, temperature, porosity, and permeability. In 1991, prior to the 14th Round, exploration potential on the Halten Terrace (Offshore Norway) was limited by reservoir predictions (based on generalized mineralogy trends) which suggested economic basement was 4000m. However, an integrated reservoir study conducted between 1991-1993 concluded that in certain Jurassic facies, significant deep reservoir potential existed. The study predicted that coarser-grained, quartz-rich braided stream, delta front, and offshore shelf sandbodies would have good porosity and permeability below 4000m, particularly there early chlorite grain coatings were present to inhibit silica cement. In the spring of 1995, the discovery of significant hydrocarbon reserves below 4000m on Block 6406/2 confirmed these predictions and proved that integrated reservoir characterization can lead to accurate deep reservoir quality predictions. The integrated methodology used will be discussed.

  16. Offshore winds using remote sensing techniques

    NASA Astrophysics Data System (ADS)

    Peña, Alfredo; Bay Hasager, Charlotte; Gryning, Sven-Erik; Courtney, Michael; Antoniou, Ioannis; Mikkelsen, Torben; Sørensen, Paul

    2007-07-01

    Ground-based remote sensing instruments can observe winds at different levels in the atmosphere where the wind characteristics change with height: the range of heights where modern turbine rotors are operating. A six-month wind assessment campaign has been made with a LiDAR (Light Detection And Ranging) and a SoDAR (Sound Detection and Ranging) on the transformer/platform of the world's largest offshore wind farm located at the West coast of Denmark to evaluate their ability to observe offshore winds. The high homogeneity and low turbulence levels registered allow the comparison of LiDAR and SoDAR with measurements from cups on masts surrounding the wind farm showing good agreement for both the mean wind speed and the longitudinal component of turbulence. An extension of mean wind speed profiles from cup measurements on masts with LiDAR observations results in a good match for the free sectors at different wind speeds. The log-linear profile is fitted to the extended profiles (averaged over all stabilities and roughness lengths) and the deviations are small. Extended profiles of turbulence intensity are also shown for different wind speeds up to 161 m. Friction velocities and roughness lengths calculated from the fitted log-linear profile are compared with the Charnock model which seems to overestimate the sea roughness for the free sectors.

  17. Thermometric well testing on the Vietnam offshore

    SciTech Connect

    San, T.N.; Shtyrlin, V.F.; Vakhitov, G.G.; Loi, L.M.; Listengarten, L.; Hien, D.L.

    1994-12-31

    It is impossible to control and adjust an oil and gas field development without determining the flow intervals of production wells. For that it is preferable to get production profiles by using the downhole flowmeter. There are, however, some main restrictions for wide-spread application of them on the offshore of Vietnam as follows: the flowmeter spinner velocity cannot indicate correctly in the open hole wells having a nonuniform diameter; it is unable to carry out in the case when the tubing shoe is lower than top formation on 300--500m. In this paper, the authors present a summary of temperature profile method to determine the flowing and intaking intervals of wells drilled in basement of the White Tiger Field on Vietnam offshore. For the last 2 years more than 30 wells were surveyed by this method in the above mentioned conditions. This paper presents the theory and practice of well temperature profile surveys, the concrete examples of data interpretation using the software Oiltest.

  18. Management of offshore wastes in the United States.

    SciTech Connect

    Veil, J. A.

    1998-10-22

    During the process of finding and producing oil and gas in the offshore environment operators generate a variety of liquid and solid wastes. Some of these wastes are directly related to exploration and production activities (e.g., drilling wastes, produced water, treatment workover, and completion fluids) while other types of wastes are associated with human occupation of the offshore platforms (e.g., sanitary and domestic wastes, trash). Still other types of wastes can be considered generic industrial wastes (e.g., scrap metal and wood, wastes paints and chemicals, sand blasting residues). Finally, the offshore platforms themselves can be considered waste materials when their useful life span has been reached. Generally, offshore wastes are managed in one of three ways--onsite discharge, injection, or transportation to shore. This paper describes the regulatory requirements imposed by the government and the approaches used by offshore operators to manage and dispose of wastes in the US.

  19. R & D on Offshore Wind Power Generation System in Japan

    NASA Astrophysics Data System (ADS)

    Oishi, Kazuhito; Fukumoto, Yukinari

    Offshore wind energy has been widely exploited in Europe. Having a long coastline, the offshore wind energy will be the one of the important solutions for the increase of renewable energy in Japan. However, due to the difference in wind and marine condition between Japan and Europe, the safety, the environmental impact and the economical feasibility of the offshore wind power generation system have to be investigated in Japan. According to the data observed offshore, the wind speed is enough higher than that on land and the wind energy is economically feasible. In order to utilize the energy, the design method of the foundation against very high waves in typhoon storm should be established. For shallow offshore coastal area, gravity foundation type has been improved by hydraulic experiment. Additionally, for deeper ocean, floating types such as semi-submersible float and spar-buoy have been researched.

  20. Proceedings of the 15. international conference on offshore mechanics and arctic engineering -- OMAE 1996. Volume 1, Part B: Offshore technology

    SciTech Connect

    Chakrabarti, S.K.; Pontes, M.T.; Maeda, Hisaaki; Falzarano, J.; Schofield, P.; Morrison, D.

    1996-12-31

    The 49 papers contained in Part B of Volume 1 are arranged under the following topical sections: Computational hydrodynamics; Floating and moored systems; Ocean energy technology; Hydrodynamic design of offshore structures; Design and operation of offshore structures; and Risers and cables. Most of the papers have been processed separately for inclusion on the data base.

  1. Autonomous buoy for offshore well control and monitoring

    SciTech Connect

    1998-08-01

    Conventional subsea control systems require expensive electrohydraulic umbilicals that limit the maximum distance between platform and well. A proposed control-buoy concept is a hybrid well-control system with the reliability of conventional umbilical-based systems and the long-distance cost advantages of umbilical-free systems. Well 4-ALS-39 is a marginal gas well off-shore the state of Alagoas, northeast Brazil, in 25-m-deep water. Its production development became economically feasible with the use of an autonomous control buoy for well control and monitoring. A control and data-acquisition system installed on the buoy monitors wellhead pressure and temperature and controls the wet-Christmas-tree valves and production choke through a conventional electrohydraulic umbilical. A radio link between the buoy and shore ensures permanent supervision and interlock with the onshore pipeline valves and metering station. Because the onshore plant is normally unmanned, a dialed cellular-telephone line allows remote well monitoring and operation. The small buoy is completely autonomous in terms of energy. All energy required to power the system is generated locally by solar panels and a low-power, electrically driven hydraulic-power unit.

  2. Completion design for high capacity offshore gas wells

    SciTech Connect

    Hartley, R.

    1982-01-01

    Sarawak Shell Berhad currently is developing 2 offshore gas fields to supply ca 1200 MMSCFD to a LNG plant being built at Bintulu, Sarawak. Both E11 and F23 are carbonate build-ups with high productivities, but because of their relative shallow depth, only moderate reservoir pressure. The produced gas is lean with carbon dioxide contents up to 7.3% and hydrogen sulfide contents ca 8 ppm. Because the wells are off shore, there is an increased risk caused by the proximity of other wells and the possibility of platform damage. Also, being off shore means high costs for drilling, compression, and workover. This work discusses the completion design developed to cope with these conditions. Safety considerations, the prevention of corrosion, and tubing stress analysis are discussed. The final design uses 7-in. tubulars, including 13 Cr steel at points where corrosion may be severe and utilizes a fire-resistant christmas tree and wellhead design. A further point of interest is that a study of possible blowout and cratering conditions was made to predict the maximum crater depth. The subsurface safety valve is set below this depth.

  3. Sand Needs and Resources Offshore New York

    NASA Astrophysics Data System (ADS)

    Lashley, J. M.; Flood, R. D.; White, M.; Bokuniewicz, H.; Hinrichs, C.; Wilson, R. E.

    2016-02-01

    "Superstorm" Sandy (October, 2012) accentuated the persistent problem of coastal erosion on New York's ocean coast. The New York state Department of State in cooperation with the Bureau of Ocean Energy Management has initiated further identification and assessment of marine sand reserves required to improve the resiliency of coastal communities and the maintenance of coastal habitats. The historical demand for beach nourishment has been about 1.5 million cubic meters per year, but sea level rise and the occurrence of extreme conditions may increase the demand to over 5 million cubic meters annually. Forty-four historical and proposed borrow sites have been delineated. This inner shelf is both sand rich and data rich. Geophysical and geological data has been compiled and reassessed to support identification, characterization, and delineation of sand resources for potential use in future coastal restoration, beach nourishment, and/or wetland restoration efforts. The South Shore of Long Island is composed in part by the Fire Island National Seashore. Holocene sand ridges extending at an oblique angle to the cross shore in the seaward direction. Borrow pits among the sand ridges, excavated were apparent in the most recent surveys and it appears that natural replenishment of offshore borrow areas has been occurring although the rates need to be determined in order to assess their sustainability. Not only is the area one of intense societal attention, but the use of this resource for coastal resilience must fit into a diverse framework marine spatial planning including not only traditional components, like commercial fishing, but also new factors like the siting of offshore wind-farms. To extend this assessment will include a recent survey, sponsored by the Bureau of Ocean Energy Management and the New York Department of State, providing approximately 700 km of geophysical survey lines located between 3 and 9 nautical miles offshore, and 46 geotechnical samples

  4. The Wheat GT Factor TaGT2L1D Negatively Regulates Drought Tolerance and Plant Development

    PubMed Central

    Zheng, Xin; Liu, Haipei; Ji, Hongtao; Wang, Youning; Dong, Baodi; Qiao, Yunzhou; Liu, Mengyu; Li, Xia

    2016-01-01

    GT factors are trihelix transcription factors that specifically regulate plant development and stress responses. Recently, several GT factors have been characterized in different plant species; however, little is known about the role of GT factors in wheat. Here, we show that TaGT2L1A, TaGT2L1B, and TaGT2L1D are highly homologous in hexaploid wheat, and are localized to wheat chromosomes 2A, 2B, and 2D, respectively. These TaGT2L1 genes encode proteins containing two SANT domains and one central helix. All three homologs were ubiquitously expressed during wheat development and were responsive to osmotic stress. Functional analyses demonstrated that TaGT2L1D acts as a transcriptional repressor; it was able to suppress the expression of AtSDD1 in Arabidopsis by binding directly to the GT3 box in its promoter that negatively regulates drought tolerance. TaGT2L1D overexpression markedly increased the number of stomata and reduced drought tolerance in gtl1-3 plants. Notably, ectopic expression of TaGT2L1D also affected floral organ development and overall plant growth. These results demonstrate that TaGT2L1 is an ortholog of AtGTL1, and that it plays an evolutionarily conserved role in drought resistance by fine tuning stomatal density in wheat. Our data also highlight the role of TaGT2L1 in plant growth and development. PMID:27245096

  5. Geospatial characteristics of Florida's coastal and offshore environments: Administrative and political boundaries and offshore sand resources

    USGS Publications Warehouse

    Demopoulos, Amanda W.J.; Foster, Ann M.; Jones, Michal L.; Gualtieri, Daniel J.

    2011-01-01

    The Geospatial Characteristics Geopdf of Florida's Coastal and Offshore Environments is a comprehensive collection of geospatial data describing the political and natural resources of Florida. This interactive map provides spatial information on bathymetry, sand resources, military areas, marine protected areas, cultural resources, locations of submerged cables, and shipping routes. The map should be useful to coastal resource managers and others interested in the administrative and political boundaries of Florida's coastal and offshore region. In particular, as oil and gas explorations continue to expand, the map may be used to explore information regarding sensitive areas and resources in the State of Florida. Users of this geospatial database will find that they have access to synthesized information in a variety of scientific disciplines concerning Florida's coastal zone. This powerful tool provides a one-stop assembly of data that can be tailored to fit the needs of many natural resource managers.

  6. How a good understanding of the physical oceanography of your offshore renewables site can drive down project costs.

    NASA Astrophysics Data System (ADS)

    Royle, J.

    2016-02-01

    For an offshore renewables plant to be viable it must be safe and cost effective to build and maintain (i.e. the conditions mustn't be too harsh to excessively impede operations at the site), it must also have an energetic enough resource to make the project attractive to investors. In order to strike the correct balance between cost and resource reliable datasets describing the meteorological and oceanographic (metocean) environment needs to be collected, analysed and its findings correctly applied . This presentation will use three real world examples from Iberdrola`s portfolio of offshore windfarms in Europe to demonstrate the economic benefits of good quality metocean data and robust analysis. The three examples are: 1) Moving from traditional frequency domain persistence statistics to time domain installation schedules driven by reliable metocean data reduces uncertainty and allows the developer to have better handle on weather risk during contract negotiations. 2) By comparing the planned installation schedules from a well validated metocean dataset with a coarser low cost unvalidated metocean dataset we can show that each Euro invested in the quality of metocean data can reduce the uncertainty in installation schedules by four Euros. 3) Careful consideration of co-varying wave and tidal parameters can justify lower cost designs, such as lower platform levels leading to shorter and cheaper offshore wind turbine foundations. By considering the above examples we will prove the case for investing in analysis of well validated metocean models as a basis for sound financial planning of offshore renewables installations.

  7. On the Offshore Advection of Boundary-Layer Structures and the Influence on Offshore Wind Conditions

    NASA Astrophysics Data System (ADS)

    Dörenkämper, Martin; Optis, Michael; Monahan, Adam; Steinfeld, Gerald

    2015-06-01

    The coastal discontinuity imposes strong signals to the atmospheric conditions over the sea that are important for wind-energy potential. Here, we provide a comprehensive investigation of the influence of the land-sea transition on wind conditions in the Baltic Sea using data from an offshore meteorological tower, data from a wind farm, and mesoscale model simulations. Results show a strong induced stable stratification when warm inland air flows over a colder sea. This stratification demonstrates a strong diurnal pattern and is most pronounced in spring when the land-sea temperature difference is greatest. The strength of the induced stratification is proportional to this parameter and inversely proportional to fetch. Extended periods of stable stratification lead to increased influence of inertial oscillations and increased frequency of low-level jets. Furthermore, heterogeneity in land-surface roughness along the coastline is found to produce pronounced horizontal streaks of reduced wind speeds that under stable stratification are advected several tens of kilometres over the sea. The intensity and length of the streaks dampen as atmospheric stability decreases. Increasing sea surface roughness leads to a deformation of these streaks with increasing fetch. Slight changes in wind direction shift the path of these advective streaks, which when passing through an offshore wind farm are found to produce large fluctuations in wind power. Implications of these coastline effects on the accurate modelling and forecasting of offshore wind conditions, as well as damage risk to the turbine, are discussed.

  8. Quantifying the hurricane catastrophe risk to offshore wind power.

    PubMed

    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.

  9. EARTHQUAKE HAZARDS IN THE OFFSHORE ENVIRONMENT.

    USGS Publications Warehouse

    Page, Robert A.; Basham, Peter W.

    1985-01-01

    This report discusses earthquake effects and potential hazards in the marine environment, describes and illustrates methods for the evaluation of earthquake hazards, and briefly reviews strategies for mitigating hazards. The report is broadly directed toward engineers, scientists, and others engaged in developing offshore resources. The continental shelves have become a major frontier in the search for new petroleum resources. Much of the current exploration is in areas of moderate to high earthquake activity. If the resources in these areas are to be developed economically and safely, potential earthquake hazards must be identified and mitigated both in planning and regulating activities and in designing, constructing, and operating facilities. Geologic earthquake effects that can be hazardous to marine facilities and operations include surface faulting, tectonic uplift and subsidence, seismic shaking, sea-floor failures, turbidity currents, and tsunamis.

  10. Storage of carbon dioxide in offshore sediments.

    PubMed

    Schrag, Daniel P

    2009-09-25

    The battle to reduce greenhouse gas emissions and prevent the most dangerous consequences of climate change will be waged across multiple fronts, including efforts to increase energy efficiency; efforts to deploy nonfossil fuel sources, including renewable and nuclear energy; and investment in adaptation to reduce the impacts of the climate change that will occur regardless of the actions we take. But with more than 80% of the world's energy coming from fossil fuel, winning the battle also requires capturing CO2 from large stationary sources and storing that CO2 in geologic repositories. Offshore geological repositories have received relatively little attention as potential CO2 storage sites, despite their having a number of important advantages over onshore sites, and should be considered more closely.

  11. Offshore platform structure for artic waters

    SciTech Connect

    Einstabland, T.

    1984-11-27

    An offshore platform structure of the gravity type intended to be installed on a sea bed in artic or corresponding waters. The platform structure comprises a substructure intended to be completely submerged and supported by the sea bed when in installed position, a superstructure extending up from the substructure and up above the sea bed and a deck superstructure supported by the superstructure above the sea level. A fender is provided intended to protect the superstructure against drifting ice and icebergs, the substructure being provided with a preferably horizontal top support slab supporting the fender, the fender being movably arranged on said support slab and comprising a preferably compartmented cylindrical ring-shaped body with a large weight resting preferably freely on the substructure, intended to be arranged apart from the superstructure when in normal position.

  12. Recent advances in offshore pipeline technology

    SciTech Connect

    Bruschi, R.; Vitali, L.

    1994-12-31

    Since the pioneering construction of the TRANSMED pipeline system across the Sicily Channel in the early 80`s, offshore pipeline technology has been progressing towards more and more difficult environments. Now the projects envisaged for the 90`s are venturing far beyond the challenges of the recent past. The scope of this paper is to present the recent research efforts aimed at tackling the main design aspects of the new challenges. Particular attention will be given to the experiences and achievements on the last few years in transmission pipelines across the European Continental Shelf, e.g. in the Central and Southern North Sea and across the Mediterranean Sea. Technologies, tools and purpose developed criteria will be discussed. The performance of current operating pipeline systems will be reviewed and incentives to rationalize design criteria and guidelines will be illustrated.

  13. Troll, Haltenpipe showcase offshore pipelay advances

    SciTech Connect

    Blaker, F.; Gjertveit, E.; Breivik, J.

    1996-07-29

    Pipelines installed on the Norwegian continental shelf represent current offshore pipeline installation technology for pipe size (up to 40 in.), water depth (to 540 m) distance between pigging stations (up to 800 km), and complex seabed intervention and landfall construction. Furthermore, the number of deepwater pipelines worldwide has triggered significant advances in the development of pipeline repair. The Troll oil pipeline and Haltenpipe projects faced technical challenges: irregular seabed, conditions requiring highly accurate mapping, careful routing, free-span design, seabed preparation works, and special low-tension lay techniques. The two projects, therefore, have in many ways benefited from each other and been run practically as one large integrated project. The paper describes the design, route preparation, and installation for both pipelines.

  14. Offshore wind farm electrical cable layout optimization

    NASA Astrophysics Data System (ADS)

    Pillai, A. C.; Chick, J.; Johanning, L.; Khorasanchi, M.; de Laleu, V.

    2015-12-01

    This article explores an automated approach for the efficient placement of substations and the design of an inter-array electrical collection network for an offshore wind farm through the minimization of the cost. To accomplish this, the problem is represented as a number of sub-problems that are solved in series using a combination of heuristic algorithms. The overall problem is first solved by clustering the turbines to generate valid substation positions. From this, a navigational mesh pathfinding algorithm based on Delaunay triangulation is applied to identify valid cable paths, which are then used in a mixed-integer linear programming problem to solve for a constrained capacitated minimum spanning tree considering all realistic constraints. The final tree that is produced represents the solution to the inter-array cable problem. This method is applied to a planned wind farm to illustrate the suitability of the approach and the resulting layout that is generated.

  15. Bit modifications save money, time offshore Sarawak

    SciTech Connect

    1996-12-01

    In early 1994, Baram Delta Operations (BDO) launched an aggressive development drilling program on its Baram and Baronia fields, two of nine structures discovered offshore Lutong, Sarawak, malaysia, and the SK 15 concession at the mouth of the Baram River. The often unpredictable geology of the Baram Delta Province has caused numerous development drilling problems, particularly in the deeper wells. Chief among the drilling problems are stuck pipe, lost circulation, and abrasion-induced drillstring washouts. Owing to its complexity and highly troublesome characteristics, the Baram field was selected as the testing ground for most of the experiments directed at improving efficiencies in the development drilling program. The knowledge gained in the Baram experiments was subsequently implemented in the younger Baronia field. The paper describes the test and its conclusion.

  16. Underwater wet welding consumables for offshore applications

    SciTech Connect

    Sanchez-Osio, A.; Liu, S.; Olson, D.L.; Ibarra, S.

    1993-12-31

    The use of underwater wet welding for offshore repairs has been limited mainly because of porosity in the resulting welds. With appropriate consumable design, however, it is possible to enhance weld metal toughness through microstructural refinement and to reduce porosity. New titanium and boron based consumables have been developed with which high toughness acicular ferrite can be produced in underwater wet welds. Titanium, by means of oxide formation, promoted an increase in weld metal acicular ferrite, while boron additions decreased the amount of grain boundary ferrite, further improving the microstructure. Porosity reduction was possible through the addition of calcium carbonate at approximately 13 wt. % in the coating. However, weld metal decarburization also resulted with the addition.

  17. Personnel evacuation apparatus for an offshore platform

    SciTech Connect

    Hunter, A.F.

    1987-04-28

    An apparatus is described for evacuating personnel from an offshore platform in all weather conditions to a position on the ocean surface a safe distance from the platform the apparatus comprising: a boat launching ramp; flotation means; boat means adapted to be supported and launched by the ramp; means for releasably securing the boat means within the ramp means adjacent the entry end; means for releasing the latch means to permit the flotation means to move the launching ramp from its stowed position to a deployed position; and means for releasing the boat securing means, thereby permitting the boat means to slide down the ramp and be launched from the exit end of the ramp onto the surface of the ocean a safe distance from the platform.

  18. Offshore structure and method of sinking same

    SciTech Connect

    Fern, D. T.

    1985-02-05

    An offshore structure and a method of skinking it to the sea bed. In accordance with one aspect of this invention, the structure is sunk asymmetrically by first sinking a first end portion thereof and then sinking the other end portion. The first end portion is sunk by ballasting it while the other end portion is closed to ballast. The structure is provided with sufficient water plane area while sinking each end portion to maintain stability during the sinking process. In accordance with another aspect of this invention, at least two spaced-apart piles are provided at the end corresponding to the first end portion to absorb the force of impact with the sea bed and to maintain a skirt on the structure out of contact with the sea bed until both ends of the structure have been sunk to the sea bed.

  19. Capability maturity models for offshore organisational management.

    PubMed

    Strutt, J E; Sharp, J V; Terry, E; Miles, R

    2006-12-01

    The goal setting regime imposed by the UK safety regulator has important implications for an organisation's ability to manage health and safety related risks. Existing approaches to safety assurance based on risk analysis and formal safety assessments are increasingly considered unlikely to create the step change improvement in safety to which the offshore industry aspires and alternative approaches are being considered. One approach, which addresses the important issue of organisational behaviour and which can be applied at a very early stage of design, is the capability maturity model (CMM). The paper describes the development of a design safety capability maturity model, outlining the key processes considered necessary to safety achievement, definition of maturity levels and scoring methods. The paper discusses how CMM is related to regulatory mechanisms and risk based decision making together with the potential of CMM to environmental risk management.

  20. Offshore Deformation Front in Miaoli Area

    NASA Astrophysics Data System (ADS)

    Chiang, P.; Gwo-shyn, S.

    2015-12-01

    Taiwan is located at the junction of the Eurasian Plate and the Philippine Sea Plate. It's because arc-continent collision occurs in the western Taiwan, resulting in the orogeny has formed a fold-and-thrust belt, developing a series of thrusts aligned in north-south direction. The thrust faults, locating in the central island, are the oldest and have almost inactive. Westward to the island, the faults become younger, dipping angles are smaller, and motions were stronger. On the west side, the foot of the Taiwan Western Foothill is considered the youngest thrust faults located along west Taiwan. Scholars recognized them as so-called the deformation front, and they also believed that the deformation front is located in between the compressive terrain uplifted area and the extensional subsidence area. Therefore, this front line is on the boundary of two different tectonic zones. This study investigates the trace of the deformation front in Miaoli area. Previous studies suggested that the west side of Miaoli collision zone should be fault-bounded, and is located in the seabed. However, in the geological map, there is no geologic evidence that appears on land and so-called active faults related with this deformation front. In the near coast seafloor, according to the reflection earthquakes data from the Institute of Oceanography of NTU, we can only see the offshore strata have been uplifted, and the data also shows that seabed is only covered by thin layer of sediments. This study indicates that in offshore place within three kilometers, shallow formations show a special layer of slime which was extruded to be corrugated transversely. Accordingly, we believe that this slime layer should be pressurized and filled with muddy water. Such features should be further investigated with other geological and geophysical survey data to check if they belong to the structural product of the deformation front.

  1. Beyond offshoring: assess your company's global potential.

    PubMed

    Farrell, Diana

    2004-12-01

    In the past few years, companies have become aware that they can slash costs by offshoring: moving jobs to lower-wage locations. But this practice is just the tip of the iceberg in terms of how globalization can transform industries, according to research by the McKinsey Global Institute (MGI). The institute's yearlong study suggests that by streamlining their production processes and supply chains globally, rather than just nationally or regionally, companies can lower their costs-as we've seen in the consumer-electronics and PC industries. Companies can save as much as 70% of their total costs through globalization--50% from offshoring, 5% from training and business-task redesign, and 15% from process improvements. But they don't have to stop there. The cost reductions make it possible to lower prices and expand into new markets, attracting whole new classes of customers. To date, however, few businesses have recognized the full scope of performance improvements that globalization makes possible, much less developed sound strategies for capturing those opportunities. In this article, Diana Farrell, director of MGI, offers a step-by-step approach to doing both things. Among her suggestions: Assess where your industry falls along the globalization spectrum, because not all sectors of the economy face the same challenges and opportunities at the same time. Also, pay attention to production, regulatory, and organizational barriers to globalization. If any of these can be changed, size up the cost-saving (and revenue-generating) opportunities that will emerge for your company as a result of those changes. Farrell also defines the five stages of globalization-market entry, product specialization, value chain disaggregation, value chain reengineering, and the creation of new markets-and notes the different levers for cutting costs and creating value that companies can use in each phase.

  2. Time Dependent Fluid Occurrence Offshore Taiwan

    NASA Astrophysics Data System (ADS)

    Chen, L.

    2010-12-01

    Time Dependent Fluid Occurrence Offshore Taiwan Liwen Chenab, Wu-Cheng Chia, Char-Shine Liuc (mma@earth.sinica.edu.tw)(wchi@gate.sinica.edu.tw) ; aInstitute of Earth Sciences, Academia Sinica, Taipei, Taiwan bInstitute of Geosciences, National Taiwan University, Taipei, Taiwan ; cInstitute of Oceanography, National Taiwan University, Taipei, Taiwan Earthquake-induced groundwater flows have been observed recently. Such fluid flow might temporarily change the temperature field in the crust. Here we used seismically detected gas hydrate under seafloor to study the temperature fields at a few hundred meters subbottom depth before, and after the 2006 Henchuan earthquake (Mw7.0). We used the hydrate-related bottom-simulating-reflector (BSR) in seismic profiles to study the effects of gas/fluid migration on the BSR attributes. We have conducted two seismic experiments before and after the earthquake across the same transects near the hypocenter of the earthquake using similar air gun arrays and streamers. By analyzing this unique dataset, we found enhanced BSR reflectivity in average after the earthquake (~0.03), but the Sea-floor reflectivity is very similar (~0.5). We also found changed amplitudes versus offset (AVO) in the dataset (the gradient of reflection coefficient versus the angles was ~-0.34). We interpret these results as a consequence of earthquake-induced gas and fluid migration, bringing the gases underneath the BSR, thus the enhanced reflection coefficients. Next we will explore new methods to use the BSR as a flow meter. Using time-dependent seismic attribute analyses across transects before and after a large earthquake, we found strong evidences of earthquake-related fluid migrations and possibly associated temperature perturbations. This is among the first studies to document such feature in the offshore region.

  3. Proceedings of the fifth international offshore mechanics and Arctic engineering (OMAE) symposium. Volume 4

    SciTech Connect

    Lunardini, V.J.; Wang, Y.S.; Ayorinde, O.A.; Sodhi, D.V.

    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.

  4. California State Waters Map Series: offshore of San Francisco, California

    USGS Publications Warehouse

    Cochrane, Guy R.; Johnson, Samuel Y.; Dartnell, Peter; Greene, H. Gary; Erdey, Mercedes D.; Golden, Nadine E.; Hartwell, Stephen R.; Endris, Charles A.; Manson, Michael W.; Sliter, Ray W.; Kvitek, Rikk G.; Watt, Janet Tilden; Ross, Stephanie L.; Bruns, Terry R.; Cochrane, Guy R.; Cochran, Susan A.

    2015-01-01

    Circulation over the continental shelf in the Offshore of San Francisco map area is dominated by the southward-flowing California Current, an eastern limb of the North Pacific Gyre that flows from Oregon to Baja California. At its midpoint offshore of central California, the California Current transports subarctic surface waters southeastward, about 150 to 1,300 km from shore. Seasonal northwesterly winds that are, in part, responsible for the California Current, generate coastal upwelling. Ocean temperatures offshore of central California have increased over the past 50 years, driving an ecosystem shift from the productive subarctic regime towards a depopulated subtropical environment.

  5. Offshore asphaltene and wax deposition: Problems/solutions

    SciTech Connect

    Leontaritis, K.J. |

    1996-05-01

    Many production facilities around the world suffer from either asphaltene or wax deposition. Such problems seriously threaten economic production from many offshore reservoirs due to the high cost of remedial measures. Offshore facilities are especially susceptible to such deposition for a number of reasons. This article presents ideas and methodologies on how to predict, diagnose, prevent, or mitigate problems caused by organic deposition in offshore production facilities. In one facility where these ideas were put to use, despite the debilitating magnitude of the problems, the field has been produced for more than 14 years with minimum environmental impact. Principal conclusions developed are discussed in this paper.

  6. NREL Software Aids Offshore Wind Turbine Designs (Fact Sheet)

    SciTech Connect

    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.

  7. Assessment of Offshore Wind System Design, Safety, and Operation Standards

    SciTech Connect

    Sirnivas, S.; Musial, W.; Bailey, B.; Filippelli, M.

    2014-01-01

    This report is a deliverable for a project sponsored by the U.S. Department of Energy (DOE) entitled National Offshore Wind Energy Resource and Design Data Campaign -- Analysis and Collaboration (contract number DE-EE0005372; prime contractor -- AWS Truepower). The project objective is to supplement, facilitate, and enhance ongoing multiagency efforts to develop an integrated national offshore wind energy data network. The results of this initiative are intended to 1) produce a comprehensive definition of relevant met-ocean resource assets and needs and design standards, and 2) provide a basis for recommendations for meeting offshore wind energy industry data and design certification requirements.

  8. 26th annual offshore technology conference, 1994 proceedings

    SciTech Connect

    Not Available

    1994-01-01

    This conference is the world's largest and most comprehensive technical conference and exhibition on offshore resource development. The four Proceedings volumes have been separated by major areas of interest, with relative sessions included in each volume. This Volume 3 contains information relative to offshore platforms and marine system designs. It describes both the installation and decommissioning of offshore platforms, retrofitting platforms to meet current safety standards, and technology assessments for both drilling and platform designs. Papers are also provided which describe maintenance and repair technologies for damages to platform.

  9. Evaluation of offshore penetration tests at El Palito refinery, Venezuela

    SciTech Connect

    Rodriguez, J.I.; Simone, A.; Tichatscheck, C.; Boggess, R.

    1995-12-01

    Data from an offshore study in the western part of Venezuela are presented in terms of the penetration test data and liquefaction evaluation. Two types of penetration test were performed (SPT and DCPT) and the results of each are compared. This was made possible by the comparison testing performed at two different locations where the separation between boreholes with different penetration tests was small enough to allow direct comparison of the results. To the authors` knowledge, this is the first time that dynamic cone measurements have been made in an offshore environment. Comments in relation to the evaluation of liquefaction resistance based on the results of the offshore penetration testing are made.

  10. Evolution of the central Walvis Basin / offshore NW Namibia - balancing onshore erosion and offshore sedimentation

    NASA Astrophysics Data System (ADS)

    Henk, A.; Kukulus, M.; Junker, R.

    2003-04-01

    Rifting and break-up of Gondwana in the Late Jurassic / Early Cretaceous led to formation of the South Atlantic. One of the associated passive margins, the Walvis Basin in NW Namibia, is used as a case study to investigate the mass and process balances which link uplift and erosion onshore to contemporaneous subsidence and sedimentation offshore. One of the main objectives of the project is to gain quantitative insights into the feedback mechanisms between surface processes and lithospheric processes during passive margin evolution. Modeling concentrates on a traverse across the central Walvis Basin and adjacent onshore areas. Mass balancing requires a reconstruction of the denudation history and the volumes eroded onshore as well as a quantification of the contemporaneous sedimentary record preserved offshore. In the offshore parts of the study area, seismic sections and well data are available to constrain the post-rift evolution of the Walvis basin. However, as none of the exploration wells has yet reached syn-rift deposits, the early margin evolution has to remain speculative. In the onshore part of the traverse, field evidence and published apatite fission track data are used to reconstruct the erosion history. Comparison of the eroded and deposited volumes and masses, respectively, reveals a misfit of about 50 %, i.e. only half of the sediments observed offshore can be attributed to nearby source areas onshore. This result is supported by provenance analysis on cuttings from an offshore well which indicate that a substantial part of the detritus was derived from sources to the south and transported to the central Walvis Basin by coast-parallel currents. Sediment supply rates derived from reconstruction of the onshore erosion history and subsidence rates based on lithospheric cooling models together with global sea level changes are then used to model quantitatively deposition and stratigraphic architectures of the post-rift succession in the central Walvis

  11. Effects of Super Strom Sandy on Depositional Environments Offshore Long Island, New York

    NASA Astrophysics Data System (ADS)

    Hosseini, P.; McHugh, C. M.; Christensen, B. A.; Dutton, J.; Brownawell, B.; Gurung, D.

    2013-12-01

    storm. Si and Ca weight percentages range up to 33.9 and 2.47 respectively and correlate with the amount of sand in the samples. Previous studies have shown that Al is an indication of fine grain sediments. We found higher Al concentrations in the Bays and offshore but not in Jones inlet suggestive of rapid transport of fine grains offshore. The heavy elements Cu and Pb have very high concentrations up to 247.6 ppm and 185.8 ppm, respectively. The highest are near the Bay Park Sewage Treatment Plant and offshore. These very high concentrations may have resulted from sewage overflow. The Bay Park Sewage Treatment Plant was down for about 44 days after Sandy Storm. In addition, Zn up to 314.9 ppm measured in the Middle Bay and Jones inlet, could have resulted from urban-runoff caused by the storm. Sandy was catastrophic and resulted in significant erosion and beach overwash. The storm surge brought coarse sediment inland modifying channel and inlet depth. But most damaging was the seaward surge that brought contaminants offshore. The storm lasted a couple of days but its damaging effects to depositional environments persisted for at least four months after the event.

  12. 12. OFFSHORE VIEW OF PIER, LOOKING EAST, SHOWING LIFEGUARD TOWER ...

    Library of Congress Historic Buildings Survey, Historic Engineering Record, Historic Landscapes Survey

    12. OFFSHORE VIEW OF PIER, LOOKING EAST, SHOWING LIFEGUARD TOWER AND 2ND TEE (CENTER), REFUGE BAY (RIGHT) - Huntington Beach Municipal Pier, Pacific Coast Highway at Main Street, Huntington Beach, Orange County, CA

  13. 14. OFFSHORE VIEW OF PIER, LOOKING SOUTHEAST, SHOWING (LEFTRIGHT) PUMPHOUSE, ...

    Library of Congress Historic Buildings Survey, Historic Engineering Record, Historic Landscapes Survey

    14. OFFSHORE VIEW OF PIER, LOOKING SOUTHEAST, SHOWING (LEFT-RIGHT) PUMPHOUSE, TACKLE BOX, RESTROOMS ON 3RD TEE - Huntington Beach Municipal Pier, Pacific Coast Highway at Main Street, Huntington Beach, Orange County, CA

  14. “Open Hatch” Tour of Offshore Wind Buoy

    SciTech Connect

    Zayas, Jose

    2015-09-18

    Wind and Water Power Technologies Office Director, Jose Zayas gives a behind the scenes tour of the AXYS WindSentinel research buoy, which uses high-tech instruments to measure conditions for potential offshore wind energy development.

  15. Use of a mobile diving support vessel, Offshore California

    SciTech Connect

    Carroll, J.P.

    1983-03-01

    The Blue Dolphin is a converted workboat with a one-atmosphere manipulator bell diving system. It provides diving support for Chevron's offshore drilling program. This support includes underwater inspection, repair and salvage.

  16. The offshore drilling contract--operator and contractor perspectives

    SciTech Connect

    Rankin, M.D.; Richardson, D.R.

    1983-02-01

    This paper reports the results of a survey conducted as a means of accessing the factors which most often constitute points of conflict between operators and drilling contractors during offshore drilling contract negotiations.

  17. A wind chart to characterize potential offshore wind energy sites

    NASA Astrophysics Data System (ADS)

    del Jesus, F.; Menéndez, M.; Guanche, R.; Losada, I. J.

    2014-10-01

    Offshore wind industry needs to improve wind assessment in order to decrease the uncertainty associated to wind resource and its influence on financial requirements. Here, several features related to offshore wind resource assessment are discussed, such as input wind data, estimation of long-term and extreme wind statistics, the wind profile and climate variations. This work proposes an analytical method to characterize wind resource. Final product is a wind chart containing useful wind information that can be applied to any offshore sites. Using long-term time series of meteorological variables (e.g. wind speed and direction at different heights), the methodology is applied to five pilot sites in different countries along European Atlantic corridor and it is used to describe and compare offshore wind behavior.

  18. 46 CFR 131.320 - Safety orientation for offshore workers.

    Code of Federal Regulations, 2012 CFR

    2012-10-01

    ... informing each offshore worker of— (1) In general terms, emergency and evacuation procedures; (2) Locations of emergency exits and of embarkation areas for survival craft; (3) Locations of stowage...

  19. OUTSHORE Maturity Model: Assistance for Software Offshore Outsourcing Decisions

    NASA Astrophysics Data System (ADS)

    Mäkiö, Juho; Betz, Stafanie; Oberweis, Andreas

    Offshore outsourcing software development (OOSD) is increasingly being used by the Software Industry. OOSD is a specific variant of Geographically Distributed Software Developmentdistributed software development (GDSD). Compared to the traditional mode of software development (i.e., in-house) GDSD is more edgy and puts at risk the attainment of the expected results. Although the failure of an offshore outsourcing software project may be caused by a variety of factors, one major complication is geographical distance. Consequently we argue that risk avoidance in outshore software development should be undertaken well in advance of the development launch. This could be done by testing the offshore outsourcing relevance of each software project and then the offshore outsourcing company involved. With this in mind we have developed the OUTSHORE Maturity Modeloutshore maturity model - OMM.

  20. Understanding Potential Climate Variability Impacts on the Offshore Energy Industry

    NASA Astrophysics Data System (ADS)

    Stear, J.

    2014-12-01

    Climate variability may have important implications for the offshore energy industry. Scenarios of increased storm activity and changes in sea level could require the retrofit of existing offshore platforms and coastal infrastructure, the decommissioning of facilities for which upgrade or relocation is not economically viable, and the development of new methods and equipment which are removed from or less sensitive to environmental loads. Over the past years the energy industry has been actively involved in collaborative research efforts with government and academia to identify the potential changes in the offshore operating environment, and corresponding risk implications. This presentation will review several of these efforts, and for several of the hypothetical climate variation scenarios, review the potential impacts on and possible mitigations for offshore and coastal energy infrastructure and operations.

  1. Review of Operational Challenges and Changing Conditions associated with Offshore Submerged Vertical Pumping Station

    NASA Astrophysics Data System (ADS)

    Samsudin, M. L.; Munisamy, K. M.; Thangaraju, S. K.

    2015-09-01

    Cooling water system is one of the essential auxiliary systems for a power generating plant. The decision to have an offshore pumping station, instead of onshore station, may have been driven by the scarcity in land area or for direct water supply access. However, the design has several disadvantages such as tendency for sediment intakes, limited condition monitoring activities and inaccessible sump for maintenance and modification. The paper reviews and lists several potential operational challenges and difficulties experienced with the offshore station. The influences of changing conditions such as varying seawater tide level, clogged intake screen, intake sedimentation issues and marine fouling on the sump walls and structures, are discussed and mitigating solutions are identified. While it is impractical to conduct physical model test for studying flow pattern, the CFD method can be an attractive assessment tools. In addition to this, a review of plant operating parameters can assist in identifying flow anomalies to anticipate potential deterioration. Finally the difficulty in incorporating the solutions to vortex and sediment problems within the sump is highlighted with preference for those which can be managed by limited access or those which are moveable with the vertical pump.

  2. Offshore Wind Balance-of-System Cost Modeling

    SciTech Connect

    Maness, Michael; Stehly, Tyler; Maples, Ben; Mone, Christopher

    2015-09-29

    Offshore wind balance-of-system (BOS) costs contribute up to 70% of installed capital costs. Thus, it is imperative to understand the impact of these costs on project economics as well as potential cost trends for new offshore wind technology developments. As a result, the National Renewable Energy Laboratory (NREL) developed and recently updated a BOS techno-economic model using project cost estimates created from wind energy industry sources.

  3. 2014–2015 Offshore Wind Technologies Market Report

    SciTech Connect

    Smith, Aaron; Stehly, Tyler; Musial, Walter

    2015-09-30

    This report provides data and analysis to assess the status of the U.S. offshore wind industry through June 30, 2015. It builds on the foundation laid by the Navigant Consortium, which produced three market reports between 2012 and 2014. The report summarizes domestic and global market developments, technology trends, and economic data to help U.S. offshore wind industry stakeholders, including policymakers, regulators, developers, financiers, and supply chain participants, to identify barriers and opportunities.

  4. Evaluation of offshore stocking of Lake Trout in Lake Ontario

    USGS Publications Warehouse

    Lantry, B.F.; O'Gorman, R.; Strang, T.G.; Lantry, J.R.; Connerton, M.J.; Schanger, T.

    2011-01-01

    Restoration stocking of hatchery-reared lake trout Salvelinus namaycush has occurred in Lake Ontario since 1973. In U.S. waters, fish stocked through 1990 survived well and built a large adult population. Survival of yearlings stocked from shore declined during 1990–1995, and adult numbers fell during 1998–2005. Offshore stocking of lake trout was initiated in the late 1990s in response to its successful mitigation of predation losses to double-crested cormorants Phalacrocorax auritus and the results of earlier studies that suggested it would enhance survival in some cases. The current study was designed to test the relative effectiveness of three stocking methods at a time when poststocking survival for lake trout was quite low and losses due to fish predators was a suspected factor. The stocking methods tested during 2000–2002 included May offshore, May onshore, and June onshore. Visual observations during nearshore stockings and hydroacoustic observations of offshore stockings indicated that release methods were not a direct cause of fish mortality. Experimental stockings were replicated for 3 years at one site in the southwest and for 2 years at one site in the southeast. Offshore releases used a landing craft to transport hatchery trucks from 3 to 6 km offshore out to 55–60-m-deep water. For the southwest site, offshore stocking significantly enhanced poststocking survival. Among the three methods, survival ratios were 1.74 : 1.00 : 1.02 (May offshore : May onshore : June onshore). Although not statistically significant owing to the small samples, the trends were similar for the southeast site, with survival ratios of 1.67 : 1.00 : 0.72. Consistent trends across years and sites indicated that offshore stocking of yearling lake trout during 2000–2002 provided nearly a twofold enhancement in survival; however, this increase does not appear to be great enough to achieve the 12-fold enhancement necessary to return population abundance to restoration

  5. Tertiary evolution of the northeastern Venezuela offshore

    NASA Astrophysics Data System (ADS)

    Ysaccis B., Raul

    1998-12-01

    On the northeastern offshore Venezuela, the pre-Tertiary basement consists of a deeply subducted accretionary complex of a Cretaceous island arc system that formed far to the west of its present location. The internal structure of this basement consists of metamorphic nappes that involve passive margin sequences, as well as oceanic (ophiolitic) elements. The Tertiary evolution of the northeastern Venezuela offshore is dominated by Paleogene (Middle Eocene-Oligocene) extension and Neogene transtension, interrupted by Oligocene to Middle Miocene inversions. The Paleogene extension is mainly an arc-normal extension associated with a retreating subduction boundary. It is limited to the La Tortuga and the La Blanquilla Basins and the southeastern Margarita and Caracolito subbasins. All of these basins are farther north of and not directly tied to the El Pilar fault system. On a reconstruction, these Paleogene extensional systems were located to the north of the present day Maracaibo Basin. By early Miocene the leading edge of the now overall transpressional system had migrated to a position to the north of the Ensenada de Barcelona. This relative to South America eastward migration is responsible for the Margarita strike-slip fault and the major inversions that began during the Oligocene and lasted into the Middle Miocene. The Bocono-El Pilar-Casanay-Warm Springs and the La Tortuga-Coche-North Coast fault systems are exclusively Neogene with major transtension occurring during the Late Miocene to Recent and act independently from the earlier Paleogene extensional system. They are responsible for the large Neogene transtensional basins of the area: the Cariaco trough, the Northern Tuy-Cariaco and the Paria sub-basins, and the Gulf of Paria Basin. This latest phase is characterized by strain-partitioning into strike slip faults, a transtensional northern domain and a transpressional southern domain that is responsible for the decollement tectonics and/or inversions of the

  6. Conceptual Model of Offshore Wind Environmental Risk Evaluation System

    SciTech Connect

    Anderson, Richard M.; Copping, Andrea E.; Van Cleve, Frances B.; Unwin, Stephen D.; Hamilton, Erin L.

    2010-06-01

    In this report we describe the development of the Environmental Risk Evaluation System (ERES), a risk-informed analytical process for estimating the environmental risks associated with the construction and operation of offshore wind energy generation projects. The development of ERES for offshore wind is closely allied to a concurrent process undertaken to examine environmental effects of marine and hydrokinetic (MHK) energy generation, although specific risk-relevant attributes will differ between the MHK and offshore wind domains. During FY10, a conceptual design of ERES for offshore wind will be developed. The offshore wind ERES mockup described in this report will provide a preview of the functionality of a fully developed risk evaluation system that will use risk assessment techniques to determine priority stressors on aquatic organisms and environments from specific technology aspects, identify key uncertainties underlying high-risk issues, compile a wide-range of data types in an innovative and flexible data organizing scheme, and inform planning and decision processes with a transparent and technically robust decision-support tool. A fully functional version of ERES for offshore wind will be developed in a subsequent phase of the project.

  7. How to reduce sigma in offshore pipe fabrications

    SciTech Connect

    Still, J.

    1999-11-01

    The use of stainless steel for offshore oil and gas applications has increased dramatically over the last 20 years. Stainless steels fall into a number of categories depending on the composition and microstructure formed after heat treatment. Selection of pipe materials for offshore applications is dependent on the product to be carried. Austenitic and ferritic/austenitic (duplex) stainless steels are commonly used for process and utility piping systems offshore, whereas martensitic and ferritic are restricted to specific applications. Reference to sigma in offshore welding specifications has been mixed. Previously, the identification of sigma was wither not quoted or stated as being not permitted. However, achieving zero sigma content in duplex stainless steel welds and HAZs is questionable, particularly in steels and weld metals having a high chromium and molybdenum content. In the real world, how does one ensure that production welds performed offshore are free of sigma--or have a limited volume fraction of it--without having to constantly monitor welder performance? This review examines the difficulties and controls required to limit the presence of sigma in austenitic and duplex weld metals and HAZs associated with offshore piping and pipeline systems. Materials described here are those manufactured using contemporary steel making processes.

  8. Plantings on the forest reserves of Hawaii, 1910-1960

    Treesearch

    Roger G. Skolmen

    1980-01-01

    This is a listing of the recorded plantings made by the Hawaii division of forestry between the years 1910 and 1960 on government and privately-owned lands within the forest reserves and on certain islands offshore of Oahu. The listing provides: scientific and common names of each plant, type of plant, nomenclature reference, suitability of the plant for Hawaii’s...

  9. Anatomy of La Jolla submarine canyon system; offshore southern California

    USGS Publications Warehouse

    Paull, C.K.; Caress, D.W.; Lundsten, E.; Gwiazda, R.; Anderson, K.; McGann, M.; Conrad, J.; Edwards, B.; Sumner, E.J.

    2013-01-01

    An autonomous underwater vehicle (AUV) carrying a multibeam sonar and a chirp profiler was used to map sections of the seafloor within the La Jolla Canyon, offshore southern California, at sub-meter scales. Close-up observations and sampling were conducted during remotely operated vehicle (ROV) dives. Minisparker seismic-reflection profiles from a surface ship help to define the overall geometry of the La Jolla Canyon especially with respect to the pre-canyon host sediments. The floor of the axial channel is covered with unconsolidated sand similar to the sand on the shelf near the canyon head, lacks outcrops of the pre-canyon host strata, has an almost constant slope of 1.0° and is covered with trains of crescent shaped bedforms. The presence of modern plant material entombed within these sands confirms that the axial channel is presently active. The sand on the canyon floor liquefied during vibracore collection and flowed downslope, illustrating that the sediment filling the channel can easily fail even on this gentle slope. Data from the canyon walls help constrain the age of the canyon and extent of incision. Horizontal beds of moderately cohesive fine-grained sediments exposed on the steep canyon walls are consistently less than 1.232 million years old. The lateral continuity of seismic reflectors in minisparker profiles indicate that pre-canyon host strata extend uninterrupted from outside the canyon underneath some terraces within the canyon. Evidence of abandoned channels and point bar-like deposits are noticeably absent on the inside bend of channel meanders and in the subsurface of the terraces. While vibracores from the surface of terraces contain thin (< 10 cm) turbidites, they are inferred to be part of a veneer of recent sediment covering pre-canyon host sediments that underpin the terraces. The combined use of state of the art seafloor mapping and exploration tools provides a uniquely detailed view of the morphology within an active submarine canyon.

  10. The significance of gas for offshore operations

    NASA Astrophysics Data System (ADS)

    Sills, G. C.; Wheeler, S. J.

    1992-10-01

    The purpose of this paper is to present an overview of the physical behaviour of a seabed containing undissolved gas in the light of laboratory simulations undertaken at Oxford, Belfast and Sheffield Universities. This physical behaviour is significant for offshore operations in several ways. Gas may exist in high pressure pockets, trapped beneath low permeability clays, which form a blow out hazard during drilling. In fine-grained soils, it exists in voids distributed through the soil, at pressures only a little greater than te ambient water pressure. In this condition, it is unlikely to induced casastrophic failure, but will affect the foundation behaviour through changes in compressibility and strength. In sands, gas may be present in pores between particles, replacing water but not affecting the soil structure. There are common features in all these cases, in that the gas-water interaction occurs through surface tension, acting in menisci whose curvature is affected by the soil particle sizes, shapes and packing. These menisci determine the differences between gas and water pressure that may exist in the soil. Results are presented to show that the compressibility and undrained shear strength of a fine-grained soil are reduced by the presence of gas in a predictable manner, with a similar conclusion for the undrained strength of a gassy sand.

  11. Analyzing, solving offshore seawater injection problems

    SciTech Connect

    Al-Rubale, J.S.; Muhsin, A.A.; Shaker, H.A.; Washash, I.

    1988-01-01

    Changes in seawater treatment, necessary cleaning of injection lines, and modifying well completion practices have reduced injection well plugging on pressure maintenance projects operated by Abu Dhabi Marine Operating Co., (Adma-Opco) in Zakum and Umm Shaif fields, offshore Abu Dhabi, in the Arabian Gulf. Plugging was caused primarily by iron sulfide and corrosion products that were displaced down hole after being formed in the water distribution system. These materials, in turn, resulted from O/sub 2/ inadvertently entering the injection system where it combined with corrosive H/sub 2/S generated by sulfate-reducing bacteria. The problem was further compounded by debris peeling from the interior of well tubulars, a high solids content of brine used to complete injectors, and slime formation in injection pipe lines. Acidizing wells proved a quick method for partially restoring injectivity, but a continuing concerted effort is being made to achieve more permanent results by eliminating the O/sub 2/ and H/sub 2/S, which are at the root of the difficulty.

  12. Wave loading on offshore structures: A review

    SciTech Connect

    Standing, R.G.

    1984-01-01

    Man has worked close to the sea for many centuries, exploiting its resources and sailing his ships across it. In the process he has experienced, and gained respect for, the enormous forces exerted by sea waves during a violent storm or tsunami. Occasionally a coastal village is devastated; more often ships, harbours, lighthouses and coastal defences are wrecked. The long-term damage may be less dramatic, but no less destructive: sea waves can gradually erode a structure or its foundations, and cause cracking, ultimately leading to failure. Offshore engineering for the oil and gas industry started before World War II, and progress since then has been rapid. Early steel jacket structures were in water depths of 5-15m. By the early 1960s the water depth had reached 100m, and in 1978 the Cognac platform was completed in the Gulf of Mexico at a depth exceeding 300m. Rapidly increasing costs, however, have forced designers to examine radically new methods of production for deeper waters. A range of compliant structures, including tethered buoyant platforms and guyed towers, has been proposed.

  13. Reconnaissance of gas plumes offshore Sado Island

    NASA Astrophysics Data System (ADS)

    Fukuoka, H.; Aoyama, C.; Watanabe, H.; Komatsu, H.; Tajima, H.

    2016-12-01

    In late March 2016, an exploration of gas plume offshore Sado Island was conducted to know about their distribution, especially from shallow sea floor of 150 - 400 m. In the Japan Sea, more than thousand of gas plumes had been found in the recent 3 years. Most of them are supposed to be originated from dissolution of submarine methane hydrate on the sea floor surface and/or shallow subsurface. Comparison of the plumes and flux observed by multi-beam sonar and fish-finder record between 2016 and 2013 shows that both of the distribution and the gas flux, evaluated from intensity in echogram has changed. Sub-bottom scanner imagery suggest that the apparently sub-surface gas-chimney-like structure was observed at as many sites. Unlike large-scale seafloor surface type methane-hydrate site, those subsurface chimney did not reach the seafloor, possibly because the temperature-pressure condition was not satisfied on the surface. Authors have sampled sea water near the vent of those plume gas, depressurized to extract dissolved air bubbles, which was subjected to chemical analysis. Atmospheres around above large-scale plume which looks reaching to the sea surface was collected and analyzed. Results show that the air collected from the seafloor near the vent contains slightly higher concentration of methane (CH4) and carbon dioxide (CO2).

  14. Psychosocial burden among offshore drilling platform employees.

    PubMed

    Leszczyńska, Irena; Jeżewska, Maria

    2010-01-01

    Conditions of work on offshore drilling platforms are particularly hard due to extreme environmental situations created both by nature and technological processes. Oil drilling workers employed on the open sea are potentially exposed to permanently high stress. Apart from the obvious objective factors affecting drilling platform employees, a great role in the general work-related stress level is played by the working conditions and work-related psychosocial factors, defined according to Karask's concept as demands, control, and social support. A total of 184 drill platform workers were examined using objective and subjective research methods. The level of subjective stress among drilling platform workers is lower than the level of objective stress and the stress resulting from prognoses related with specificity of work in extremely hard conditions (audit). The examinations of drilling platform workers reveal a positive role of stress in psychological adaptation, being a special case of the "work ethos" and attachment to the firm. In such investigations of work-related stress on drilling platforms, which are very specific workplaces, a multi-aspect character, sociological and economic aspects, organizational culture conditions in the firm, and a tendency to conceal ailments and the stress experienced should be taken into account. It is important to apply measures referring to at least three different types of evidence (objective demands, subjective stress, health problems reported). Otherwise, the result reflecting work-related stress may not be objective and far from the truth.

  15. Integrated fire analysis: Application to offshore cases

    SciTech Connect

    Saubestre, V.; Khalfi, J.P.; Paygnard, J.C.

    1995-12-31

    Evaluating thermal loads from different fire scenarios and then response of the structure to these loads covers several fields. It is also difficult and time consuming to implement. Interfaces are necessary between the heat calculation, transient propagation and structural analysis software packages. Nevertheless, it is necessary to design structures to accommodate heat loads in order to meet safety requirements or functional specification. Elf, along with several operators and organizations, have sponsored a research project on this topic. The project, managed by SINTEF NBL (Norwegian Fire Research Laboratory), has delivered an integrated fire analysis software package which can be used to address design-to-fire-related issues in various contexts. The core modules of the integrated package are robust, well validated analysis tools. This paper describes some benefits (technical or cost related) of using an integrated approach to assess the response of a structure to thermal loads. Three examples are described: consequence of an accidental scenario on the living quarters in an offshore complex, necessity for the reinforcement of a flareboom following a change in process, evaluation of the amount of insulation needed for a topside process primary structure. The paper focuses on the importance for the operator to have a practical tool which can lead to substantial cost saving while reducing the uncertainty linked to safety issues.

  16. AORIS. Arctic & Offshore Technical Data System

    SciTech Connect

    Pastoria, G.A.

    1990-05-01

    AORIS is a computerized information system to assist the technology and planning community in the development of Arctic oil and gas resources. In general, AORIS is geographically dependent and, where possible, site specific. The main topics are sea ice, geotechnology, oceanography, meteorology, and Arctic engineering, as they relate to such offshore oil and gas activities as exploration, production, storage, and transportation. AORIS consists of a directory component that identifies 85 Arctic energy-related databases and tells how to access them; a bibliographic/management information system or bibliographic component containing over 8,000 references and abstracts on Arctic energy-related research; and a scientific and engineering information system, or data component, containing over 800 data sets, in both tabular and graphical formats, on sea ice characteristics taken from the bibliographic citations. AORIS also contains much of the so-called grey literature, i.e., data and/or locations of Arctic data collected, but never published. The three components are linked so the user may easily move from one component to another. A generic information system is provided to allow users to create their own information systems. The generic programs have the same query and updating features as AORIS, except that there is no directory component.

  17. Data warehouse manages offshore project information

    SciTech Connect

    1998-05-04

    A data warehouse adopted from the POSC/Caesar data model will manage the life-cycle information for the offshore Norway Aasgard project. The Aasgard project comprises the Midgard, Smorbukk, and Smorbukk South fields, which lie in 780--985 ft of water. A semisubmersible production facility will handle gas exports, scheduled to begin in 2000. Statoil estimates that recoverable reserves in the fields are 7.5 tcf of gas and 780 million bbl of oil. Notia software components include: the Intergraph asset and information management (AIM) product; the P/C PDM and P/C RDL models; a data mapping, translation, and import toolkit; the application programming interface (API); and query and browser clients. Intergraph describes AIM, with its object management framework (OMF) from metaphase technology, as the engine upon which Notia is based. The P/C PDM defines the data terminology and structure. A dictionary of standard petrochemical data items, the P/C RDL, defines the various activities, materials, components, and relationships among these items. The API allows users to develop additional functionality, and the toolkit provides resources for translating and mapping data from existing sources into a neutral format so that administrators can prepopulate the data warehouse. A worldwide web browser client allows users to query the data warehouse and display results in a variety of configurable formats, including virtual data sheets.

  18. Observation and Simulation of Microseisms Offshore Ireland

    NASA Astrophysics Data System (ADS)

    Le Pape, Florian; Bean, Chris; Craig, David; Jousset, Philippe; Donne, Sarah; Möllhoff, Martin

    2017-04-01

    Although more and more used in seismic imagery, ocean induced ambient seismic noise is still not so well understood, particularly how the signal propagates from ocean to land. Between January and September 2016, 10 broadband Ocean Bottom Seismometers (OBSs) stations, including acoustic sensors (hydrophone), were deployed across the shelf offshore Donegal and out into the Rockall Trough. The preliminary results show spatial and temporal variability in the ocean generated seismic noise which holds information about changes in the generation source process, including meteorological information, but also in the geological structure. In addition to the collected OBS data, numerical simulations of acoustic/seismic wave propagation are also considered in order to study the spatio-temporal variation of the broadband acoustic wavefield and its connection with the measured seismic wavefield in the region. Combination of observations and simulations appears significant to better understand what control the acoustic/seismic coupling at the sea floor as well as the effect of the water column and sediments thickness on signal propagation. Ocean generated seismic ambient noise recorded at the seafloor appears to behave differently in deep and shallow water and 3D simulations of acoustic/seismic wave propagation look particularly promising for reconciling deep ocean, shelf and land seismic observations.

  19. Exploration and development offshore southern Vietnam

    SciTech Connect

    Ferguson, A.M. )

    1996-01-01

    In Vietnam, the major focus of the oil and gas industry is on the Nam Con Son and Cuu Long Basins in the southern offshore area. Major licensing first occurred here in the early 1970s. Some exploration was also undertaken by foreign companies in the early 1980s. In 1981, the Soviet Union undertook to assist Vietnam with the development of oil and gas. Vietsovpetro, a joint venture between the then Soviet Oil and Gas Ministry and the Vietnam Oil and Gas Corporation was formed. Most of Vietsovpetro's efforts have been to develop the Bach Ho field in the Cuu Long Basin. This now produces [approximately]130000 bopd. The most recent large scale licensing round occurred in 1992, and, at present, there are over thirty foreign companies active in these Basins' blocks . The first phase of exploration is ending and successes in the Nam Con Son Basin include the BP-led Lan Tay/Lan Do gas discoveries and Pedco's gas discoveries. Mitsubishi's and Petronas' oil discoveries in the Cuu Long Basin have attracted much attention also. The Dai Hung oil field (BHP-operated) has been producing since late 1994. Certain blocks are being appraised, and exploration work is also continuing. Areas of the Cuu Long Basin that were part of Vietsovpetro's acreage, but which may soon be re-licensed, have generated keen interest. The presence of an active upstream industry - exploring, appraising, developing and producing - indicates the emergence of Vietnam as an important East Asian oil and gas player.

  20. Geological characterization of selected offshore sand resources on the OCS, offshore Alabama, for beach nourishment

    USGS Publications Warehouse

    Davies, David J.; Parker, Steven J.; Smith, W. Everett

    1993-01-01

    Most Alabama Gulf and estuarine shoreline is undergoing long-term erosion; threatened shorelines will need programs of replenishment and maintenance if they are to be even temporarily stabilized. Highest priority beach replenishment areas include eastern Dauphin Island; west of Perdido Pass; and west of the inlet at Little Lagoon. There are no appropriate local onshore sand sources available for any such large scale program. Sediments in the Federal waters of the EEZ were evaluated for possible sources of sand for beach nourishment. Six lithofacies were delineated based on sediment characterization, spatial framework, and environment of deposition; of these, two (Clean Sands and Graded Shelly Sands) were deemed to have highest potential as beach nourishment sources. Five offshore target areas were delineated as potential sand sources. Criteria included sand aesthetics, estimated sand volume, and sand distributions. Preliminary environmental analyses included impacts of offshore sand dredging on shelf circulation; on economic activities; and on local benthic biota. Dredging may not significantly alter background wave regimes; however, data are insufficient to model effects of major storms on a modified shelf morphology. Dredging would avoid areas of current economic activity. There would like be little long-term impact on benthic biota in the target areas. Additional work will be required to confirm or refute these preliminary findings.

  1. Terminology Guideline for Classifying Offshore Wind Energy Resources

    SciTech Connect

    Beiter, Philipp; Musial, Walt

    2016-09-01

    The purpose of this guideline is to establish a clear and consistent vocabulary for conveying offshore wind resource potential and to interpret this vocabulary in terms that are familiar to the oil and gas (O&G) industry. This involves clarifying and refining existing definitions of offshore wind energy resource classes. The terminology developed in this guideline represents one of several possible sets of vocabulary that may differ with respect to their purpose, data availability, and comprehensiveness. It was customized to correspond with established offshore wind practices and existing renewable energy industry terminology (e.g. DOE 2013, Brown et al. 2015) while conforming to established fossil resource classification as best as possible. The developers of the guideline recognize the fundamental differences that exist between fossil and renewable energy resources with respect to availability, accessibility, lifetime, and quality. Any quantitative comparison between fossil and renewable energy resources, including offshore wind, is therefore limited. For instance, O&G resources are finite and there may be significant uncertainty associated with the amount of the resource. In contrast, aboveground renewable resources, such as offshore wind, do not generally deplete over time but can vary significantly subhourly, daily, seasonally, and annually. The intent of this guideline is to make these differences transparent and develop an offshore wind resource classification that conforms to established fossil resource classifications where possible. This guideline also provides methods to quantitatively compare certain offshore wind energy resources to O&G resource classes for specific applications. Finally, this guideline identifies areas where analogies to established O&G terminology may be inappropriate or subject to misinterpretation.

  2. Scenario Analysis for Techno-Economic Model Development of U.S. Offshore Wind Support Structures

    SciTech Connect

    Damiani, Rick; Ning, Andrew; Maples, Ben; Smith, Aaron; Dykes, Katherine

    2016-09-22

    Challenging bathymetry and soil conditions of future US offshore wind power plants might promote the use of multimember, fixed-bottom structures (or 'jackets') in place of monopiles. Support structures affect costs associated with the balance of system and operation and maintenance. Understanding the link between these costs and the main environmental design drivers is crucial in the quest for a lower levelized cost of energy, and it is the main rationale for this work. Actual cost and engineering data are still scarce; hence, we evaluated a simplified engineering approach to tie key site and turbine parameters (e.g. water depth, wave height, tower-head mass, hub height and generator rating) to the overall support weight. A jacket-and-tower sizing tool, part of the National Renewable Energy Laboratory's system engineering software suite, was utilized to achieve mass-optimized support structures for 81 different configurations. This tool set provides preliminary sizing of all jacket components. Results showed reasonable agreement with the available industry data, and that the jacket mass is mainly driven by water depth, but hub height and tower-head mass become more influential at greater turbine ratings. A larger sensitivity of the structural mass to wave height and target eigenfrequency was observed for the deepest water conditions (>40 m). Thus, techno-economic analyses using this model should be based on accurate estimates of actual metocean conditions and turbine parameters especially for deep waters. The relationships derived from this study will inform National Renewable Energy Laboratory's offshore balance of system cost model, and they will be used to evaluate the impact of changes in technology on offshore wind lower levelized cost of energy.

  3. Scenario analysis for techno-economic model development of U.S. offshore wind support structures

    DOE PAGES

    Damiani, Rick; Ning, Andrew; Maples, Ben; ...

    2016-09-22

    Challenging bathymetry and soil conditions of future US offshore wind power plants might promote the use of multimember, fixed-bottom structures (or 'jackets') in place of monopiles. Support structures affect costs associated with the balance of system and operation and maintenance. Understanding the link between these costs and the main environmental design drivers is crucial in the quest for a lower levelized cost of energy, and it is the main rationale for this work. Actual cost and engineering data are still scarce; hence, we evaluated a simplified engineering approach to tie key site and turbine parameters (e.g. water depth, wave height,more » tower-head mass, hub height and generator rating) to the overall support weight. A jacket-and-tower sizing tool, part of the National Renewable Energy Laboratory's system engineering software suite, was utilized to achieve mass-optimized support structures for 81 different configurations. This tool set provides preliminary sizing of all jacket components. Results showed reasonable agreement with the available industry data, and that the jacket mass is mainly driven by water depth, but hub height and tower-head mass become more influential at greater turbine ratings. A larger sensitivity of the structural mass to wave height and target eigenfrequency was observed for the deepest water conditions (>40 m). Thus, techno-economic analyses using this model should be based on accurate estimates of actual metocean conditions and turbine parameters especially for deep waters. Finally, the relationships derived from this study will inform National Renewable Energy Laboratory's offshore balance of system cost model, and they will be used to evaluate the impact of changes in technology on offshore wind lower levelized cost of energy.« less

  4. Scenario analysis for techno-economic model development of U.S. offshore wind support structures

    SciTech Connect

    Damiani, Rick; Ning, Andrew; Maples, Ben; Smith, Aaron; Dykes, Katherine

    2016-09-22

    Challenging bathymetry and soil conditions of future US offshore wind power plants might promote the use of multimember, fixed-bottom structures (or 'jackets') in place of monopiles. Support structures affect costs associated with the balance of system and operation and maintenance. Understanding the link between these costs and the main environmental design drivers is crucial in the quest for a lower levelized cost of energy, and it is the main rationale for this work. Actual cost and engineering data are still scarce; hence, we evaluated a simplified engineering approach to tie key site and turbine parameters (e.g. water depth, wave height, tower-head mass, hub height and generator rating) to the overall support weight. A jacket-and-tower sizing tool, part of the National Renewable Energy Laboratory's system engineering software suite, was utilized to achieve mass-optimized support structures for 81 different configurations. This tool set provides preliminary sizing of all jacket components. Results showed reasonable agreement with the available industry data, and that the jacket mass is mainly driven by water depth, but hub height and tower-head mass become more influential at greater turbine ratings. A larger sensitivity of the structural mass to wave height and target eigenfrequency was observed for the deepest water conditions (>40 m). Thus, techno-economic analyses using this model should be based on accurate estimates of actual metocean conditions and turbine parameters especially for deep waters. Finally, the relationships derived from this study will inform National Renewable Energy Laboratory's offshore balance of system cost model, and they will be used to evaluate the impact of changes in technology on offshore wind lower levelized cost of energy.

  5. Atmospheric Characterization of the US Offshore Sites and Impact on Turbine Performance (Poster)

    SciTech Connect

    Arora, Dhiraj; Ehrmann, Robert; Zuo, Delong; Xiao, Jingting

    2016-10-25

    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.

  6. Resources assessment of methane hydrates offshore Japan

    NASA Astrophysics Data System (ADS)

    Kobayashi, T.

    2015-12-01

    JOGMEC, as a member of research group for resources assessment of Research Consortium for Methane Hydrate Resources in Japan (MH21), is conducting resources assessment of methane hydrates (MHs) offshore surrounding Japan. The interpretation of 3-D seismic data acquired by geophysical vessel 'Shigen', which is owned by Agency for Natural Resources and Energy, are carried out. And MH concentrated zones are being extracted. This study is an introduction for the case example of interpretation of 3-D seismic data in the area which have not been drilled. The characteristic of 3-D seismic data in this study area shows fold structure, which undulates severalfold. In addition, some faults are interpreted, which does not show the large displacement, are seen. Bottom Simulating Reflector (BSR) is very visible continuously. Clear velocity contrast in the boundary between above and below of BSR and the high velocity anomaly above BSR are confirmed in the high density velocity analysis profile. MHs are assumed to exist in sand heterogeneously because the velocity distribution in the extracted zones is inhomogeneous. In the results of geomorphological analysis, channel deposits and mid submarine fan deposits, which are located above BSR, are presumed the sediments which bear sand. Thus the extracted zones are estimated MH concentrated zones. As above, even the area has not been drilled, the extraction of MH concentrated zones can be estimated by the interpretation of the seismic data, the result of the high density velocity analysis, and the distribution of sand by geomorphological analysis. These results will be useful for the plan of the future drilling programme. This introduction is the example of 3-D seismic survey area. It will become a useful information for 3-D seismic survey plan by performing similar interpretation in 2-D seismic survey lines.

  7. Sanaga Sud field - Offshore Cameroon, west Africa

    SciTech Connect

    Pauken, R.J. )

    1990-09-01

    The Sanaga Sud field, offshore Cameroon, is located just northwest of the coastal town of Kribi in the northern part of the Douala basin. The discovery well, Sanaga Sud A-1, was drilled in 1979 to test an apparent horst block that contained a prominent horizontal seismic amplitude. The Douala basin is one of a series of passive margin basins located along the coastline of central and southern Africa, and formed during the rifting of Africa and South America during the Early Cretaceous. Drilling results showed that the amplitude was a gas/water contact. Two appraisal wells, SSA-2 and SSA-3, were drilled in 1981. All three wells tested gas and condensate. Total recoverable hydrocarbons for the field are estimated to be approximately 1 tcf of gas. The trap in this field is composed of tilted and rotated fault blocks composed of interbedded Aptian to Albian sandstones, siltstones, and shales. The fault blocks were truncated by erosion (breakup unconformity) and later buried by a considerable thickness of onlapping Upper Cretaceous and Tertiary shale. The late Albian erosional unconformity forms the top of the trap over most of the field. Geochemical studies indicate a Lower Cretaceous source for the hydrocarbons. The gross pay thickness averages 250 m with an average porosity of 23% and an average permeability of 142 md. Reservoir lithologies range from well-sorted, massive sandstones to poorly sorted fine sandstones and siltstones containing shaly laminations that are carbonaceous and micaceous. The field is located predominantly in Block PH-38, but part of the field is in the Londji concession. Mobil Producing Cameroon, Inc., is the operator of PH-38 and Total Exploration and Production Cameroon is the operator of the Londji concession.

  8. Offshore Deterioration in the Mekong Delta, Vietnam

    NASA Astrophysics Data System (ADS)

    Stattegger, K.; Unverricht, D.; Heinrich, C.

    2016-02-01

    The interplay of river, tide and wave forcing controls shape and sedimentation at the front of the Mekong Delta. Specific hydro- and morphodynamic conditions in the western subaqueous part of the asymmetric Mekong Delta generate a sand ridge - channel system (SRCS) which is unique in subaqueous delta formation. This large-scale morphological element extends 130 km along the delta front consisting of two sand ridges and two erosional channels. Three different zones within SRCS can be distinguished. The eastern initial zone stretches along delta slope and inner shelf platform southwest of the Bassac river mouth, the largest and westernmost distributary of the Mekong Delta. In the central zone SRCS covers the outer part of the subaqueous delta platform with a pronounced sand-ridge and erosional channel morphology. Cross-sections of the SRCS reveal an asymmetric shape including steeper ridge flanks facing into offshore direction. Channels incise down to 18.2 m water depth (wd) and 10.5 down the ridge top at the outer subaqueous delta platform, respectively. Towards the west the sand ridges pinch out while the two channels merge into one and form a giant erosional scour of up to 33 m wd within the subaqueous delta platform. In the western zone, the channel gets shallower and vanishes along the south-western edge of the subaqueous delta platform around Ca Mau Cape. Sediment transport from the Mekong River nourishes the sand ridges. In contrast, tide and wind-driven currents cut the erosional channels, which act also as fine-sediment conveyor from eroding headlands to the distal part of the delta front that is 200 km apart of the Bassac river mouth. SRCS in the subaqueous Mekong Delta is a relevant indicator of delta-front instability and erosion.

  9. Exploration and development offshore southern Vietnam

    SciTech Connect

    Ferguson, A.M.

    1996-12-31

    In Vietnam, the major focus of the oil and gas industry is on the Nam Con Son and Cuu Long Basins in the southern offshore area. Major licensing first occurred here in the early 1970s. Some exploration was also undertaken by foreign companies in the early 1980s. In 1981, the Soviet Union undertook to assist Vietnam with the development of oil and gas. Vietsovpetro, a joint venture between the then Soviet Oil and Gas Ministry and the Vietnam Oil and Gas Corporation was formed. Most of Vietsovpetro`s efforts have been to develop the Bach Ho field in the Cuu Long Basin. This now produces {approximately}130000 bopd. The most recent large scale licensing round occurred in 1992, and, at present, there are over thirty foreign companies active in these Basins` blocks . The first phase of exploration is ending and successes in the Nam Con Son Basin include the BP-led Lan Tay/Lan Do gas discoveries and Pedco`s gas discoveries. Mitsubishi`s and Petronas` oil discoveries in the Cuu Long Basin have attracted much attention also. The Dai Hung oil field (BHP-operated) has been producing since late 1994. Certain blocks are being appraised, and exploration work is also continuing. Areas of the Cuu Long Basin that were part of Vietsovpetro`s acreage, but which may soon be re-licensed, have generated keen interest. The presence of an active upstream industry - exploring, appraising, developing and producing - indicates the emergence of Vietnam as an important East Asian oil and gas player.

  10. Globalization of environmental regulations for offshore E & P operations

    SciTech Connect

    Shannon, B.E.

    1995-12-31

    One of the enduring legacies of the Rio Environmental Summit of 1992 (United Nations Conference on Environment and Development, UNCED) is Agenda 21 (Chapter 17 - Protection of the Oceans), which among other things called for the assessment of the need for a global authority to regulate offshore Exploration & Production (E&P) discharges, emissions and safety. Despite advice to the contrary from the International Maritime Organization (IMO), interest is building within the European community for the standardization of regulations for offshore E&P activities. Several international of regulations for offshore E&P activities. Several international frameworks or forums have been mentioned as possible candidates. These include the United Nations Convention on the Law of the Sea, 1982 (UNCLOS); London Convention 1972 (LC 1972) and the International Convention for the Prevention of Pollution from Ships, 1973, as modified by the Protocol of 1978 (MARPOL) 73/78. International offshore oil and gas operators operate within requirements of regional conventions under the United Nations Environmental Program`s (UNEP) - Regional Seas Program. Domestic offshore operations are undertaken under the auspices of the U.S. Environmental Protection Agency and Minerals Management Service.

  11. The application of PLC distributed input/output technology offshore

    SciTech Connect

    Glendening, J.A.

    1995-12-01

    The Programmable Logic Controller is becoming a familiar part of the Process Controls on Offshore Facilities. The current evolution of this expanding technology is Distributed I/O Blocks, and this paper is concerned with the benefits and applications this new technology brings to the Offshore Industry. The advent of the Programmable Logic Controller to the Gulf of Mexico brought greater process control flexibility to Offshore facilities. The offshore control philosophy went from independent pneumatic control of each skid unit to PLC distributed control with field panels that contained the local controls for several skid units and interfaced with control room based PLC visual display stations. The Distributed I/O Block concept allows offshore control systems to eliminate the large field interface panel, along with the associated wiring and hardware cost. This is accomplished by installing Distributed 1/0 Blocks inside the individual skid control panels and then communicating back to the control room based PLC via redundant communication cables. The control wiring between each skid control panel and the control room is now reduced to one power cable and redundant communication cables.

  12. Shift work at a modern offshore drilling rig.

    PubMed

    Rodrigues, V F; Fischer, F M; Brito, M J

    2001-12-01

    The oil and gas exploration and production offshore units are classified as hazardous installations. Work in these facilities is complex, confined and associated with a wide range of risks. The continuous operation is secured by various shift work patterns. The objective of this study was to evaluate how offshore drilling workers perceived shift work at high seas and its impacts on their life and working conditions. The main features of the studied offshore shift work schedules are: long time on board (14 to 28 days), extended shifts (12 hours or more per day), slow rotation (7 to 14 days in the same shift), long sequence of days on the night shift (7 to 14 days in a row) and the extra-long extended journey (18 hours) on shift change and landing days. Interviews revealed a wide range of stressors caused by the offshore shift work, as well as difficulties to conciliate work with family life. It was observed that changes of the family model, leading to role conflicts and social isolation, work in a hazardous environment, perceiving poor sleep when working at night shifts and the imbalance between the expected and actual rewards are the major stressors for the offshore drilling workers.

  13. Investigation of Wind Turbine Rotor Concepts for Offshore Wind Farms

    NASA Astrophysics Data System (ADS)

    Ceyhan, Özlem; Grasso, Francesco

    2014-06-01

    Current plans in offshore wind energy developments call for further reduction of cost of energy. In order to contribute to this goal, several wind turbine rotor concepts have been investigated. Assuming the future offshore wind turbines will operate only in the offshore wind farms, the rotor concepts are not only evaluated for their stand-alone performances and their potential in reducing the loads, but also for their performance in an offshore wind farm. In order to do that, the 10MW reference wind turbine designed in Innwind.EU project is chosen as baseline. Several rotor parameters have been modified and their influences are investigated for offshore wind turbine design purposes. This investigation is carried out as a conceptual parametrical study. All concepts are evaluated numerically with BOT (Blade optimisation tool) software in wind turbine level and with Farmflow software in wind farm level for two wind farm layouts. At the end, all these concepts are compared with each other in terms of their advantages and disadvantages.

  14. Composite materials in the UK offshore oil & gas industry

    SciTech Connect

    Barnes, F.

    1996-03-01

    Since 1988, the use of composite materials has been steadily increasing in the UK offshore oil and gas industry. The first applications were, surprisingly, for fire, blast and impact resistant structures which were used to protect steel structures from these effects. Subsequent developments have seen composites used for secondary and tertiary structures on existing and new offshore installations, such as sea water piping systems, gratings, handrails, ladders, vessels and tanks. More recently, carbon fiber composites have been used to strengthen existing primary steel structures on existing offshore installations. Development work is now underway to produce the short and long term mechanical property data for those composites and adhesives most likely to be used for offshore structural applications, validated design tools and a design guide that will provide a framework for approval and certification of structural composites in the offshore industry. This report reviews these developments and highlights some of the issues that must be dealt with if the vast potential of this new and exciting market is to be realized. 4 figs.

  15. Health and climate benefits of offshore wind facilities in the Mid-Atlantic United States

    DOE PAGES

    Buonocore, Jonathan J.; Luckow, Patrick; Fisher, Jeremy; ...

    2016-07-14

    Electricity from fossil fuels contributes substantially to both climate change and the health burden of air pollution. Renewable energy sources are capable of displacing electricity from fossil fuels, but the quantity of health and climate benefits depend on site-specific attributes that are not often included in quantitative models. Here, we link an electrical grid simulation model to an air pollution health impact assessment model and US regulatory estimates of the impacts of carbon to estimate the health and climate benefits of offshore wind facilities of different sizes in two different locations. We find that offshore wind in the Mid-Atlantic ismore » capable of producing health and climate benefits of between $54 and $120 per MWh of generation, with the largest simulated facility (3000 MW off the coast of New Jersey) producing approximately $690 million in benefits in 2017. The variability in benefits per unit generation is a function of differences in locations (Maryland versus New Jersey), simulated years (2012 versus 2017), and facility generation capacity, given complexities of the electrical grid and differences in which power plants are offset. In the end, this work demonstrates health and climate benefits of off shore wind, provides further evidence of the utility of geographically-refined modeling frameworks, and yields quantitative insights that would allow for inclusion of both climate and public health in benefits assessments of renewable energy.« less

  16. An integrated methodology on the suitability of offshore sites for wind farm development

    NASA Astrophysics Data System (ADS)

    Patlakas, Platon; Galanis, George; Péray, Marie; Filipot, Jean-François; Kalogeri, Christina; Spyrou, Christos; Diamantis, Dimitris; Kallos, Gerorge

    2016-04-01

    During, the last decades the potential and interest in wind energy investments has been constantly increasing in the European countries. As technology changes rapidly, more and more areas can be identified as suitable for energy applications. Offshore wind farms perfectly illustrate how new technologies allow to build bigger, more efficient and resistant in extreme conditions wind power plants. The current work proposes an integrated methodology to determine the suitability of an offshore marine area for the development of wind farm structures. More specifically, the region of interest is evaluated based both on the natural resources, connected to the local environmental characteristics, and potential constrains set by anthropogenic or other activities. State of the art atmospheric and wave models and a 10-year hindcast database are utilized in conjunction with local information for a number of potential constrains, leading to a 5-scale suitability index for the whole area. In this way, sub regions are characterized, at a high resolution mode, as poorly or highly suitable for wind farm development, providing a new tool for technical/research teams and decision makers. In addition, extreme wind and wave conditions and their 50-years return period are analyzed and used to define the safety level of the wind farms structural characteristics.

  17. Impact hypothesis for offshore wind farms: Explanatory models for species distribution at extremely exposed rocky areas

    NASA Astrophysics Data System (ADS)

    Schläppy, Marie-Lise; Šaškov, Aleksej; Dahlgren, Thomas G.

    2014-07-01

    The increasing need for renewable and clean energy production is likely to result in a diversification of locations for the implementation of offshore wind farms which have been so far predominantly sited on soft substrata. In contrast, offshore wind turbines placed on rocky reefs in highly exposed areas are much less common and the impacts on local flora and fauna can only be hypothesized. On the Western coast of Norway, a rocky reef with a highly complex topography has been chosen to be the first full-scale offshore wind farm in the country. Underwater video analyses and multibeam bathymetry data with a generalized linear model were used opportunistically to investigate the influence of geomorphic explanatory variables on the occurrence of selected taxa (algae, sea urchins and sea stars) identified in the study area. Combining video observations and multibeam bathymetry in a generalized linear model revealed that the geomorphic descriptors: aspect, slope, rugosity, and benthic position indexes (BPI), were of significance for algae, sea urchins and sea stars at Havsul and served in showing their habitat preferences. Kelp occurred in areas of high rugosity, on gentle slopes, at elevated areas with a southerly orientation and on the sheltered side of rock or bedrock. Thus, construction disturbance that modify those variables may lead to a change in the area preferred by kelp. Turbines that shade southerly aspects may affect small kelp plants in reducing their available habitat. Sea urchins were more abundant on steep slopes and both sea stars and sea urchins showed a preference for a complex local relief (high rugosity) and heterogeneity in fine and broad elevation (shown by BPI). Thus, foundations and cable route preparation may significantly change the slope, rugosity of BPI broad, which will change the basis for sea urchin populations. It may likewise significantly change the rugosity or BPI (fine or broad), which may change the distribution of sea stars. The

  18. Offshore Resource Assessment and Design Conditions: A Data Requirements and Gaps Analysis for Offshore Renewable Energy Systems

    SciTech Connect

    Elliott, Dennis; Frame, Caitlin; Gill, Carrie; Hanson, Howard; Moriarty, Patrick; Powell, Mark; Shaw, William J.; Wilczak, Jim; Wynne, Jason

    2012-03-01

    The offshore renewable energy industry requires accurate meteorological and oceanographic (“metocean”) data for evaluating the energy potential, economic viability, and engineering requirements of offshore renewable energy projects. It is generally recognized that currently available metocean data, instrumentation, and models are not adequate to meet all of the stakeholder needs on a national scale. Conducting wind and wave resource assessments and establishing load design conditions requires both interagency collaboration as well as valuable input from experts in industry and academia. Under the Department of Energy and Department of Interior Memorandum of Understanding, the Resource Assessment and Design Condition initiative supports collaborative national efforts by adding to core atmospheric and marine science knowledge relevant to offshore energy development. Such efforts include a more thorough understanding and data collection of key metocean phenomena such as wind velocity and shear; low-level jets; ocean, tidal, and current velocities; wave characteristics; geotechnical data relating to surface and subsurface characteristics; seasonal and diurnal variations; and the interaction among these conditions. Figure 1 presents a graphical representation of some metocean phenomena that can impact offshore energy systems. This document outlines the metocean observations currently available; those that are not available; and those that require additional temporal-spatial coverage, resolution, or processing for offshore energy in an effort to gather agreed-upon, needed observations.

  19. Offshore aquaculture: Spatial planning principles for sustainable development.

    PubMed

    Gentry, Rebecca R; Lester, Sarah E; Kappel, Carrie V; White, Crow; Bell, Tom W; Stevens, Joel; Gaines, Steven D

    2017-01-01

    Marine aquaculture is expanding into deeper offshore environments in response to growing consumer demand for seafood, improved technology, and limited potential to increase wild fisheries catches. Sustainable development of aquaculture will require quantification and minimization of its impacts on other ocean-based activities and the environment through scientifically informed spatial planning. However, the scientific literature currently provides limited direct guidance for such planning. Here, we employ an ecological lens and synthesize a broad multidisciplinary literature to provide insight into the interactions between offshore aquaculture and the surrounding environment across a spectrum of spatial scales. While important information gaps remain, we find that there is sufficient research for informed decisions about the effects of aquaculture siting to achieve a sustainable offshore aquaculture industry that complements other uses of the marine environment.

  20. Fire-resistant wellhead equipment for offshore platforms

    SciTech Connect

    Williams, M.R.; Keene, K.

    1984-02-01

    A new generation of fire-resistant wellhead equipment has been developed for offshore platforms. This paper presents the design concepts and principles of operation of this new equipment, and it describes the engineering approach taken during its development. These new wellheads and christmas trees have survived numerous laboratory fire tests which simulated offshore platform fire conditions. No leakage was permissible during the test burns nor during the subsequent cooldown periods. The laboratory fire test results confirmed the performance predicted by computer Finite Element Analysis and verified the design procedures employed. This new fire resistant wellhead equipment promises to significantly reduce the fire hazard associated with the production of oil and gas from offshore platform wells.

  1. Exploring the wakes of large offshore wind farms

    NASA Astrophysics Data System (ADS)

    Emeis, S.; Siedersleben, S.; Lampert, A.; Platis, A.; Bange, J.; Djath, B.; Schulz-Stellenfleth, J.; Neumann, T.

    2016-09-01

    Offshore meteorological characteristics set specific conditions for the operation of offshore wind farms. One specific feature is low turbulence intensity which on the one hand reduces loads on turbines but on the other hand is the reason for much longer turbine and farm wakes than over land. The German Government is presently funding a research project called WIPAFF (Wind PArk Far Field) which heads for the analysis of properties and impacts of offshore wind park far fields. The focus is on the analysis of wind farm wakes, their interaction among each other and their regional climate impact. This is done by in-situ, extensive aircraft and satellite measurements and by operating meso-scale wind field models and an analytical wind farm model.

  2. Offshore technology aims for reduced costs, greater safety

    SciTech Connect

    Dempsey, P.

    1985-04-01

    OFFSHORE TECHNOLOGY continued to make headway last year, although dramatic breakthroughs were few and far between. Major oil companies have been spending heavily on acquisitions and the service companies, which historically have done much innovative work, have been forced to curtail their engineering budgets. The Weir hydraulic pump has been vetted for offshore service and a production model is being installed on a North Sea platform. A CO/sub 2/ fire-control system has been developed for both offshore and onshore applications, and Drilco's Trans-Wate pipe promises to extend drillstring life. And, perhaps most significantly, the Poseidon project is healthy and flourishing. If successful, Poseidon could cut development costs by more than half.

  3. On the instability of offshore foundations: theory and mechanism

    NASA Astrophysics Data System (ADS)

    Gao, FuPing; Li, JinHui; Qi, WenGang; Hu, Cun

    2015-12-01

    As the offshore engineering moving from shallow to deep waters, the foundation types for fixed and floating platforms have been gradually evolving to minimize engineering costs and structural risks in the harsh offshore environments. Particular focus of this paper is on the foundation instability and its failure mechanisms as well as the relevant theory advances for the prevailing foundation types in both shallow and deep water depths. Piles, spudcans, gravity bases, suction caissons, and plate anchors are detailed in this paper. The failure phenomena and mechanisms for each type of foundations are identified and summarized, respectively. The theoretical approaches along with sophisticated empirical solutions for the bearing capacity problems are then presented. The major challenges are from flow-structure-soil coupling processes, rigorous constitutive modeling of cyclic behaviors of marine sediments, and the spatial variability of soil properties for large-spreading structures. Further researches are suggested to reveal the instability mechanisms for underpinning the evolution of offshore foundations.

  4. Where the offshore search for oil and gas is headed

    SciTech Connect

    King, R.E.

    1980-10-01

    This overview of the world's potential offshore oil and gas frontiers points out that although solutions to technical and political problems have opened up some promising areas for exploration, many key frontier basins have yet to be explored by modern technology. Long-standing disputes between bordering countries over offshore rights have deterred exploration activities in the Malvinas basin off Argentina and in the Gulf of Venezuela. Political problems have also slowed activity in the US Atlantic offshore, where Mesozoic reef trends may be related to Mexico's large oil fields. In Canada's Labrador Sea and Grand Banks, the problems are largely operational because of the inclement weather and threatening icebergs. The thick sediments off northern Norway remain untapped due to the deep water, Arctic conditions, and boundary disputes with the USSR. The main areas of active exploration are the Gulf of Thailand-Penyu-Natuna basin in Southeast Asia and Ireland's Porcupine Bight basin.

  5. Evidence of offshore lake trout reproduction in Lake Huron

    USGS Publications Warehouse

    DeSorcie, Timothy J.; Bowen, Charles A.

    2003-01-01

    Six Fathom Bank-Yankee Reef, an offshore reef complex, was an historically important spawning area believed to represent some of the best habitat for the rehabilitation of lake trout Salvelinus namaycush in Lake Huron. Since 1986, lake trout have been stocked on these offshore reefs to reestablish self-sustaining populations. We sampled with beam trawls to determine the abundance of naturally reproduced age-0 lake trout on these offshore reefs during May-July in 1994-1998 and 2000-2002. In total, 123 naturally reproduced lake trout fry were caught at Six Fathom Bank, and 2 naturally reproduced lake trout fry were caught at nearby Yankee Reef. Our findings suggest that this region of Lake Huron contains suitable habitat for lake trout spawning and offers hope that lake trout rehabilitation can be achieved in the main basin of Lake Huron.

  6. Computational methods. [Calculation of dynamic loading to offshore platforms

    SciTech Connect

    Maeda, H. . Inst. of Industrial Science)

    1993-02-01

    With regard to the computational methods for hydrodynamic forces, first identification of marine hydrodynamics in offshore technology is discussed. Then general computational methods, the state of the arts and uncertainty on flow problems in offshore technology in which developed, developing and undeveloped problems are categorized and future works follow. Marine hydrodynamics consists of water surface and underwater fluid dynamics. Marine hydrodynamics covers, not only hydro, but also aerodynamics such as wind load or current-wave-wind interaction, hydrodynamics such as cavitation, underwater noise, multi-phase flow such as two-phase flow in pipes or air bubble in water or surface and internal waves, and magneto-hydrodynamics such as propulsion due to super conductivity. Among them, two key words are focused on as the identification of marine hydrodynamics in offshore technology; they are free surface and vortex shedding.

  7. Offshore oil spill response practices and emerging challenges.

    PubMed

    Li, Pu; Cai, Qinhong; Lin, Weiyun; Chen, Bing; Zhang, Baiyu

    2016-09-15

    Offshore oil spills are of tremendous concern due to their potential impact on economic and ecological systems. A number of major oil spills triggered worldwide consciousness of oil spill preparedness and response. Challenges remain in diverse aspects such as oil spill monitoring, analysis, assessment, contingency planning, response, cleanup, and decision support. This article provides a comprehensive review of the current situations and impacts of offshore oil spills, as well as the policies and technologies in offshore oil spill response and countermeasures. Correspondingly, new strategies and a decision support framework are recommended for improving the capacities and effectiveness of oil spill response and countermeasures. In addition, the emerging challenges in cold and harsh environments are reviewed with recommendations due to increasing risk of oil spills in the northern regions from the expansion of the Arctic Passage.

  8. In Brief: Environmental standards needed for offshore marine aquaculture

    NASA Astrophysics Data System (ADS)

    Zielinski, Sarah

    2007-01-01

    The U.S. Congress should enact legislation that sets strong environmental standards for offshore marine aquaculture, the Marine Aquaculture Task Force recommended in a recent report. Aquaculture now accounts for about half of all seafood consumed in the world, and the industry is rapidly growing and expanding into regions offshore (more than 3 nautical miles from the coast) that are controlled by the federal government. The task force, which was organized by researchers from the Woods Hole Oceanographic Institution, examined the risks and benefits of marine aquaculture. They proposed that the U.S. National Oceanic and Atmospheric Administration be appointed the lead agency responsible for regulation of offshore marine aquaculture and for providing incentives for research and development. The main environmental standard proposed by the task force was to limit farming only to native species with local genetics unless the potential harm of escaped fish to local populations would be negligible.

  9. OCD: The offshore and coastal dispersion model. Volume 2. Appendices

    SciTech Connect

    DiCristofaro, D.C.; Hanna, S.R.

    1989-11-01

    The Offshore and Coastal Dispersion (OCD) Model has been developed to simulate the effect of offshore emissions from point, area, or line sources on the air quality of coastal regions. The OCD model was adapted from the EPA guideline model MPTER (EPA, 1980). Modifications were made to incorporate overwater plume transport and dispersion as well as changes that occur as the plume crosses the shoreline. This is a revised OCD model, the fourth version to date. The volume is an appendices for the OCD documentation, included are three appendices: Appendix A the OCD computer program, Appendix B an Analysis Post-processor, Appendix C Offshore Meteorological data Collection Instrumentation, also included are general References.

  10. Proposing a Formalised Model for Mindful Information Systems Offshoring

    NASA Astrophysics Data System (ADS)

    Costello, Gabriel J.; Coughlan, Chris; Donnellan, Brian; Gadatsch, Andreas

    The central thesis of this chapter is that mathematical economics can provide a novel approach to the examination of offshoring business decisions and provide an impetus for future research in the area. A growing body of research indicates that projected cost savings from IT offshoring projects are not being met. Furthermore, evidence suggests that decision-making processes have been more emotional than rational, and that many offshoring arrangements have been rushed into without adequate analysis of the true costs involved. Building on the concept of mindfulness and mindlessness introduced to the IS literature by Swanson and Ramiller, a cost equation is developed using “deductive reasoning rather than inductive study” in the tradition of mathematical economics. The model endeavours to capture a wide range of both the quantitative and qualitative parameters. Although the economic model is illustrated against the background of a European scenario, the theoretical framework is generic and applicable to organisations in any global location.

  11. Development of Offshore Wind Recommended Practice for U.S. Waters: Preprint

    SciTech Connect

    Musial, W. D.; Sheppard, R. E.; Dolan, D.; Naughton, B.

    2013-04-01

    This paper discusses how the American Petroleum Institute oil and gas standards were interfaced with International Electrotechnical Commission and other wind turbine and offshore industry standards to provide guidance for reliable engineering design practices for offshore wind energy systems.

  12. 75 FR 32803 - Certificate of Alternative Compliance for the Offshore Supply Vessel JONCADE

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-06-09

    ... maneuver within close proximity of offshore platforms. The forward masthead light may be located on the top... highly susceptible to damage when working in close proximity to offshore platforms. Furthermore the...

  13. 75 FR 36106 - Certificate of Alternative Compliance for the Offshore Supply Vessel SOUTHERN CROSS

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-06-24

    ... maneuver within close proximity to offshore platforms. Placing the aft masthead light at the horizontal... the lights and allow maneuvering within close proximity to offshore platforms. The Certificate of...

  14. Large-Scale Offshore Wind Power in the United States: Executive Summary

    SciTech Connect

    Musial, W.; Ram, B.

    2010-09-01

    This document provides a summary of a 236-page NREL report that provides a broad understanding of today's offshore wind industry, the offshore wind resource, and the associated technology challenges, economics, permitting procedures, and potential risks and benefits.

  15. Federal offshore statistics: 1992. Leasing, exploration, production, and revenues as of December 31, 1992

    SciTech Connect

    Francois, D.K.

    1993-12-31

    The Outer Continental Shelf Lands Act, enacted in 1953 and amended several times, charges the Secretary of the Interior with the responsibility for administering and managing mineral exploration and development of the outer continental shelf, as well as for conserving its natural resources. This report documents the following: Federal offshore lands; offshore leasing activity and status; offshore development activity; offshore production of crude oil and natural gas; Federal offshore oil and natural gas sales volume and royalties; revenue from Federal offshore leases; disbursement of Federal offshore revenue; reserves and resource estimates of offshore oil and natural gas; oil pollution in US and international waters; and international activities and marine minerals. 11 figs., 83 tabs.

  16. Mid-Atlantic Offshore Wind Interconnection and Transmission (MAOWIT)

    SciTech Connect

    Kempton, Willett

    2016-04-05

    This project has carried out a detailed analysis to evaluate the pros and cons of offshore transmission, a possible method to decrease balance-of-system costs and permitting time identified in the DOE Office Wind Strategic Plan (DOE, 2011). It also addresses questions regarding the adequacy of existing transmission infrastructure and the ability of existing generating resources to provide the necessary Ancillary Services (A/S) support (spinning and contingency reserves) in the ISO territory. This project has completed the tasks identified in the proposal: 1. Evaluation of the offshore wind resource off PJM, then examination of offshore wind penetrations consistent with U.S. Department of Energy’s (DOE) targets and with their assumed resource size (DOE, 2011). 2. Comparison of piecemeal radial connections to the Independent System Operator (ISO) with connections via a high-voltage direct current (HVDC) offshore network similar to a team partner. 3. High-resolution examination of power fluctuations at each node due to wind energy variability 4. Analysis of wind power production profiles over the Eastern offshore region of the regional ISO to assess the effectiveness of long-distance, North- South transmission for leveling offshore wind energy output 5. Analysis of how the third and fourth items affect the need for ISO grid upgrades, congestion management, and demand for Ancillary Services (A/S) 6. Analysis of actual historic 36-hr and 24-hr forecasts to solve the unit commitment problem and determine the optimal mix of generators given the need to respond to both wind variability and wind forecasting uncertainties.

  17. Back-Barrier Water Level Response to Offshore Fluctuations

    NASA Astrophysics Data System (ADS)

    Aretxabaleta, A.; Ganju, N. K.; Butman, B.; Defne, Z.

    2016-02-01

    Water level in semi-enclosed bays, landward of barrier islands, is mainly driven by offshore sea level fluctuations. Inlet geometry is the major factor that regulates the magnitude of the transfer between the two systems. Tides and short-period offshore oscillations tend to be more dampened in the bays than longer-lasting offshore fluctuations, such as storm surge and sea level rise. We compare observed and modeled water levels at stations in mid-Atlantic bays (Great South Bay, Jamaica Bay, and Barnegat Bay) with offshore water level proxies. The differences in the frequency-dependent transfer functions are associated with the size of the inlet and the area of the bays, with larger bays exhibiting smaller transfers. The magnitude of the fluctuations at a specific frequency is not a factor controlling the water level transfer into the bays. The observed water level response in Great South Bay is characterized by transfers between 80-100% in the storm band (2-5 days) and between 20-40% at tidal frequencies. The transfer into Jamaica Bay of offshore storm-related fluctuations is close to 100% and tides are enhanced inside the Bay resulting in water levels greater than the offshore tidal amplitude. In Barnegat Bay, the observed water levels are combined with model results using the Coupled Ocean-Atmosphere-Wave-Sediment Transport (COAWST) modeling system. The model water level transfers match the observed values at locations inside the Bay in the storm band (transfers raging 70-100%) and tidal frequencies (20-55%). The model provides transfer estimates for locations inside the Bay where observations were not available providing a complete spatial characterization and allowing for the study of the Bay response to alternative forcing scenarios (landscape changes, future storms and rising sea level). The approach can inform decisions on inlet management and contribute to the assessment of current and future natural hazards to back-barrier and mainland shorelines.

  18. Offshore Renewable Energy R&D (Fact Sheet)

    SciTech Connect

    Not Available

    2011-10-01

    This fact sheet describes the offshore renewable energy R&D efforts at NREL's NWTC. As the United States increases its efforts to tap the domestic energy sources needed to diversify its energy portfolio and secure its energy supply, more attention is being focused on the rich renewable resources located offshore. Offshore renewable energy sources include offshore wind, waves, tidal currents, ocean and river currents, and ocean thermal gradients. According to a report published by the National Renewable Energy Laboratory (NREL) in 2010,1 U.S. offshore wind resources have a gross potential generating capacity four times greater than the nation's present electric capacity, and the Electric Power Research Institute estimates that the nation's ocean energy resources could ultimately supply at least 10% of its electric supply. For more than 30 years, NREL has advanced the science of renewable energy while building the capabilities to guide rapid deployment of commercial applications. Since 1993, NREL's National Wind Technology Center (NWTC) has been the nation's premier wind energy research facility, specializing in the advancement of wind technologies that range in size from a kilowatt to several megawatts. For more than 8 years, the NWTC has been an international leader in the field of offshore floating wind system analysis. Today, researchers at the NWTC are taking their decades of experience and extensive capabilities and applying them to help industry develop cost-effective hydrokinetic systems that convert the kinetic energy in water to provide power for our nation's heavily populated coastal regions. The center's capabilities and experience cover a wide spectrum of wind and water energy engineering disciplines, including atmospheric and ocean fluid mechanics, aerodynamics; aeroacoustics, hydrodynamics, structural dynamics, control systems, electrical systems, and testing.

  19. Review of technology for Arctic offshore oil and gas recovery

    SciTech Connect

    Sackinger, W. M.

    1980-08-01

    The technical background briefing report is the first step in the preparation of a plan for engineering research oriented toward Arctic offshore oil and gas recovery. A five-year leasing schedule for the ice-prone waters of the Arctic offshore is presented, which also shows the projected dates of the lease sale for each area. The estimated peak production rates for these areas are given. There is considerable uncertainty for all these production estimates, since no exploratory drilling has yet taken place. A flow chart is presented which relates the special Arctic factors, such as ice and permafrost, to the normal petroleum production sequence. Some highlights from the chart and from the technical review are: (1) in many Arctic offshore locations the movement of sea ice causes major lateral forces on offshore structures, which are much greater than wave forces; (2) spray ice buildup on structures, ships and aircraft will be considerable, and must be prevented or accommodated with special designs; (3) the time available for summer exploratory drilling, and for deployment of permanent production structures, is limited by the return of the pack ice. This time may be extended by ice-breaking vessels in some cases; (4) during production, icebreaking workboats will service the offshore platforms in most areas throughout the year; (5) transportation of petroleum by icebreaking tankers from offshore tanker loading points is a highly probable situation, except in the Alaskan Beaufort; and (6) Arctic pipelines must contend with permafrost, making instrumentation necessary to detect subtle changes of the pipe before rupture occurs.

  20. Solar power satellite offshore rectenna study. Final report

    SciTech Connect

    Not Available

    1980-05-01

    Rice University, Brown and Root Development Inc., and Arthur D. Little Inc. have jointly conducted a feasibility study of an offshore rectenna serving the Boston/New York area. We found that an offshore rectenna is feasible and cost competitive with land rectennas but that the type of rectenna which is suitable for offshore use is quite different from that specified in the present reference system. We began by engineering the reference system rectenna to the offshore location. When we estimated costs for the resulting system we found that the cost was prohibitively high. We then searched for modifications to the design which would allow significant cost reduction. The result is a non-ground plane design which minimizes the weight and greatly reduces the number of costly support towers. This preferred design is an antenna array consisting of individually encapsulated dipoles with reflectors or yagis supported on feed wires. We find that such a 5 GW rectenna could be built at a 50 m water depth site to withstand hurricane, winter storm and icing conditions for a one time cost of $5.7 billion. Subsequent units would be about 1/3 less expensive. It is important to note that the east coast site chosen for this study represents an extreme case of severe environmental conditions. More benign and more shallow water sites would result in substantially lower costs. Secondary uses such as mariculture appear practical with only minor impact on the rectenna design. The potential advantages of an offshore rectenna such as no land requirements, removal of microwave radiation from populated areas and minimal impact on the local geopolitics argue strongly that further investigation of the offshore rectenna should be vigorously pursued.

  1. Offshore Floating Wind Turbine-driven Deep Sea Water Pumping for Combined Electrical Power and District Cooling

    NASA Astrophysics Data System (ADS)

    Sant, T.; Buhagiar, D.; Farrugia, R. N.

    2014-06-01

    A new concept utilising floating wind turbines to exploit the low temperatures of deep sea water for space cooling in buildings is presented. The approach is based on offshore hydraulic wind turbines pumping pressurised deep sea water to a centralised plant consisting of a hydro-electric power system coupled to a large-scale sea water-cooled air conditioning (AC) unit of an urban district cooling network. In order to investigate the potential advantages of this new concept over conventional technologies, a simplified model for performance simulation of a vapour compression AC unit was applied independently to three different systems, with the AC unit operating with (1) a constant flow of sea surface water, (2) a constant flow of sea water consisting of a mixture of surface sea water and deep sea water delivered by a single offshore hydraulic wind turbine and (3) an intermittent flow of deep sea water pumped by a single offshore hydraulic wind turbine. The analysis was based on one year of wind and ambient temperature data for the Central Mediterranean that is known for its deep waters, warm climate and relatively low wind speeds. The study confirmed that while the present concept is less efficient than conventional turbines utilising grid-connected electrical generators, a significant portion of the losses associated with the hydraulic transmission through the pipeline are offset by the extraction of cool deep sea water which reduces the electricity consumption of urban air-conditioning units.

  2. Fatigue reassessment for lifetime extension of offshore wind monopile substructures

    NASA Astrophysics Data System (ADS)

    Ziegler, Lisa; Muskulus, Michael

    2016-09-01

    Fatigue reassessment is required to decide about lifetime extension of aging offshore wind farms. This paper presents a methodology to identify important parameters to monitor during the operational phase of offshore wind turbines. An elementary effects method is applied to analyze the global sensitivity of residual fatigue lifetimes to environmental, structural and operational parameters. Therefore, renewed lifetime simulations are performed for a case study which consists of a 5 MW turbine with monopile substructure in 20 m water depth. Results show that corrosion, turbine availability, and turbulence intensity are the most influential parameters. This can vary strongly for other settings (water depth, turbine size, etc.) making case-specific assessments necessary.

  3. Structural option design in JZ20-2 offshore project

    SciTech Connect

    Wang Lianqi

    1993-12-31

    In the JZ20-2 Project, ice and earthquakes are the main loads which determine the member sizes of offshore structures. UQ and W platforms are located at same field. The vertical loads of an UQ platform are about two times as much as a W platform, but structural steel weight used by two platforms is about the same. This paper describes the results to be acquired and how to determine reasonably the standard of ice load and the resistance to earthquakes with less stiffness and large mass. This paper presents some useful principles and enlightenment for offshore engineering.

  4. Foam pigs solve pipe cleaning problems offshore Brazil

    SciTech Connect

    Lima, P.C.R.; Neto, S.J.A.

    1995-10-02

    Pipeline systems in which conventional pigs cannot be run are common in such complex offshore installations as are found in Brazil`s Campos basin. These systems may contain changing pipe diameters or wet christmas trees and manifolds. A new concept for using low cost, low-density foam pigs for both liquid removal in wet-gas pipelines and paraffin removal in oil and multiphase pipelines has been successfully tested offshore Brazil. Although the present discussion focuses on condensate and paraffin removal in pipelines, the principles can be applied to several kinds of operations including general pipeline cleaning, product removal or separation in pipeline, corrosion evaluation, and chemical product application.

  5. Offshore and coastal dispersion (OCD) model. Users guide

    SciTech Connect

    Hanna, S.R.; Schulman, L.L.; Paine, R.J.; Pleim, J.E.

    1984-09-01

    The Offshore and Coastal Dispersion (OCD) model was adapted from the EPA guideline model MPTER to simulate the effect of offshore emissions from point sources in coastal regions. Modifications were made to incorporate overwater plume transport and dispersion as well as changes that occur as the plume crosses the shoreline. Hourly meteorological data are needed from overwater and overland locations. Turbulence intensities are used but are not mandatory. For overwater dispersion, the turbulence intensities are parameterized from boundary-layer similarity relationships if they are not measured. Specifications of emission characteristics and receptor locations are the same as for MPTER; 250 point sources and 180 receptors may be used.

  6. Offshore and coastal dispersion (OCD) model. User's guide

    SciTech Connect

    Hanna, S.R.; Schulman, L.L.; Paine, R.J.; Pleim, J.E.

    1984-09-01

    The Offshore Coastal Dispersion (OCD) model was adapted from the EPA guideline model MPTER to simulate the effect of offshore emissions from point sources in coastal regions. Modifications were made to incorporate overwater plume transport and dispersion as well as changes that occur as the plume crosses the shoreline. Hourly meteorological data are needed from overwater and overland locations. For overwater dispersion, the turbulence intensities are parameterized from boundary layer similarity relationships if they are not measured. A virtual source technique is used to change the rate of plume growth as the overwater plume intercepts the overland internal boundary layer.

  7. 2014-2015 Offshore Wind Technologies Market Report

    SciTech Connect

    Smith, Aaron; Stehly, Tyler; Musial, Walter

    2015-09-01

    This report provides data and analysis to assess the status of the U.S. offshore wind industry through June 30, 2015. It builds on the foundation laid by the Navigant Consortium, which produced three market reports between 2012 and 2014. The report summarizes domestic and global market developments, technology trends, and economic data to help U.S. offshore wind industry stakeholders, including policymakers, regulators, developers, financiers, and supply chain participants, to identify barriers and opportunities. Title page contains link to associated data tables posted at http://www.nrel.gov/docs/fy15osti/64283_data_tables.xlsx.

  8. 75 FR 12560 - Certificate of Alternative Compliance for the Offshore Supply Vessel BUMBLE BEE

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-03-16

    ... SECURITY Coast Guard Certificate of Alternative Compliance for the Offshore Supply Vessel BUMBLE BEE AGENCY... Compliance was issued for the offshore supply vessel BUMBLE BEE as required by 33 U.S.C. 1605(c) and 33 CFR... of Federal Regulations, Parts 81 and 89, has been issued for the offshore supply vessel BUMBLE BEE,...

  9. Proceedings of the 6th international offshore mechanics and Arctic engineering symposium, Vol. 4

    SciTech Connect

    Lunardini, V.J.; Sinha, N.K.; Wang, Y.S.; Goff, R.D.

    1987-01-01

    This book presents the papers given at a conference on offshore platforms. Topics considered at the conference included spray ice islands, arctic structures and operations, arctic thermal and permafrost engineering, ice properties, offshore drilling, foundations, offshore exploration, crude oil storage facilities, thermosyphons, heat transfer, concretes, wave forces, and soil mechanics.

  10. 75 FR 26783 - Certificate of Alternative Compliance for the Offshore Supply Vessel JOSHUA CANDIES

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-05-12

    ... of Alternative Compliance for the Offshore Supply Vessel JOSHUA CANDIES AGENCY: Coast Guard, DHS... issued for the offshore supply vessel JOSHUA CANDIES 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 JOSHUA CANDIES, O.N. 1219732...

  11. 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...

  12. 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...

  13. 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...

  14. 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...

  15. 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...

  16. Offshore Wind Jobs and Economic Development Impact: Four Regional Scenarios (Presentation)

    SciTech Connect

    Tegen, S.

    2014-11-01

    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.

  17. 75 FR 29569 - Certificate of Alternative Compliance for the Offshore Supply Vessel JANSON R. GRAHAM

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-05-26

    ... of Alternative Compliance for the Offshore Supply Vessel JANSON R. GRAHAM AGENCY: Coast Guard, DHS... issued for the offshore supply vessel JANSON R. GRAHAM 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 JANSON R. GRAHAM, O.N....

  18. 33 CFR 165.1156 - Safety Zone; Offshore Marine Terminal, El Segundo, CA.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 33 Navigation and Navigable Waters 2 2014-07-01 2014-07-01 false Safety Zone; Offshore Marine... § 165.1156 Safety Zone; Offshore Marine Terminal, El Segundo, CA. (a) Location. The following area is a... vessels authorized to use the offshore marine terminal for loading or unloading; (ii) Commercial...

  19. 33 CFR 165.1156 - Safety Zone; Offshore Marine Terminal, El Segundo, CA.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 33 Navigation and Navigable Waters 2 2011-07-01 2011-07-01 false Safety Zone; Offshore Marine... § 165.1156 Safety Zone; Offshore Marine Terminal, El Segundo, CA. (a) Location. The following area is a... vessels authorized to use the offshore marine terminal for loading or unloading; (ii) Commercial...

  20. 33 CFR 165.1156 - Safety Zone; Offshore Marine Terminal, El Segundo, CA.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 33 Navigation and Navigable Waters 2 2012-07-01 2012-07-01 false Safety Zone; Offshore Marine... § 165.1156 Safety Zone; Offshore Marine Terminal, El Segundo, CA. (a) Location. The following area is a... vessels authorized to use the offshore marine terminal for loading or unloading; (ii) Commercial...

  1. 78 FR 66763 - Information Collection: Oil Spill Financial Responsibility for Offshore Facilities; Submitted for...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2013-11-06

    ... Bureau of Ocean Energy Management Information Collection: Oil Spill Financial Responsibility for Offshore... requirements for 30 CFR 553, Oil Spill Financial Responsibility for Offshore Facilities, as well as the revised... Financial Responsibility for Offshore Facilities. Forms: BOEM-1016 through 1023 and BOEM-1025....

  2. 75 FR 21648 - MMS Information Collection Activity: 1010-0106, Oil Spill Financial Responsibility for Offshore...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-04-26

    ... Responsibility for Offshore Facilities, Extension of a Collection; Comment Request AGENCY: Minerals Management... Part 253, Oil Spill Financial Responsibility for Offshore Facilities.'' DATES: Submit written comments... Responsibility for Offshore Facilities. Forms: MMS-1016, 1017, 1018, 1019, 1020, 1021, and 1022. OMB...

  3. 78 FR 16529 - Notice of Determination of No Competitive Interest, Offshore Virginia

    Federal Register 2010, 2011, 2012, 2013, 2014

    2013-03-15

    ... Bureau of Ocean Energy Management Notice of Determination of No Competitive Interest, Offshore Virginia... Competitive Interest (DNCI) for a Proposed Outer Continental Shelf (OCS) Research Lease Offshore Virginia... Energy on the Outer Continental Shelf Offshore Virginia, that BOEM published on December 21, 2012, (77...

  4. 75 FR 69652 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-11-15

    ... and Offshore Drilling AGENCY: Department of Energy, Office of Fossil Energy. ACTION: Notice of open... Horizon Oil Spill and Offshore Drilling (the Commission). The Commission was organized pursuant to the... to guard against, and mitigate the impact of, any oil spills associated with offshore drilling in the...

  5. 75 FR 37783 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-06-30

    ... National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling AGENCY: Department of... meeting of the National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling (the... offshore drilling in the future. The Commission is composed of seven members appointed by the President to...

  6. 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...

  7. 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...

  8. 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...

  9. 75 FR 56526 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-09-16

    ... National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling AGENCY: Department of... meeting of the National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling (the... with offshore drilling in the future. The Commission is composed of seven members appointed by the...

  10. 75 FR 65309 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-10-22

    ... National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling AGENCY: Department of... meeting of the National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling (the..., and mitigate the impact of, any oil spills associated with offshore drilling in the future. The...

  11. 75 FR 60097 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-09-29

    ... National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling AGENCY: Department of... meeting of the National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling (the... associated with offshore drilling in the future. The Commission is composed of seven members appointed by the...

  12. 75 FR 47584 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-08-06

    ... National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling AGENCY: Department of... meeting for the National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling (the..., and mitigate the impact of, any oil spills associated with offshore drilling in the future. The...

  13. 40 CFR 435.10 - Applicability; description of the offshore subcategory.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... offshore subcategory. 435.10 Section 435.10 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) EFFLUENT GUIDELINES AND STANDARDS (CONTINUED) OIL AND GAS EXTRACTION POINT SOURCE CATEGORY Offshore Subcategory § 435.10 Applicability; description of the offshore subcategory. The provisions...

  14. 40 CFR 435.10 - Applicability; description of the offshore subcategory.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... offshore subcategory. 435.10 Section 435.10 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) EFFLUENT GUIDELINES AND STANDARDS (CONTINUED) OIL AND GAS EXTRACTION POINT SOURCE CATEGORY Offshore Subcategory § 435.10 Applicability; description of the offshore subcategory. The provisions...

  15. 40 CFR 435.10 - Applicability; description of the offshore subcategory.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... offshore subcategory. 435.10 Section 435.10 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) EFFLUENT GUIDELINES AND STANDARDS (CONTINUED) OIL AND GAS EXTRACTION POINT SOURCE CATEGORY Offshore Subcategory § 435.10 Applicability; description of the offshore subcategory. The provisions...

  16. 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...

  17. 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...

  18. 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...

  19. 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...

  20. Proceedings of the 21st annual offshore technology conference. Volume 1

    SciTech Connect

    Not Available

    1989-01-01

    This book contains the proceedings of a conference on offshore technology. Topics covered include: underwater wet welding of higher strength offshore steels; the proposed extended-reach drilling project; North Sea experience with aluminum drillpipe; and load transfer mechanism to offshore jackets during pile driving.

  1. 75 FR 4547 - High Island Offshore System, L.L.C.; Notice of Application

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-01-28

    ... Energy Regulatory Commission High Island 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... questions regarding this application should be directed to Jeff Molinaro, High Island Offshore System,...

  2. 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...

  3. 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...

  4. 33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ...; 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...

  5. 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...

  6. 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...

  7. 75 FR 17755 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-ATLAS

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-04-07

    ... SECURITY Coast Guard Certificate of Alternative Compliance for the Offshore Supply Vessel C-ATLAS AGENCY... Compliance was issued for the offshore supply vessel C-ATLAS as required by 33 U.S.C. 1605(c) and 33 CFR 81... Regulations, Parts 81 and 89, has been issued for the offshore supply vessel C-ATLAS. Full compliance with...

  8. 76 FR 49759 - Enbridge Offshore Pipelines (UTOS) LLC; Notice of Application

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-08-11

    ... Energy Regulatory Commission Enbridge Offshore Pipelines (UTOS) LLC; Notice of Application Take notice that on August 1, 2011, Enbridge Offshore Pipelines (UTOS) LLC, (UTOS) filed an application in Docket... application should be directed to Cynthia Hornstein Roney, Manager, Regulatory Compliance, Enbridge Offshore...

  9. 75 FR 20372 - Certificate of Alternative Compliance for the Offshore Supply Vessel RIG RUNNER

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-04-19

    ... SECURITY Coast Guard Certificate of Alternative Compliance for the Offshore Supply Vessel RIG RUNNER AGENCY... Compliance was issued for the offshore supply vessel RIG RUNNER as required by 33 U.S.C. 1605(c) and 33 CFR... issued for the offshore supply vessel RIG RUNNER, O.N. 1222591. Full compliance with 72 COLREGS and...

  10. 77 FR 54908 - TC Offshore, LLC; Notice Establishing Deadline for Comments

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-09-06

    ... From the Federal Register Online via the Government Publishing Office DEPARTMENT OF ENERGY Federal Energy Regulatory Commission TC Offshore, LLC; Notice Establishing Deadline for Comments On August 29, 2012, TC Offshore, LLC (TC Offshore) filed a response to the Commission's August 16, 2012 Data Request...

  11. 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...

  12. 75 FR 39956 - Certificate of Alternative Compliance for the Offshore Supply Vessel MARIE ELISE

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-07-13

    ... SECURITY Coast Guard Certificate of Alternative Compliance for the Offshore Supply Vessel MARIE ELISE... Alternative Compliance was issued for the offshore supply vessel MARIE ELISE as required by 33 U.S.C. 1605(c... Title 33, Code of Federal Regulation, Parts 81 and 89, has been issued for the offshore supply...

  13. 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...

  14. 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...

  15. 77 FR 70172 - Lifesaving and Fire-Fighting Equipment, Training and Drills Onboard Offshore Facilities and...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-11-23

    ... SECURITY Coast Guard Lifesaving and Fire-Fighting Equipment, Training and Drills Onboard Offshore Facilities and Mobile Offshore Drilling Units (MODUs) Operating on the U.S. Outer Continental Shelf (OCS... Offshore Drilling Unit (MODU) DEEPWATER HORIZON, in the Gulf of Mexico on April 20, 2010, with loss of...

  16. 77 FR 71607 - Mobile Offshore Drilling Unit (MODU) Electrical Equipment Certification Guidance

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-12-03

    ... SECURITY Coast Guard Mobile Offshore Drilling Unit (MODU) Electrical Equipment Certification Guidance... regarding electrical equipment installed in hazardous areas on foreign-flagged Mobile Offshore Drilling... and Equipment of Mobile Offshore Drilling Units (2009 IMO MODU Code) sets forth standards for...

  17. JacketSE: An Offshore Wind Turbine Jacket Sizing Tool; Theory Manual and Sample Usage with Preliminary Validation

    SciTech Connect

    Damiani, Rick

    2016-02-08

    This manual summarizes the theory and preliminary verifications of the JacketSE module, which is an offshore jacket sizing tool that is part of the Wind-Plant Integrated System Design & Engineering Model toolbox. JacketSE is based on a finite-element formulation and on user-prescribed inputs and design standards' criteria (constraints). The physics are highly simplified, with a primary focus on satisfying ultimate limit states and modal performance requirements. Preliminary validation work included comparing industry data and verification against ANSYS, a commercial finite-element analysis package. The results are encouraging, and future improvements to the code are recommended in this manual.

  18. Supporting Off-Shore Students: A Preliminary Study

    ERIC Educational Resources Information Center

    Hussin, Virginia

    2007-01-01

    This paper reports on the first part of a recent research study into current initiatives to support the learning of non-English speaking background (NESB) transnational students in Asia who are studying off-shore at Australian universities. Learning support and development staff in 12 universities were surveyed using a questionnaire. The survey…

  19. 75 FR 65025 - National Offshore Safety Advisory Committee

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-10-21

    ... SECURITY Coast Guard National Offshore Safety Advisory Committee AGENCY: Coast Guard, DHS. ACTION: Notice...) 445-9000, on November 9, 2010. Public participation is welcome and members of the public wishing to.... citizens for their manning purposes. (9) International Maritime Organization (IMO) Updates concerning...

  20. 31 CFR 542.406 - Offshore transactions involving blocked property.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 31 Money and Finance:Treasury 3 2014-07-01 2014-07-01 false Offshore transactions involving blocked property. 542.406 Section 542.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY SYRIAN...

  1. U.S. Offshore Wind Manufacturing and Supply Chain Development

    SciTech Connect

    Hamilton, Bruce

    2013-02-22

    This report seeks to provide an organized, analytical approach to identifying and bounding uncertainties around offshore wind manufacturing and supply chain capabilities; projecting potential component-level supply chain needs under three demand scenarios; and identifying key supply chain challenges and opportunities facing the future U.S. market and current suppliers of the nation’s landbased wind market.

  2. Software Development Offshoring Competitiveness: A Case Study of ASEAN Countries

    ERIC Educational Resources Information Center

    Bui, Minh Q.

    2011-01-01

    With the success of offshoring within the American software industry, corporate executives are moving their software developments overseas. The member countries of the Association of Southeast Asian Nations (ASEAN) have become a preferred destination. However, there is a lack of published studies on the region's software competitiveness in…

  3. Offshore Oil Drilling: Buying Energy Independence or Buying Time?

    ERIC Educational Resources Information Center

    Baird, Stephen L.

    2008-01-01

    This article addresses the issues and concerns about offshore oil drilling in the United States. The demand for energy is going up, not down, and for a long time, even as alternative sources of energy are developed, more oil will be needed. The strongest argument against drilling is that it could distract the country from the pursuit of…

  4. Onshore-offshore coastal lithofacies of Polis basin, NW Cyprus

    SciTech Connect

    Ward, L.C. )

    1988-08-01

    The Polis basin, northwest Cyprus, is located between the Akamas Peninsula and the main Troodos ophiolite massif. The basin contains sediments of Miocene-Holocene age and allows detailed study of a range of onshore-offshore coastal lithofacies which represent potential reservoirs. Coastal sediments of Messinian age characterized by algal mats and fluvial channel fill are found in the basin. Following very late Miocene rifting and Pliocene transgression, steep, narrow, faulted coastlines were produced, and several coastal facies were generated. These include coastal alluvial fans, offshore reefs, and tectonically generated cliff deposits as olistolith blocks. The steep, faulted coastline generated fan-delta deposits in early Pliocene time, superseded during late Pliocene regression by carbonate fan deltas. Offshore coastal lithofacies include storm-generated deposits, consisting of rip-up clasts and hummocky cross-stratification in sand-silt sequences, and mass-flow and channelized conglomerates and debris flows in this tectonically active basin. Shoreline sands are dominated by long-shore drift which generated longitudinal sandbars and offshore gravel bars. Pleistocene-age deposits show several suites of coastal deposits, formed in response to oscillations in Pleistocene sea level. These include beach deposits demonstrating beach-crest and planar bimodal back-beach deposits, together with coastal lagoons transected by cross-bedded fluvial conglomerate deposits. In addition, lowstands produced large channelized braided fluvial deposits which formed part of a broad coastal plain. Certain Pleistocene channels are deformed by continuing synsedimentary tectonic activity.

  5. 31 CFR 537.406 - Offshore transactions involving blocked property.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 31 Money and Finance:Treasury 3 2014-07-01 2014-07-01 false Offshore transactions involving blocked property. 537.406 Section 537.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY BURMESE...

  6. Offshore energy boom providing opportunities outside Medicare's umbrella.

    PubMed

    Robb, N

    1998-09-08

    Physicians upset by limits imposed by the medicare system are getting a chance to spread their entrepreneurial wings on the East Coast. A boom in offshore exploration, led by Newfoundland's massive Hibernia project, has led to numerous business opportunities for physicians.

  7. Issues in offshore platform research - Part 1: Semi-submersibles

    NASA Astrophysics Data System (ADS)

    Sharma, R.; Kim, Tae-Wan; Sha, O. P.; Misra, S. C.

    2010-09-01

    Availability of economic and efficient energy resources is crucial to a nation's development. Because of their low cost and advancement in drilling and exploration technologies, oil and gas based energy systems are the most widely used energy source throughout the world. The inexpensive oil and gas based energy systems are used for everything, i.e., from transportation of goods and people to the harvesting of crops for food. As the energy demand continues to rise, there is strong need for inexpensive energy solutions. An offshore platform is a large structure that is used to house workers and machinery needed to drill wells in the ocean bed, extract oil and/or natural gas, process the produced fluids, and ship or pipe them to shore. Depending on the circumstances, the offshore platform can be fixed (to the ocean floor) or can consist of an artificial island or can float. Semi-submersibles are used for various purposes in offshore and marine engineering, e.g. crane vessels, drilling vessels, tourist vessels, production platforms and accommodation facilities, etc. The challenges of deepwater drilling have further motivated the researchers to design optimum choices for semi-submersibles for a chosen operating depth. In our series of eight papers, we discuss the design and production aspects of all the types of offshore platforms. In the present part I, we present an introduction and critical analysis of semi-submersibles.

  8. Offshore Resource Assessment and Design Conditions Public Meeting Summary Report

    SciTech Connect

    none,

    2011-09-01

    The Department of Energy's Wind and Water Power Program hosted a public meeting in June 2011 that focused on the critical meteorological and oceanographic measurements and data needed for successful deployment of offshore renewable energy technologies, including wind and marine and hydrokinetic. The objective was to develop a tactical plan to guide future program investments in filling possible information gaps.

  9. Transnational Higher Education: Offshore Campuses in the Middle East

    ERIC Educational Resources Information Center

    Miller-Idriss, Cynthia; Hanauer, Elizabeth

    2011-01-01

    This paper maps the landscape of transnational higher education in the Middle East, focusing in particular on the recent expansion of satellite, branch, and offshore educational institutions and programs that foreign institutions have set up in the region. Of the estimated 100 branch campuses currently operating worldwide, over one-third are in…

  10. Bidding optimum bonus for federal offshore oil and gas leases

    SciTech Connect

    Lohrenz, J.

    1987-09-01

    How a bidder should bid for federal offshore oil and gas leases offered by bonus bidding is detailed. Quantitative answers are given for bidders seeking to maximize value as well as reserves. The winner's curse is delineated. Further, it is shown how bidding as a joint venture rather than solo can diminish bidders' values.

  11. Higher Skills and the Knowledge Economy: The Challenge of Offshoring

    ERIC Educational Resources Information Center

    Craig, John; Gunn, Andrew

    2010-01-01

    Recent economics literature on offshoring highlights the trend towards the relocation of high-skill jobs to emerging economies. This evolution presents a challenge to the established knowledge economy discourse on which the relationship between higher education, higher skills, higher productivity and higher incomes has been based. This paper…

  12. Proceedings of the nineteenth annual offshore technology conference. Vol. 1

    SciTech Connect

    Not Available

    1987-01-01

    This book presents the papers given at a conference on offshore platforms. Topics considered at the conference included soil-structure interactions, foundations, hydrodynamics, remotely operated vehicles, wave forces, seismic surveys, morrings, marine risers, steel platform repairs, underwater welding, underwater inspections, wave equations, well completion, damping, anchors, field tests, mechanical vibrations, and hydraulic equipment.

  13. Operators, service companies improve horizontal drilling accuracy offshore

    SciTech Connect

    Lyle, D.

    1996-04-01

    Continuing efforts to get more and better measurement and logging equipment closer to the bit improve accuracy in offshore drilling. Using current technology, both in measurement while drilling and logging while drilling, a target can consistently be hit within five vertical feet.

  14. Virginia Offshore Wind Cost Reduction Through Innovation Study (VOWCRIS) (Poster)

    SciTech Connect

    Maples, B.; Campbell, J.; Arora, D.

    2014-10-01

    The VOWCRIS project is an integrated systems approach to the feasibility-level design, performance, and cost-of-energy estimate for a notional 600-megawatt offshore wind project using site characteristics that apply to the Wind Energy Areas of Virginia, Maryland and North Carolina.

  15. Portable life support for instrumentation of an offshore platform

    NASA Technical Reports Server (NTRS)

    Mull, M. M.; Coffin, C. L.

    1972-01-01

    A compressor was used to supply air through a nylon hose to the offshore platform field engineer working at the bottom of the piling. Air quality in the pile was sampled periodically for carbon dioxide, carbon monoxide, hydrogen sulfide, and combustible gases by an universal tester and an explosion meter.

  16. Managing Offshore Branch Campuses: An Analytical Framework for Institutional Strategies

    ERIC Educational Resources Information Center

    Shams, Farshid; Huisman, Jeroen

    2012-01-01

    The aim of this article is to develop a framework that encapsulates the key managerial complexities of running offshore branch campuses. In the transnational higher education (TNHE) literature, several managerial ramifications and impediments have been addressed by scholars and practitioners. However, the strands of the literature are highly…

  17. Safety off-shore drilling and pumping platform

    SciTech Connect

    Cunningham, B.H.

    1983-07-26

    A safety off-shore drilling, pumping and storage platform for oilwells is provided, wherein the structure has a first funnel like structure which floats near the ocean floor connected by a long tube to a second floating funnel platform which floats on the surface of the water.

  18. 76 FR 70350 - West Oahu Offshore Security Zone

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-11-14

    ... Offshore Zone does not include the entrance of Barbers Point Harbor Channel or the four lagoons adjacent to... north of the northern most lagoon at the Ko'olina Resort, to 1000 yards south, along the coast, of Ko'olina's northern most lagoon to 1000 yards to seaward from both points and then connected with...

  19. 77 FR 4572 - National Offshore Safety Advisory Committee; Vacancies

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-01-30

    ... Homeland Security on matters and actions concerning activities directly involved with or in support of the exploration of offshore mineral and energy resources insofar as they relate to matters within Coast Guard....C. section 451 and advises the Secretary of Homeland Security on matters and actions concerning...

  20. Transnational Higher Education: Offshore Campuses in the Middle East

    ERIC Educational Resources Information Center

    Miller-Idriss, Cynthia; Hanauer, Elizabeth

    2011-01-01

    This paper maps the landscape of transnational higher education in the Middle East, focusing in particular on the recent expansion of satellite, branch, and offshore educational institutions and programs that foreign institutions have set up in the region. Of the estimated 100 branch campuses currently operating worldwide, over one-third are in…

  1. Experiment study of the motion of the floating offshore turbine

    NASA Astrophysics Data System (ADS)

    Chuang, Tzu-Ching; Hsu, Wen-Yang; Yang, Ray-Yeng; Chen, Yang-Yi

    2016-04-01

    Recently the wind industry moved to offshore areas. The floating wind turbine combined the platform and the mooring system. This research focuses on studying the motion of the floating offshore turbine with a mooring system. The platform, which was developed by the Ship and Ocean Industries R&D Center, had been test in a wave-wind flume in the Tainan Hydraulics Laboratory by using a 1:50 Froude scaling model. In the experiment, the floating offshore turbine was placed in a water flume and exposed to periodic waves at frequencies ranging from 0.22 rad/s - 0.875 rad/s, the wave amplitude is about 2.5 meter, and with the different pretension of the mooring lines. The experiment includes the measurement of damping coefficient from the free decay test and the dynamic response in a sea state. This research compares the motion of the floating offshore turbine with the different pretension of the mooring lines, and the model provides comprehensive data for the operational, design, and survival seas states, as well as the calibration and improvement of the existing design and performance of numerical models.

  2. Offshore energy boom providing opportunities outside medicare's umbrella

    PubMed Central

    Robb, N

    1998-01-01

    Physicians upset by limits imposed by the medicare system are getting a chance to spread their entrepreneurial wings on the East Coast. A boom in offshore exploration, led by Newfoundland's massive Hibernia project, has led to numerous business opportunities for physicians. PMID:9757185

  3. California State Waters Map Series: offshore of Salt Point, California

    USGS Publications Warehouse

    Johnson, Samuel Y.; Dartnell, Peter; Golden, Nadine E.; Hartwell, Stephen R.; Erdey, Mercedes D.; Greene, H. Gary; Cochrane, Guy R.; Kvitek, Rikk G.; Manson, Michael W.; Endris, Charles A.; Dieter, Bryan E.; Watt, Janet T.; 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 Salt Point map area include unconsolidated continental shelf sediments, mixed continental shelf substrate, and hard continental shelf substrate. 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.

  4. Higher Skills and the Knowledge Economy: The Challenge of Offshoring

    ERIC Educational Resources Information Center

    Craig, John; Gunn, Andrew

    2010-01-01

    Recent economics literature on offshoring highlights the trend towards the relocation of high-skill jobs to emerging economies. This evolution presents a challenge to the established knowledge economy discourse on which the relationship between higher education, higher skills, higher productivity and higher incomes has been based. This paper…

  5. 49 CFR 195.57 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2010 CFR

    2010-10-01

    ... 49 Transportation 3 2010-10-01 2010-10-01 false Filing offshore pipeline condition reports. 195.57 Section 195.57 Transportation Other Regulations Relating to Transportation (Continued) PIPELINE AND HAZARDOUS MATERIALS SAFETY ADMINISTRATION, DEPARTMENT OF TRANSPORTATION (CONTINUED) PIPELINE...

  6. 49 CFR 195.57 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2012 CFR

    2012-10-01

    ... 49 Transportation 3 2012-10-01 2012-10-01 false Filing offshore pipeline condition reports. 195.57 Section 195.57 Transportation Other Regulations Relating to Transportation (Continued) PIPELINE AND HAZARDOUS MATERIALS SAFETY ADMINISTRATION, DEPARTMENT OF TRANSPORTATION (CONTINUED) PIPELINE...

  7. 49 CFR 195.57 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2011 CFR

    2011-10-01

    ... 49 Transportation 3 2011-10-01 2011-10-01 false Filing offshore pipeline condition reports. 195.57 Section 195.57 Transportation Other Regulations Relating to Transportation (Continued) PIPELINE AND HAZARDOUS MATERIALS SAFETY ADMINISTRATION, DEPARTMENT OF TRANSPORTATION (CONTINUED) PIPELINE...

  8. 49 CFR 195.57 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2014 CFR

    2014-10-01

    ... 49 Transportation 3 2014-10-01 2014-10-01 false Filing offshore pipeline condition reports. 195.57 Section 195.57 Transportation Other Regulations Relating to Transportation (Continued) PIPELINE AND HAZARDOUS MATERIALS SAFETY ADMINISTRATION, DEPARTMENT OF TRANSPORTATION (CONTINUED) PIPELINE...

  9. Challenges in simulating coastal effects on an offshore wind farm

    NASA Astrophysics Data System (ADS)

    van der Laan, M. P.; Peña, A.; Volker, P.; Hansen, K. S.; Sørensen, N. N.; Ott, S.; Hasager, C. B.

    2017-05-01

    The effect of a coastline on an offshore wind farm is investigated with a Reynolds-averaged Navier-Stokes (RANS) model. The trends of the RANS model compare relatively well with results from a mesoscale model and measurements of wind turbine power. In addition, challenges of modeling a large domain in RANS are discussed.

  10. 49 CFR 195.57 - Filing offshore pipeline condition reports.

    Code of Federal Regulations, 2013 CFR

    2013-10-01

    ... information: (1) Name and principal address of operator. (2) Date of report. (3) Name, job title, and business... available, the location according to the Minerals Management Service or state offshore area and block number... location; including, if available, the location according to the Minerals Management Service or state...

  11. Electrical Collection and Transmission Systems for Offshore Wind Power: Preprint

    SciTech Connect

    Green, J.; Bowen, A.; Fingersh, L.J.; Wan, Y.

    2007-03-01

    The electrical systems needed for offshore wind farms to collect power from wind turbines--and transmit it to shore--will be a significant cost element of these systems. This paper describes the development of a simplified model of the cost and performance of such systems.

  12. 47 CFR 22.1037 - Application requirements for offshore stations.

    Code of Federal Regulations, 2014 CFR

    2014-10-01

    ... of the antenna; and, (6) The effective radiated power. (b) The proposed station will not interfere... any base or mobile station using the channels between 488 and 494 MHz. ... 47 Telecommunication 2 2014-10-01 2014-10-01 false Application requirements for offshore...

  13. Software Development Offshoring Competitiveness: A Case Study of ASEAN Countries

    ERIC Educational Resources Information Center

    Bui, Minh Q.

    2011-01-01

    With the success of offshoring within the American software industry, corporate executives are moving their software developments overseas. The member countries of the Association of Southeast Asian Nations (ASEAN) have become a preferred destination. However, there is a lack of published studies on the region's software competitiveness in…

  14. Development and evaluation of the offshore and coastal dispersion model

    SciTech Connect

    Hanna, S.R.; Schulman, L.L.; Paine, R.J.; Pleim, J.E.; Baer, M.

    1985-10-01

    The Offshore and Coastal Dispersion (OCD) model has been developed for the Minerals Management Service (MMS) to determine the impact of offshore and onshore emissions from point sources on the air quality of coastal regions. Constructed on the framework of the EPA guideline model MPTER, the OCD model incorporates overwater plume transport and dispersion as well as changes that occur as the plume crosses the shoreline. Hourly meteorological data are needed from both offshore and onshore locations, including wind direction and speed, mixing height, overwater air temperature and relative humidity, and the sea surface temperature. Observed turbulence intensities are preferred by the model but are not mandatory. Dispersion coefficients are proportional to turbulence intensities. A virtual source technique is used to change the rate of plume growth as the overwater plume intercepts the overland internal boundary layer. The continuous shoreline fumigation case is treated using an approach suggested by Deardorff and Willis. Calculation of plume reflection from elevated terrain follows the Rough Terrain Dispersion Model (RTDM). The OCD model and the modified EPA model used as an interim model for overwater applications by the MMS were tested with measurements from three offshore tracer experiments. The OCD model was shown to be a clear improvement over the EPA model and was officially approved by the MMS in March 1985.

  15. Effects of Offshore Wind Turbines on Ocean Waves

    NASA Astrophysics Data System (ADS)

    Wimer, Nicholas; Churchfield, Matthew; Hamlington, Peter

    2014-11-01

    Wakes from horizontal axis wind turbines create large downstream velocity deficits, thus reducing the available energy for downstream turbines while simultaneously increasing turbulent loading. Along with this deficit, however, comes a local increase in the velocity around the turbine rotor, resulting in increased surface wind speeds. For offshore turbines, these increased speeds can result in changes to the properties of wind-induced waves at the ocean surface. In this study, the characteristics and implications of such waves are explored by coupling a wave simulation code to the Simulator for Offshore Wind Farm Applications (SOWFA) developed by the National Renewable Energy Laboratory. The wave simulator and SOWFA are bi-directionally coupled using the surface wind field produced by an offshore wind farm to drive an ocean wave field, which is used to calculate a wave-dependent surface roughness that is fed back into SOWFA. The details of this combined framework are outlined. The potential for using the wave field created at offshore wind farms as an additional energy resource through the installation of on-site wave converters is discussed. Potential negative impacts of the turbine-induced wave field are also discussed, including increased oscillation of floating turbines.

  16. Namibia, practically unexplored, may have land, offshore potential

    SciTech Connect

    Light, M.P.R. ); Shimutwikeni, N. )

    1991-04-08

    Namibia became an independent nation in March 1990. Lying in southwestern Africa, it has an onshore area of 823,144 sq km with a coastline some 1,400 km long (Figs. 1,2). The offshore area, out to the 1,000 m isobath, is 340,000 sq km. This is equal to the combined offshore areas of Gabon, Congo, Zaire, and Angola. The hydrocarbon potential of this vast region is virtually unexplored because of political uncertainties that affected the country in the years until independence. Now, however, the country has a democratically elected government, political stability, and a positive and realistic attitude towards foreign investment. The authors describe the recently enacted petroleum legislation, taxation system, and hydrocarbon potential of Namibia. A licensing round (both offshore and onshore) has just been announced and will close Nov. 1, 1991. The new onshore and offshore blocks are shown. Through the activities of Namcor, the national petroleum corporation, and Intera ECL, Namibia is emerging as one of the few remaining countries of the world where truly giant fields could be found.

  17. 47 CFR 22.1007 - Channels for offshore radiotelephone systems.

    Code of Federal Regulations, 2012 CFR

    2012-10-01

    ... located in the specified geographical zones that provide offshore radiotelephone service. All channels have a bandwidth of 20 kHz and are designated by their center frequencies in MegaHertz. (a) Zone A—Southern Louisiana. The geographical area in Zone A is bounded as follows: From longitude W.87°45′ on...

  18. 47 CFR 22.1007 - Channels for offshore radiotelephone systems.

    Code of Federal Regulations, 2014 CFR

    2014-10-01

    ... located in the specified geographical zones that provide offshore radiotelephone service. All channels have a bandwidth of 20 kHz and are designated by their center frequencies in MegaHertz. (a) Zone A—Southern Louisiana. The geographical area in Zone A is bounded as follows: From longitude W.87°45′ on...

  19. 47 CFR 22.1007 - Channels for offshore radiotelephone systems.

    Code of Federal Regulations, 2013 CFR

    2013-10-01

    ... located in the specified geographical zones that provide offshore radiotelephone service. All channels have a bandwidth of 20 kHz and are designated by their center frequencies in MegaHertz. (a) Zone A—Southern Louisiana. The geographical area in Zone A is bounded as follows: From longitude W.87°45′ on...

  20. Analysis of Intellectual Property Protection Issues in Offshore Outsourcing

    ERIC Educational Resources Information Center

    Singh, Satinder Pal

    2013-01-01

    Offshore outsourcing is a business strategy that involves contracting with a partner who can take over certain aspects of a company's business, such as information technology (IT) functions, in the interests of efficiency and cost savings. The purpose of this study was to analyze the intellectual property protection issues to achieve a better…