Atmospheric Characterization of the US Offshore Sites and Impact on Turbine Performance (Poster)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Arora, Dhiraj; Ehrmann, Robert; Zuo, Delong
Reliable, long term offshore atmospheric data is critical to development of the US offshore wind industry. There exists significant lack of meteorological, oceanographic, and geological data at potential US offshore sites. Assessment of wind resources at heights in the range of 25-200m is needed to understand and characterize offshore wind turbine performance. Data from the US Department of Energy owned WindSentinel buoy from two US offshore sites and one European site is analyzed. Low Level Jet (LLJ) phenomena and its potential impact on the performance of an offshore wind turbine is investigated.
Visual simulation of offshore liquefied natural gas (lng) terminals in a decision-making context
Brian E. Baird; Stephen R. J. Sheppard; Richard C. Smardon
1979-01-01
Due to legislation passed in 1977, the Coastal Commission tock part in a study analyzing potential offshore Liquified Natural Gas (LNG) sites and the types of terminals that might occupy those sites. The study had to evaluate the engineering feasibility of siting an LNG receiving terminal offshore in relation to the maximum protection of coastal resource provisions...
Lamb, Robert W.
2018-01-01
Kelp forests provide important ecosystem services, yet coastal kelp communities are increasingly altered by anthropogenic impacts. Kelp forests in remote, offshore locations may provide an informative contrast due to reduced impacts from local stressors. We tested the hypothesis that shallow kelp assemblages (12–15 m depth) and associated fish and benthic communities in the coastal southwest Gulf of Maine (GOM) differed significantly from sites on Cashes Ledge, 145 km offshore by sampling five coastal and three offshore sites at 43.0 +/- 0.07° N latitude. Offshore sites on Cashes Ledge supported the greatest density (47.8 plants m2) and standing crop biomass (5.5 kg m2 fresh weight) of the foundation species Saccharina latissima kelp at this depth in the Western North Atlantic. Offshore densities of S. latissima were over 150 times greater than at coastal sites, with similar but lower magnitude trends for congeneric S. digitata. Despite these differences, S. latissima underwent a significant 36.2% decrease between 1987 and 2015 on Cashes Ledge, concurrent with a rapid warming of the GOM and invasion by the kelp-encrusting bryozoan Membranipora membranacea. In contrast to kelp, the invasive red alga Dasysiphonia japonica was significantly more abundant at coastal sites, suggesting light or dispersal limitation offshore. Spatial differences in fish abundance mirrored those of kelp, as the average biomass of all fish on Cashes Ledge was 305 times greater than at the coastal sites. Remote video censuses of cod (Gadus morhua), cunner (Tautaogolabrus adspersus), and pollock (Pollachius virens) corroborated these findings. Understory benthic communities also differed between regions, with greater abundance of sessile invertebrates offshore. Populations of kelp-consuming sea urchins Stronglyocentrotus droebachiensis, were virtually absent from Cashes Ledge while small urchins were abundant onshore, suggesting recruitment limitation offshore. Despite widespread warming of the GOM since 1987, extraordinary spatial differences in the abundance of primary producers (kelp), consumers (cod) and benthic communities between coastal and offshore sites have persisted. The shallow kelp forest communities offshore on Cashes Ledge represent an oasis of unusually high kelp and fish abundance in the region, and as such, comprise a persistent abundance hotspot that is functionally significant for sustained biological productivity of offshore regions of the Gulf of Maine. PMID:29298307
Witman, Jon D; Lamb, Robert W
2018-01-01
Kelp forests provide important ecosystem services, yet coastal kelp communities are increasingly altered by anthropogenic impacts. Kelp forests in remote, offshore locations may provide an informative contrast due to reduced impacts from local stressors. We tested the hypothesis that shallow kelp assemblages (12-15 m depth) and associated fish and benthic communities in the coastal southwest Gulf of Maine (GOM) differed significantly from sites on Cashes Ledge, 145 km offshore by sampling five coastal and three offshore sites at 43.0 +/- 0.07° N latitude. Offshore sites on Cashes Ledge supported the greatest density (47.8 plants m2) and standing crop biomass (5.5 kg m2 fresh weight) of the foundation species Saccharina latissima kelp at this depth in the Western North Atlantic. Offshore densities of S. latissima were over 150 times greater than at coastal sites, with similar but lower magnitude trends for congeneric S. digitata. Despite these differences, S. latissima underwent a significant 36.2% decrease between 1987 and 2015 on Cashes Ledge, concurrent with a rapid warming of the GOM and invasion by the kelp-encrusting bryozoan Membranipora membranacea. In contrast to kelp, the invasive red alga Dasysiphonia japonica was significantly more abundant at coastal sites, suggesting light or dispersal limitation offshore. Spatial differences in fish abundance mirrored those of kelp, as the average biomass of all fish on Cashes Ledge was 305 times greater than at the coastal sites. Remote video censuses of cod (Gadus morhua), cunner (Tautaogolabrus adspersus), and pollock (Pollachius virens) corroborated these findings. Understory benthic communities also differed between regions, with greater abundance of sessile invertebrates offshore. Populations of kelp-consuming sea urchins Stronglyocentrotus droebachiensis, were virtually absent from Cashes Ledge while small urchins were abundant onshore, suggesting recruitment limitation offshore. Despite widespread warming of the GOM since 1987, extraordinary spatial differences in the abundance of primary producers (kelp), consumers (cod) and benthic communities between coastal and offshore sites have persisted. The shallow kelp forest communities offshore on Cashes Ledge represent an oasis of unusually high kelp and fish abundance in the region, and as such, comprise a persistent abundance hotspot that is functionally significant for sustained biological productivity of offshore regions of the Gulf of Maine.
Regional variation in fish predation intensity: a historical perspective in the Gulf of Maine.
Witman, Jon D; Sebens, Kenneth P
1992-06-01
Regional variation in the intensity of fish predation on tethered brittle stars and crabs was measured at 30-33 m depths in the rocky subtidal zone at seven sites representing coastal and offshore regions of the Gulf of Maine, USA. Analysis of covariance comparing the slopes of brittle star survivorship curves followed by multiple comparisons tests revealed five groupings of sites, with significantly greater predation rates in the two offshore than in the three coastal groups. Brittle stars tethered at the three offshore sites were consumed primarily by cod, Gadus morhua, with 60-100% prey mortality occuring in 2.5 h. In striking contrast, only 6-28% of brittle star prey was consumed in the same amount of time at the four coastal sites, which were dominated by cunner, Tautogolabrus adspersus. In several coastal trials, a majority of brittle star prey remained after 24 h. The pattern of higher predation offshore held for rock crabs as well with only 2.7% of tethered crabs consumed (n=36) at coastal sites versus 57.8% of crabs (n=64) consumed at offshore sites. Another important predatory fish, the wolffish, Anarhichas lupus, consumed more tethered crabs than brittle stars. Videos and time-lapse movies indicated that cod and wolffish were significantly more abundant at offshore than at coastal sites. Three hundred years of fishing pressure in New England has severely depleted stocks of at least one important benthic predator, the cod, in coastal waters. We speculate that this human-induced predator removal has lowered predation pressure on crabs and other large mobile epibenthos in deep coastal communities. Transect data indicate that coastal sites with few cod support significantly higher densities of crabs than offshore sites with abundant cod.
Federal Register 2010, 2011, 2012, 2013, 2014
2012-02-06
...] Commercial Wind Leasing and Site Assessment Activities on the Atlantic Outer Continental Shelf Offshore... governments, offshore wind energy developers, and the public in the Department of the Interior's (DOI) ``Smart from the Start'' wind energy initiative offshore Massachusetts. The purpose of the ``Smart from the...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walt
2015-11-12
Specifically, the work under this CRADA includes, but is not limited to, the development of test procedures for an offshore test site in Delaware waters; testing of installed offshore wind turbines; performance monitoring of those turbines; and a program of research and development on offshore wind turbine blades, components, coatings, foundations, installation and construction of bottom-fixed structures, environmental impacts, policies, and more generally on means to enhance the reliability, facilitate permitting, and reduce costs for offshore wind turbines. This work will be conducted both at NREL's National Wind Technology Center and participant facilities, as well as the established offshore windmore » test sites.« less
Boore, D.M.; Smith, C.E.
1999-01-01
For more than 20 years, a program has been underway to obtain records of earthquake shaking on the seafloor at sites offshore of southern California, near oil platforms. The primary goal of the program is to obtain data that can help determine if ground motions at offshore sites are significantly different than those at onshore sites; if so, caution may be necessary in using onshore motions as the basis for the seismic design of oil platforms. We analyze data from eight earthquakes recorded at six offshore sites; these are the most important data recorded on these stations to date. Seven of the earthquakes were recorded at only one offshore station; the eighth event was recorded at two sites. The earthquakes range in magnitude from 4.7 to 6.1. Because of the scarcity of multiple recordings from any one event, most of the analysis is based on the ratio of spectra from vertical and horizontal components of motion. The results clearly show that the offshore motions have very low vertical motions compared to those from an average onshore site, particularly at short periods. Theoretical calculations find that the water layer has little effect on the horizontal components of motion but that it produces a strong spectral null on the vertical component at the resonant frequency of P waves in the water layer. The vertical-to-horizontal ratios for a few selected onshore sites underlain by relatively low shear-wave velocities are similar to the ratios from offshore sites for frequencies less than about one-half the water layer P-wave resonant frequency, suggesting that the shear-wave velocities beneath a site are more important than the water layer in determining the character of the ground motions at lower frequencies.
Evaluation of offshore stocking of Lake Trout in Lake Ontario
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 targets.
The onshore influence of offshore fresh groundwater
NASA Astrophysics Data System (ADS)
Knight, Andrew C.; Werner, Adrian D.; Morgan, Leanne K.
2018-06-01
Freshwater contained within the submarine extensions of coastal aquifers is increasingly proposed as a freshwater source for coastal communities. However, the extent to which offshore freshwater supports onshore pumping is currently unknown on a global scale. This study provides the first attempt to examine the likely prevalence of situations where offshore freshwater influences onshore salinities, considering various sites from around the world. The groundwater conditions in twenty-seven confined and semi-confined coastal aquifers with plausible connections to inferred or observed offshore freshwater are explored. The investigation uses available onshore salinities and groundwater levels, and offshore salinity knowledge, in combination with analytical modelling, to develop simplified conceptual models of the study sites. Seven different conceptual models are proposed based on the freshwater-saltwater extent and insights gained from analytical modelling. We consider both present-day and pre-development conditions in assessing potential modern contributions to offshore fresh groundwater. Conceptual models also include interpretations of whether offshore freshwater is a significant factor influencing onshore salinities and well pumping sustainability. The results indicate that onshore water levels have declined between pre-development and present-day conditions in fourteen of the fifteen regions for which pre-development data are available. Estimates of the associated steady-state freshwater extents show the potential for considerable offshore fresh groundwater losses accompanying these declines. Both present-day and pre-development heads are insufficient to account for the observed offshore freshwater in all cases where adequate data exist. This suggests that paleo-freshwater and/or aquifer heterogeneities contribute significantly to offshore freshwater extent. Present-day heads indicate that active seawater intrusion (SWI) will eventually impact onshore pumping wells at fourteen of the twenty-seven sites, while passive SWI is expected onshore in an additional ten regions. Albeit the number of field sites is limited, there is sufficient evidence to indicate that when offshore freshwater has an onshore linkage, it is being mined either passively or actively by onshore use. Thus, offshore freshwater should be assessed in coastal water balances presuming that it serves as an existing freshwater input, rather than as a new potential freshwater resource.
Estimating the Economic Potential of Offshore Wind in the United States
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, P.; Musial, W.; Smith, A.
The potential for cost reduction and market deployment for offshore wind varies considerably within the United States. This analysis estimates the future economic viability of offshore wind at more than 7,000 sites under a variety of electric sector and cost reduction scenarios. Identifying the economic potential of offshore wind at a high geospatial resolution can capture the significant variation in local offshore resource quality, costs, and revenue potential. In estimating economic potential, this article applies a method initially developed in Brown et al. (2015) to offshore wind and estimates the sensitivity of results under a variety of most likely electricmore » sector scenarios. For the purposes of this analysis, a theoretical framework is developed introducing a novel offshore resource classification system that is analogous to established resource classifications from the oil and gas sector. Analyzing economic potential within this framework can help establish a refined understanding across industries of the technology and site-specific risks and opportunities associated with future offshore wind development. The results of this analysis are intended to inform the development of the U.S. Department of Energy's offshore wind strategy.« less
30 CFR 291.108 - How do I pay the processing fee?
Code of Federal Regulations, 2010 CFR
2010-07-01
... Web site may be accessed through links on the MMS Offshore Web site at: http://www.mms.gov/offshore/homepage (on drop-down topic list) or directly through Pay.Gov at: https://www.pay.gov/paygov/. (b) You...
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 the farm. A more thorough optimization highlighted the features of the area that would result in a minimized COE. The results showed reasonable layout designs and COE estimates that are consistent with existing offshore wind farms.
Federal Register 2010, 2011, 2012, 2013, 2014
2013-02-05
...] Commercial Wind Leasing and Site Assessment Activities on the Atlantic Outer Continental Shelf (OCS) Offshore... Assessment (EA) for Commercial Wind Leasing and Site Assessment Activities on the OCS Offshore North Carolina... INFORMATION: Background: On December 13, 2012, BOEM published the Notice in the Federal Register (77 FR 74218...
NASA Astrophysics Data System (ADS)
Hill, D.; Bell, K. R. W.; McMillan, D.; Infield, D.
2014-05-01
The growth of wind power production in the electricity portfolio is striving to meet ambitious targets set, for example by the EU, to reduce greenhouse gas emissions by 20% by 2020. Huge investments are now being made in new offshore wind farms around UK coastal waters that will have a major impact on the GB electrical supply. Representations of the UK wind field in syntheses which capture the inherent structure and correlations between different locations including offshore sites are required. Here, Vector Auto-Regressive (VAR) models are presented and extended in a novel way to incorporate offshore time series from a pan-European meteorological model called COSMO, with onshore wind speeds from the MIDAS dataset provided by the British Atmospheric Data Centre. Forecasting ability onshore is shown to be improved with the inclusion of the offshore sites with improvements of up to 25% in RMS error at 6 h ahead. In addition, the VAR model is used to synthesise time series of wind at each offshore site, which are then used to estimate wind farm capacity factors at the sites in question. These are then compared with estimates of capacity factors derived from the work of Hawkins et al. (2011). A good degree of agreement is established indicating that this synthesis tool should be useful in power system impact studies.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Miles, P.R.; Malme, C.I.; Shepard, G.W.
1986-10-01
Research was performed during the first year (1985) of the two-year project investigating potential responsiveness of bowhead and gray whales to underwater sounds associated with offshore oil-drilling sites in the Alaskan Beaufort Sea. The underwater acoustic environment and sound propagation characteristics of five offshore sites were determined. Estimates of industrial noise levels versus distance from those sites are provided. LGL Ltd. (bowhead) and BBN (gray whale) jointly present zones of responsiveness of these whales to typical underwater sounds (drillship, dredge, tugs, drilling at gravel island). An annotated bibliography regarding the potential effects of offshore industrial noise on bowhead whales inmore » the Beaufort Sea is included.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, Philipp; Stehly, Tyler
The potential for cost reduction and economic viability for offshore wind varies considerably within the United States. This analysis models the cost impact of a range of offshore wind locational cost variables across more than 7,000 potential coastal sites in the United States' offshore wind resource area. It also assesses the impact of over 50 technology innovations on potential future costs between 2015 and 2027 (Commercial Operation Date) for both fixed-bottom and floating wind systems. Comparing these costs to an initial assessment of local avoided generating costs, this analysis provides a framework for estimating the economic potential for offshore wind.more » Analyzing economic potential within this framework can help establish a refined understanding across industries of the technology and site-specific risks and opportunities associated with future offshore wind development. The findings from the original report indicate that under the modeled scenario, offshore wind can be expected to achieve significant cost reductions and may approach economic viability in some parts of the United States within the next 15 years.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, Philipp; Musial, Walter; Smith, Aaron
This report describes a comprehensive effort undertaken by the National Renewable Energy Laboratory (NREL) to understand the cost of offshore wind energy for markets in the United States. The study models the cost impacts of a range of offshore wind locational cost variables for more than 7,000 potential coastal sites in U.S. offshore wind resource areas. It also assesses the impact of more than 50 technology innovations on potential future costs for both fixed-bottom and floating wind systems. Comparing these costs to an initial site-specific assessment of local avoided generating costs, the analysis provides a framework for estimating the economicmore » potential for offshore wind. The analysis is intended to inform a broad set of stakeholders and enable an assessment of offshore wind as part of energy development and energy portfolio planning. It provides information that federal and state agencies and planning commissions could use to inform initial strategic decisions about offshore wind developments in the United States.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Stewart, Gordon M.; Robertson, Amy; Jonkman, Jason
A database of meteorological and ocean conditions is presented for use in offshore wind energy research and design. The original data are from 23 ocean sites around the USA and were obtained from the National Data Buoy Center run by the National Oceanic and Atmospheric Administration. The data are presented in a processed form that includes the variables of interest for offshore wind energy design: wind speed, significant wave height, wave peak-spectral period, wind direction and wave direction. For each site, a binning process is conducted to create conditional probability functions for each of these variables. The sites are thenmore » grouped according to geographic location and combined to create three representative sites, including a West Coast site, an East Coast site and a Gulf of Mexico site. Both the processed data and the probability distribution parameters for the individual and representative sites are being hosted on a publicly available domain by the National Renewable Energy Laboratory, with the intent of providing a standard basis of comparison for meteorological and ocean conditions for offshore wind energy research worldwide.« less
Assessing the responses of coastal cetaceans to the construction of offshore wind turbines.
Thompson, Paul M; Lusseau, David; Barton, Tim; Simmons, Dave; Rusin, Jan; Bailey, Helen
2010-08-01
The expansion of offshore renewables has raised concerns over potential disturbance to coastal cetaceans. In this study, we used passive acoustic monitoring to assess whether cetaceans responded to pile-driving noise during the installation of two 5MW offshore wind turbines off NE Scotland in 2006. Monitoring was carried out at both the turbine site and a control site in 2005, 2006 and 2007. Harbour porpoises occurred regularly around the turbine site in all years, but there was some evidence that porpoises did respond to disturbance from installation activities. We use these findings to highlight how uncertainty over cetacean distribution and the scale of disturbance effects constrains opportunities for B-A-C-I studies. We explore alternative approaches to assessing the impact of offshore wind farm upon cetaceans, and make recommendations for the research and monitoring that will be required to underpin future developments. Copyright 2010 Elsevier Ltd. All rights reserved.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Peterson, Trevor; Pelletier, Steve; Giovanni, Matt
This report summarizes results of a long-term regional acoustic survey of bat activity at remote islands, offshore structures, and coastal sites in the Gulf of Maine, Great Lakes, and mid-Atlantic coast.
30 CFR 250.126 - Electronic payment instructions.
Code of Federal Regulations, 2013 CFR
2013-07-01
... Electronic payment instructions. You must file all payments electronically through Pay.gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the BSEE Offshore Web site at: http://www.bsee.gov/offshore/ homepage or...
30 CFR 250.126 - Electronic payment instructions.
Code of Federal Regulations, 2012 CFR
2012-07-01
... Electronic payment instructions. You must file all payments electronically through Pay.gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the BSEE Offshore Web site at: http://www.bsee.gov/offshore/ homepage or...
30 CFR 250.126 - Electronic payment instructions.
Code of Federal Regulations, 2014 CFR
2014-07-01
... Electronic payment instructions. You must file all payments electronically through Pay.gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the BSEE Offshore Web site at: http://www.bsee.gov/offshore/ homepage or...
30 CFR 203.3 - Do I have to pay a fee to request royalty relief?
Code of Federal Regulations, 2011 CFR
2011-07-01
... electronically through the Pay.gov Web site and you must include a copy of the Pay.gov confirmation receipt page with your application or assessment. The Pay.gov Web site may be accessed through a link on the MMS Offshore Web site at: http://www.mms.gov/offshore/ homepage or directly through Pay.gov at: https://www.pay...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Roberts, Jesse D.; Jason Magalen; Craig Jones
This guidance document provide s the reader with an overview of the key environmental considerations for a typical offshore wind coastal location and the tools to help guide the reader through a thoro ugh planning process. It will enable readers to identify the key coastal processes relevant to their offshore wind site and perform pertinent analysis to guide siting and layout design, with the goal of minimizing costs associated with planning, permitting , and long - ter m maintenance. The document highlight s site characterization and assessment techniques for evaluating spatial patterns of sediment dynamics in the vicinity of amore » wind farm under typical, extreme, and storm conditions. Finally, the document des cribe s the assimilation of all of this information into the conceptual site model (CSM) to aid the decision - making processes.« less
30 CFR 550.126 - Electronic payment instructions.
Code of Federal Regulations, 2014 CFR
2014-07-01
... payment instructions. You must file all payments electronically through Pay.gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the BOEM Offshore Web site at: http://www.boem.gov/offshore/ homepage or directly through Pay...
30 CFR 550.126 - Electronic payment instructions.
Code of Federal Regulations, 2012 CFR
2012-07-01
... payment instructions. You must file all payments electronically through Pay.gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the BOEM Offshore Web site at: http://www.boem.gov/offshore/ homepage or directly through Pay...
30 CFR 550.126 - Electronic payment instructions.
Code of Federal Regulations, 2013 CFR
2013-07-01
... payment instructions. You must file all payments electronically through Pay.gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the BOEM Offshore Web site at: http://www.boem.gov/offshore/ homepage or directly through Pay...
30 CFR 250.126 - Electronic payment instructions.
Code of Federal Regulations, 2011 CFR
2011-07-01
....gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the MMS Offshore Web site at: http://www.mms.gov/offshore/ homepage or directly through Pay.gov at: https://www.pay.gov/paygov/. (a) If you submitted an application...
30 CFR 250.126 - Electronic payment instructions.
Code of Federal Regulations, 2010 CFR
2010-07-01
... instructions. You must file all payments electronically through Pay.gov. This includes, but is not limited to, all OCS applications or filing fee payments. The Pay.gov Web site may be accessed through a link on the MMS Offshore Web site at: http://www.mms.gov/offshore/ homepage or directly through Pay.gov at...
2014 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana; Connerton, Michael J.; LaPan, Steve; Biesinger, Zy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2015-01-01
Soluble reactive phosphorus (SRP) concentrations have been stable in nearshore and offshore habitats since 1998 (0.4 – 3.3 μg/L). SRP concentrations were low in 2014; Apr/May – Oct mean values were <1 μg/L at most sites. Spring TP concentrations at individual sites exceeded 10 μg/L on occasion, but spring means were below the 10 μg/L target set by the Great Lakes Water Quality Agreement of 1978 for offshore waters of Lake Ontario. TP concentrations were low at both nearshore and offshore locations; Apr/May – Oct mean values from individual sites ranged from 4.6 – 9.1 μg/L. Spring TP has declined significantly in the longer data series (since 1981), but not since 1995 indicating stable nutrient loading into Lake Ontario for nearly two decades. It averaged 7.8 μg/L in the nearshore and 5.6 μg/L in the offshore in 2014.Chlorophyll-a and secchi depth values are indicative of oligotrophic conditions in nearshore and offshore habitats. Offshore summer chlorophyll-a declined significantly in both the short- (2000-2014) and long-term (1981-2014) time series at a rate of 4-6% per year. Nearshore chlorophyll-a increased after 2003 but then declined again after 2009. Epilimnetic chlorophyll-a averaged between 0.6 and 1.6 μg/L across sites with no difference between nearshore and offshore habitats. Apr/May – Oct Secchi depth ranged from 4.0 m to 10.8 m at individual sites and was higher in the offshore (average 9.1 m) than nearshore (5.9 m).In 2014, Apr/May – Oct epilimnetic zooplankton density, size, and biomass were not different between the offshore and the nearshore, and there were no differences in epilimnetic biomass between offshore and nearshore areas for any of the zooplankton groups.Zooplankton density and biomass peaked in September, an atypical pattern. This coincided with peaks in calanoid copepod, daphnid, and Holopedium biomass. Holopedium biomass in the nearshore increased significantly since 1995.The predatory cladoceran Cercopagis continued to be abundant in the summer, peaking at ~10 mg/m3in the offshore. Bythotrephes biomass was at its lowest level since 2005 in both offshore and nearshore habitats.Summer nearshore zooplankton density and biomass have declined significantly since 1995 at rates of 9-10% per year but have remained stable since 2005. However, bosminids and daphnids increased in 2013 and 2014.Summer offshore zooplankton density and biomass declined significantly in the long-term (since 1981), but remained at a lower stable level 2000 – 2014. A positive change point in 2013 is due to increases in bosminids, cyclopoid copepods, and daphnids.The observed decline in zooplankton biomass may be due in part to redistribution of zooplankton throughout the water column. Most of the zooplankton biomass was in the metalimnion and hypolimnion during the stratified period in 2014. By October, the bulk of the biomass was in the epilimnion.
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.
Federal Register 2010, 2011, 2012, 2013, 2014
2010-10-05
...'s planned Delaware and New Jersey Offshore Wind Parks. The purpose of installing the MDCFs is to determine the feasibility of a commercial-scale offshore wind energy park at the proposed project site... collected during offshore wind farm construction in European waters to estimate the distances to NMFS...
30 CFR 291.108 - How do I pay the processing fee?
Code of Federal Regulations, 2011 CFR
2011-07-01
... electronically through Pay.Gov. The Pay.Gov Web site may be accessed through links on the MMS Offshore Web site at: http://www.mms.gov/offshore/homepage (on drop-down topic list) or directly through Pay.Gov at: https://www.pay.gov/paygov/. (b) You must include with the payment: (1) Your taxpayer identification...
30 CFR 291.108 - How do I pay the processing fee?
Code of Federal Regulations, 2014 CFR
2014-07-01
... electronically through Pay.Gov. The Pay.Gov Web site may be accessed through links on the BSEE Offshore Web site at: http://www.bsee.gov/offshore/homepage (on drop-down topic list) or directly through Pay.Gov at: https://www.pay.gov/paygov/. (b) You must include with the payment: (1) Your taxpayer identification...
30 CFR 291.108 - How do I pay the processing fee?
Code of Federal Regulations, 2013 CFR
2013-07-01
... electronically through Pay.Gov. The Pay.Gov Web site may be accessed through links on the BSEE Offshore Web site at: http://www.bsee.gov/offshore/homepage (on drop-down topic list) or directly through Pay.Gov at: https://www.pay.gov/paygov/. (b) You must include with the payment: (1) Your taxpayer identification...
30 CFR 291.108 - How do I pay the processing fee?
Code of Federal Regulations, 2012 CFR
2012-07-01
... electronically through Pay.Gov. The Pay.Gov Web site may be accessed through links on the BSEE Offshore Web site at: http://www.bsee.gov/offshore/homepage (on drop-down topic list) or directly through Pay.Gov at: https://www.pay.gov/paygov/. (b) You must include with the payment: (1) Your taxpayer identification...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walter; Beiter, Philipp; Tegen, Suzanne
This report summarizes a study of possible offshore wind energy locations, technologies, and levelized cost of energy in the state of California between 2015 and 2030. The study was funded by the U.S. Department of the Interior's Bureau of Ocean Energy Management (BOEM), the federal agency responsible for regulating renewable energy development on the Outer Continental Shelf. It is based on reference wind energy areas where representative technology and performance characteristics were evaluated. These reference areas were identified as sites that were suitable to represent offshore wind cost and technology based on physical site conditions, wind resource quality, known existingmore » site use, and proximity to necessary infrastructure. The purpose of this study is to assist energy policy decision-making by state utilities, independent system operators, state government officials and policymakers, BOEM, and its key stakeholders. The report is not intended to serve as a prescreening exercise for possible future offshore wind development.« less
Dahl, Karsten; Mohn, Christian
2018-01-01
The development of offshore wind energy and other competing interests in sea space are a major incentive for designating marine and coastal areas for specific human activities. Maritime Spatial Planning (MSP) considers human activities at sea in a more integrated way by analysing and designating spatial and temporal distributions of human activities based on ecological, economic and social targets. However, specific tools supporting spatial decisions at sea incorporating all relevant sectors are rarely adopted. The decision support tool Marxan is traditionally used for systematic selection and designation of nature protection and conservation areas. In this study, Marxan was applied as a support tool to identify suitable sites for offshore wind power in the pilot area Pomeranian Bight / Arkona Basin in the western Baltic Sea. The software was successfully tested and scenarios were developed that support the sites indicated in existing national plans, but also show options for alternative developments of offshore wind power in the Pomeranian Bight / Arkona Basin area. PMID:29543878
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.
WindFloat Pacific Project, Final Scientific and Technical Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Banister, Kevin
2017-01-17
PPI’s WindFloat Pacific project (WFP) was an up to 30 MW floating offshore wind demonstration project proposed off the Coast of Oregon. The project was to be sited approximately 18 miles due west of Coos Bay, in over 1000 ft. of water, and is the first floating offshore wind array proposed in the United States, and the first offshore wind project of any kind proposed off the West Coast. PPI’s WindFloat, a semi-submersible foundation designed for high-capacity (6MW+) offshore wind turbines, is at the heart of the proposed project, and enables access to the world class wind resource at themore » project site and, equally, to other deep water, high wind resource areas around the country.« less
NASA Astrophysics Data System (ADS)
Kelly, Paige; Clementson, Lesley; Lyne, Vincent
2015-06-01
Sixty years of oceanographic in situ data at Port Hacking (34°S) and Maria Island (42°S) and 15 years of satellite-derived chlorophyll a (chl a) in inshore and offshore waters of southeast Australia show changes in the seasonality and trend of water properties consistent with long-term intensification and southerly extensions of East Australian Current (EAC) water. Decadal analyses reveal that the EAC extension water at Maria Island increased gradually from the 1940s to 1980s, followed by a rapid increase since the 1990s. This acceleration coincided with enhanced winter nitrate, implying increased injections of subantarctic water at Maria Island. Satellite-derived chl a at six coastal sites and offshore companion sites in the western Tasman Sea showed significant inshore-offshore variations in seasonal cycle and long-term trend. After 2004-2005, the Maria Island seasonal cycle became increasingly similar to those of Bass Strait and St. Helens, suggesting that the EAC extension water was extending further southward. Comparative analyses of inshore-offshore sites showed that the presence of EAC extension water declined offshore. Seasonal cycles at Maria Island show a recent shift away from the traditional spring bloom, toward increased winter biomass, and enhanced primary productivity consistent with extensions of warm, energetic EAC extension water and more frequent injections of cooler, fresher nitrate-replete waters. Overall, we find complex temporal, latitudinal, and inshore-offshore changes in multiple water masses, particularly at Maria Island, and changes in primary productivity that will profoundly impact fisheries and ecosystems.
NASA Astrophysics Data System (ADS)
He, Jiaying; Wang, Kai; Xiong, Jinbo; Guo, Annan; Zhang, Demin; Fei, Yuejun; Ye, Xiansen
2017-04-01
Anthropogenic nutrient discharge poses widespread threats to coastal ecosystems and has increased environmental gradients from coast to sea. Bacterioplankton play crucial roles in coastal biogeochemical cycling, and a variety of factors affect bacterial community diversity and structure. We used 16S rRNA gene pyrosequencing to investigate the spatial variation in bacterial community composition (BCC) across five sites on a coast-offshore gradient in the East China Sea. Overall, bacterial alpha-diversity did not differ across sites, except that richness and phylogenetic diversity were lower in the offshore sites, and the highest alpha-diversity was found in the most landward site, with Chl-a being the main factor. BCCs generally clustered into coastal and offshore groups. Chl-a explained 12.3% of the variation in BCCs, more than that explained by either the physicochemical (5.7%) or spatial (8.5%) variables. Nutrients (particularly nitrate and phosphate), along with phytoplankton abundance, were more important than other physicochemical factors, co-explaining 20.0% of the variation in BCCs. Additionally, a series of discriminant families (primarily affiliated with Gammaproteobacteria and Alphaproteobacteria), whose relative abundances correlated with Chl-a, DIN, and phosphate concentrations, were identified, implying their potential to indicate phytoplankton blooms and nutrient enrichment in this marine ecosystem. This study provides insight into bacterioplankton response patterns along a coast-offshore gradient, with phytoplankton abundance increasing in the offshore sites. Time-series sampling across multiple transects should be performed to determine the seasonal and spatial patterns in bacterial diversity and community structure along this gradient.
NASA Astrophysics Data System (ADS)
He, Jiaying; Wang, Kai; Xiong, Jinbo; Guo, Annan; Zhang, Demin; Fei, Yuejun; Ye, Xiansen
2018-03-01
Anthropogenic nutrient discharge poses widespread threats to coastal ecosystems and has increased environmental gradients from coast to sea. Bacterioplankton play crucial roles in coastal biogeochemical cycling, and a variety of factors affect bacterial community diversity and structure. We used 16S rRNA gene pyrosequencing to investigate the spatial variation in bacterial community composition (BCC) across five sites on a coast-offshore gradient in the East China Sea. Overall, bacterial alpha-diversity did not differ across sites, except that richness and phylogenetic diversity were lower in the offshore sites, and the highest alpha-diversity was found in the most landward site, with Chl-a being the main factor. BCCs generally clustered into coastal and offshore groups. Chl-a explained 12.3% of the variation in BCCs, more than that explained by either the physicochemical (5.7%) or spatial (8.5%) variables. Nutrients (particularly nitrate and phosphate), along with phytoplankton abundance, were more important than other physicochemical factors, co-explaining 20.0% of the variation in BCCs. Additionally, a series of discriminant families (primarily affiliated with Gammaproteobacteria and Alphaproteobacteria), whose relative abundances correlated with Chl-a, DIN, and phosphate concentrations, were identified, implying their potential to indicate phytoplankton blooms and nutrient enrichment in this marine ecosystem. This study provides insight into bacterioplankton response patterns along a coast-offshore gradient, with phytoplankton abundance increasing in the offshore sites. Time-series sampling across multiple transects should be performed to determine the seasonal and spatial patterns in bacterial diversity and community structure along this gradient.
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-03
... Wind One (ATLW1) Commercial Leasing for Wind Power on the Outer Continental Shelf Offshore Virginia... Notice for Commercial Leasing for Wind Power on the Outer Continental Shelf Offshore Virginia. SUMMARY... (FONSI) for commercial wind lease issuance and site assessment activities on the Atlantic OCS offshore...
Bronte, C.R.; Holey, M.E.; Madenjian, C.P.; Jonas, J.L.; Claramunt, R.M.; McKee, P.C.; Toneys, M.L.; Ebener, M.P.; Breidert, B.; Fleischer, G.W.; Hess, R.; Martell, A.W.; Olsen, E.J.
2007-01-01
We compared the relative abundance of lake trout Salvelinus namaycush spawners in gill nets during fall 1999–2001 in Lake Michigan at 19 stocked spawning sites with that at 25 unstocked sites to evaluate how effective site-specific stocking was in recolonizing historically important spawning reefs. The abundance of adult fish was higher at stocked onshore and offshore sites than at unstocked sites. This suggests that site-specific stocking is more effective at establishing spawning aggregations than relying on the ability of hatchery-reared lake trout to find spawning reefs, especially those offshore. Spawner densities were generally too low and too young at most sites to expect significant natural reproduction. However, densities were sufficiently high at some sites for reproduction to occur and therefore the lack of recruitment was attributable to other factors. Less than 3% of all spawners could have been wild fish, which indicates that little natural reproduction occurred in past years. Wounding by sea lamprey Petromyzon marinus was generally lower for Seneca Lake strain fish and highest for strains from Lake Superior. Fish captured at offshore sites in southern Lake Michigan had the lowest probability of wounding, while fish at onshore sites in northern Lake Michigan had the highest probability. The relative survival of the Seneca Lake strain was higher than that of the Lewis Lake or the Marquette strains for the older year-classes examined. Survival differences among strains were less evident for younger year-classes. Recaptures of coded-wire-tagged fish of five strains indicated that most fish returned to their stocking site or to a nearby site and that dispersal from stocking sites during spawning was about 100 km. Restoration strategies should rely on site-specific stocking of lake trout strains with good survival at selected historically important offshore spawning sites to increase egg deposition and the probability of natural reproduction in Lake Michigan.
Federal Register 2010, 2011, 2012, 2013, 2014
2011-06-14
... accurate meteorological and oceanographic information for evaluating the energy potential, economic viability, and engineering requirements of offshore project sites. The meeting is an opportunity for...
AAPG-CSD geologic provinces code map
DOE Office of Scientific and Technical Information (OSTI.GOV)
Meyer, R.F.; Wallace, L.G.; Wagner, F.J. Jr.
1991-10-01
This article provides the history of a revised geologic map which was drawn based on both surface geology and petroleum occurrence. The map includes offshore maps for California and the Gulf Coast of Texas and Louisiana. For onshore sites it provides geologic province boundaries which were drawn along county boundaries to approximate their position relative to oil and gas production. The offshore sites are drawn based on the universal transverse Mercator system.
Weinke, Anthony D; Kendall, Scott T; Kroll, Daniel J; Strickler, Eric A; Weinert, Maggie E; Holcomb, Thomas M; Defore, Angela A; Dila, Deborah K; Snider, Michael J; Gereaux, Leon C; Biddanda, Bopaiah A
2014-11-01
During the summers of 2002-2013, we measured rates of carbon metabolism in surface waters of six sites across a land-to-lake gradient from the upstream end of drowned river-mouth Muskegon Lake (ML) (freshwater estuary) to 19 km offshore in Lake Michigan (LM) (a Great Lake). Despite considerable inter-year variability, the average rates of gross production (GP), respiration (R) and net production (NP) across ML (604 ± 58, 222 ± 22 and 381 ± 52 µg C L -1 day -1 , respectively) decreased steeply in the furthest offshore LM site (22 ± 3, 55 ± 17 and -33 ± 15 µg C L -1 day -1 , respectively). Along this land-to-lake gradient, GP decreased by 96 ± 1%, whereas R only decreased by 75 ± 9%, variably influencing the carbon balance along this coastal zone. All ML sites were consistently net autotrophic (mean GP:R = 2.7), while the furthest offshore LM site was net heterotrophic (mean GP:R = 0.4). Our study suggests that pelagic waters of this Great Lakes coastal estuary are net carbon sinks that transition into net carbon sources offshore. Reactive and dynamic estuarine coastal zones everywhere may contribute similarly to regional and global carbon cycles.
Update on GPS-Acoustics Measurements on the Continental Slope of the Cascadia Subduction Zone
NASA Astrophysics Data System (ADS)
Chadwell, C. D.
2017-12-01
Land-based GPS measurements suggest the megathrust is locked offshore along the Cascadia Subduction Zone. However, land-based data alone lack geometric resolution to constrain the how the slip is distributed. GPS-Acoustic measurements can provide these constraints, but using traditional GPS-Acoustic approaches employing a ship is costly. Wave Gliders, a wave- and solar-powered, remotely-piloted sea surface platform, provide a low cost method for collecting GPS-A data. We have adapted GPS-Acoustic technology to the Wave Glider and in 2016 began annual measurements at three sites in the Cascadia Subduction Zone (CSZ). Here, we review positioning results collected during summer 2017 at two sites on the continental slope of the Cascadia Subduction Zone: One site is approximately 45 NM offshore central Oregon and the other approximately 50 NM offshore central Washington State. A third site is approximately 90 NM offshore central Oregon on the incoming Juan de Fuca plate. We will report on initial results of the GPS-A data collection and operational experiences of the missions in 2016 and 2017. Wave Glider based GPS-A measurement have the potential to significantly increase the number and frequency of measurements of strain accumulation in Cascadia Subduction Zone and elsewhere.
NASA Astrophysics Data System (ADS)
Xu, Kehui; Sanger, Denise; Riekerk, George; Crowe, Stacie; Van Dolah, Robert F.; Wren, P. Ansley; Ma, Yanxia
2014-08-01
Beach nourishment has been a strategy widely used to slow down coastal erosion in many beaches around the world. The dredging of sand at the borrow site, however, can have complicated physical, geological and ecological impacts. Our current knowledge is insufficient to make accurate predictions of sediment infilling in many dredging pits due to lack of detailed sediment data. Two sites in the sandy shoal southeast of Port Royal Sound (PRS) of South Carolina, USA, were sampled 8 times from April 2010 to March 2013; one site (defined as 'borrow site') was 2 km offshore and used as the dredging site for beach nourishment of nearby Hilton Head Island in Beaufort County, South Carolina, and the other site (defined as 'reference site') was 10 km offshore and not directly impacted by the dredging. A total of 184 surficial sediment samples were collected randomly at two sites during 8 sampling periods. Most sediments were fine sand, with an average grain size of 2.3 phi and an organic matter content less than 2%. After the dredging in December 2011-January 2012, sediments at the borrow site became finer, changing from 1.0 phi to 2.3 phi, and carbonate content decreased from 10% to 4%; changes in mud content and organic matter were small. Compared with the reference site, the borrow site experienced larger variations in mud and carbonate content. An additional 228 sub-samples were gathered from small cores collected at 5 fixed stations in the borrow site and 1 fixed station at the reference site 0, 3, 6, 9, and 12 months after the dredging; these down-core sub-samples were divided into 1-cm slices and analyzed using a laser diffraction particle size analyzer. Most cores were uniform vertically and consisted of fine sand with well to moderately well sorting and nearly symmetrical averaged skewness. Based on the analysis of grain size populations, 2 phi- and 3 phi-sized sediments were the most dynamic sand fractions in PRS. Mud deposition on shoals offshore of PRS presumably happens when offshore mud transport is prevalent and there is a following rapid sand accumulation to bury the mud. However, in this borrow site there was very little accumulation of mud. This will allow the site to be used in future nourishment projects presuming no accumulation of mud occurs in the future.
GAS HYDRATES AT TWO SITES OF AN ACTIVE CONTINENTAL MARGIN.
Kvenvolden, K.A.
1985-01-01
Sediment containing gas hydrates from two distant Deep Sea Drilling Project sites (565 and 568), located about 670 km apart on the landward flank of the Middle America Trench, was studied to determine the geochemical conditions that characterize the occurrence of gas hydrates. Site 565 was located in the Pacific Ocean offshore the Nicoya Peninsula of Costa Rica in 3,111 m of water. The depth of the hole at this site was 328 m, and gas hydrates were recovered from 285 and 319 m. Site 568 was located about 670 km to the northwest offshore Guatemala in 2,031 m of water. At this site the hole penetrated to 418 m, and gas hydrates were encountered at 404 m.
Where is the ideal location for a US East Coast offshore grid?
NASA Astrophysics Data System (ADS)
Dvorak, Michael J.; Stoutenburg, Eric D.; Archer, Cristina L.; Kempton, Willett; Jacobson, Mark Z.
2012-03-01
This paper identifies the location of an “ideal” offshore wind energy (OWE) grid on the U.S. East Coast that would (1) provide the highest overall and peak-time summer capacity factor, (2) use bottom-mounted turbine foundations (depth ≤50 m), (3) connect regional transmissions grids from New England to the Mid-Atlantic, and (4) have a smoothed power output, reduced hourly ramp rates and hours of zero power. Hourly, high-resolution mesoscale weather model data from 2006-2010 were used to approximate wind farm output. The offshore grid was located in the waters from Long Island, New York to the Georges Bank, ≈450 km east. Twelve candidate 500 MW wind farms were located randomly throughout that region. Four wind farms (2000 MW total capacity) were selected for their synergistic meteorological characteristics that reduced offshore grid variability. Sites likely to have sea breezes helped increase the grid capacity factor during peak time in the spring and summer months. Sites far offshore, dominated by powerful synoptic-scale storms, were included for their generally higher but more variable power output. By interconnecting all 4 farms via an offshore grid versus 4 individual interconnections, power was smoothed, the no-power events were reduced from 9% to 4%, and the combined capacity factor was 48% (gross). By interconnecting offshore wind energy farms ≈450 km apart, in regions with offshore wind energy resources driven by both synoptic-scale storms and mesoscale sea breezes, substantial reductions in low/no-power hours and hourly ramp rates can be made.
2015 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana; Connerton, Michael J.; LaPan, Steve; Biesinger, Zy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2016-01-01
Offshore spring total phosphorus (TP) in 2015 was 4.2 μ g/L, the same as in 2014; this is lower than 2001 - 2013, but there is no significant time trend 2001 - 2015. Offshore soluble reactive phosphorus (SRP) was very low in 2015; Apr/May - Oct mean values were <1 μ g/L at most sites. SRP has been stable in nearshore and offshore habitats since 1998 (range, 0.4 – 3.3 μ g/L). TP concentrations were low at both nearshore and offshore locations (range 4.2 - 8.1 μ g/L), and TP and SRP concentrations were significantly higher in the nearshore as compared to the offshore (6.8 μ g/L vs 4.8 μ g/L, TP; 1.1 μ g/L vs 0.7 μ g/L, SRP).Chlorophyll-a and Secchi depth values are indicative of oligotrophic conditions in nearshore and offshore habitats. Offshore summer chlorophyll- a declined significantly 2000 - 2015. Nearshore chlorophyll- a increased 1995 - 2004 but then declined 2005 - 2015. Epilimnetic chlorophyll-a averaged between 0.9 and 1.9 1 μg/L across sites, and offshore concentrations (1.4 1 μg/L) were significantly higher than nearshore (1.1 μg/L). Summer Secchi depth increased significantly in the offshore 2000 -2015 and showed no trend in the nearshore, 1995 - 2015. Apr/May - Oct Secchi depth ranged from 5.0 m to 13.0 m at individual sites and was higher in the offshore (9.5 m) than nearshore (6.2 m).In 2015, Apr/May - Oct epilimnetic zooplankton density, size, and biomass were not different between the offshore and the nearshore, but cyclopoid biomass was higher in the offshore (8.3 mg/m 3 vs 2.0 mg/m3) and Bythotrephes biomass was higher in the nearshore (0.17 mg/m3 vs 0.04 mg/m3).Zooplankton density and biomass peaked in September, an atypical pattern. This coincided with peaks in calanoid copepod, daphnid, and Holopedium Holopedium biomass in the nearshore has increased significantly since 1995.The predatory cladoceran Cercopagis continued to be abundant in summer in the nearshore (3.4 μ g/L) but not in the offshore (0.8 μ g/L). Bythotrephes biomass was very low (<0.3 μ g/L) in both nearshore and offshore habitats. Combined biomass of these predatory cladocerans in the offshore was the lowest recorded since 2001.Summer nearshore zooplankton density and biomass declined significantly 1995 - 2004 and then increased significantly 2005 – 2015. The decline was due to reductions in bosminids and cyclopoids and the increase was due mostly to a rebound in bosminids.Summer offshore zooplankton density and biomass increased significantly 2005 - 2015. The increase was due to an increase in bosminids and cyclopoids. In 2015, offshore summer epilimnetic zooplankton biomass was 52 mg/m3 (2005 - 2014 mean=18 mg/m3).Most zooplankton biomass was found in the metalimnion in July and in the hypolimnion in September. Cyclopoids and Limnocalanus dominated the metalimnion and Limnocalanus dominated the hypolimnion. Whole water column samples taken show a stable zooplankton biomass but changing community composition since 2010. Cyclopoids increased 2013 - 2015 and daphnids declined 2014 - 2015.
DOE Office of Scientific and Technical Information (OSTI.GOV)
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.
Tsai, Hsieh-Hung; Yuan, Chung-Shin; Hung, Chung-Hsuang; Lin, Chitsan; Lin, Yuan-Chung
2011-04-01
The influence of sea-land breezes (SLBs) on the spatial distribution and temporal variation of particulate matter (PM) in the atmosphere was investigated over coastal Taiwan. PM was simultaneously sampled at inland and offshore locations during three intensive sampling periods. The intensive PM sampling protocol was continuously conducted over a 48-hr period. During this time, PM2.5 and PM(2.5-10) (PM with aerodynamic diameters < 2.5 microm and between 2.5 and 10 microm, respectively) were simultaneously measured with dichotomous samplers at four sites (two inland and two offshore sites) and PM10 (PM with aerodynamic diameters < or =10 microm) was measured with beta-ray monitors at these same 4 sites and at 10 sites of the Taiwan Air Quality Monitoring Network. PM sampling on a mobile air quality monitoring boat was further conducted along the coastline to collect offshore PM using a beta-ray monitor and a dichotomous sampler. Data obtained from the inland sites (n=12) and offshore sites (n=2) were applied to plot the PM10 concentration contour using Surfer software. This study also used a three-dimensional meteorological model (Pennsylvania State University/National Center for Atmospheric Research Meteorological Model 5) and the Comprehensive Air Quality Model with Extensions to simulate surface wind fields and spatial distribution of PM10 over the coastal region during the intensive sampling periods. Spatial distribution of PM10 concentration was further used in investigating the influence of SLBs on the transport of PM10 over the coastal region. Field measurement and model simulation results showed that PM10 was transported back and forth across the coastline. In particular, a high PM10 concentration was observed at the inland sites during the day because of sea breezes, whereas a high PM10 concentration was detected offshore at night because of land breezes. This study revealed that the accumulation of PM in the near-ocean region because of SLBs influenced the tempospatial distribution of PM10 over the coastal region.
Methods of measurement of exploratory well impacts, offshore Florida
Dustan, Phillip A.; Kindinger, Jack L.; Lidz, B.H.; Hudson, J.H.
1990-01-01
Six offshore oil well tests were drilled off Key West in the late 1950s and early 1960s. Two wells were drilled on coral bottom, two on carbonate sand, and two on mixed turtle grass and gorgonian/sponge hardbottom. After locating the sites with a proton magnetometer; several underwater assessment methods were used to measure the ecological impacts of drilling. Because of differing environments and bottom types, no single method was applicable at every site.
Gis-Based Wind Farm Site Selection Model Offshore Abu Dhabi Emirate, Uae
NASA Astrophysics Data System (ADS)
Saleous, N.; Issa, S.; Mazrouei, J. Al
2016-06-01
The United Arab Emirates (UAE) government has declared the increased use of alternative energy a strategic goal and has invested in identifying and developing various sources of such energy. This study aimed at assessing the viability of establishing wind farms offshore the Emirate of Abu Dhabi, UAE and to identify favourable sites for such farms using Geographic Information Systems (GIS) procedures and algorithms. Based on previous studies and on local requirements, a set of suitability criteria was developed including ocean currents, reserved areas, seabed topography, and wind speed. GIS layers were created and a weighted overlay GIS model based on the above mentioned criteria was built to identify suitable sites for hosting a new offshore wind energy farm. Results showed that most of Abu Dhabi offshore areas were unsuitable, largely due to the presence of restricted zones (marine protected areas, oil extraction platforms and oil pipelines in particular). However, some suitable sites could be identified, especially around Delma Island and North of Jabal Barakah in the Western Region. The environmental impact of potential wind farm locations and associated cables on the marine ecology was examined to ensure minimal disturbance to marine life. Further research is needed to specify wind mills characteristics that suit the study area especially with the presence of heavy traffic due to many oil production and shipping activities in the Arabian Gulf most of the year.
Quantitative CMMI Assessment for Offshoring through the Analysis of Project Management Repositories
NASA Astrophysics Data System (ADS)
Sunetnanta, Thanwadee; Nobprapai, Ni-On; Gotel, Olly
The nature of distributed teams and the existence of multiple sites in offshore software development projects pose a challenging setting for software process improvement. Often, the improvement and appraisal of software processes is achieved through a turnkey solution where best practices are imposed or transferred from a company’s headquarters to its offshore units. In so doing, successful project health checks and monitoring for quality on software processes requires strong project management skills, well-built onshore-offshore coordination, and often needs regular onsite visits by software process improvement consultants from the headquarters’ team. This paper focuses on software process improvement as guided by the Capability Maturity Model Integration (CMMI) and proposes a model to evaluate the status of such improvement efforts in the context of distributed multi-site projects without some of this overhead. The paper discusses the application of quantitative CMMI assessment through the collection and analysis of project data gathered directly from project repositories to facilitate CMMI implementation and reduce the cost of such implementation for offshore-outsourced software development projects. We exemplify this approach to quantitative CMMI assessment through the analysis of project management data and discuss the future directions of this work in progress.
Offshore fatigue design turbulence
NASA Astrophysics Data System (ADS)
Larsen, Gunner C.
2001-07-01
Fatigue damage on wind turbines is mainly caused by stochastic loading originating from turbulence. While onshore sites display large differences in terrain topology, and thereby also in turbulence conditions, offshore sites are far more homogeneous, as the majority of them are likely to be associated with shallow water areas. However, despite this fact, specific recommendations on offshore turbulence intensities, applicable for fatigue design purposes, are lacking in the present IEC code. This article presents specific guidelines for such loading. These guidelines are based on the statistical analysis of a large number of wind data originating from two Danish shallow water offshore sites. The turbulence standard deviation depends on the mean wind speed, upstream conditions, measuring height and thermal convection. Defining a population of turbulence standard deviations, at a given measuring position, uniquely by the mean wind speed, variations in upstream conditions and atmospheric stability will appear as variability of the turbulence standard deviation. Distributions of such turbulence standard deviations, conditioned on the mean wind speed, are quantified by fitting the measured data to logarithmic Gaussian distributions. By combining a simple heuristic load model with the parametrized conditional probability density functions of the turbulence standard deviations, an empirical offshore design turbulence intensity is determined. For pure stochastic loading (as associated with standstill situations), the design turbulence intensity yields a fatigue damage equal to the average fatigue damage caused by the distributed turbulence intensity. If the stochastic loading is combined with a periodic deterministic loading (as in the normal operating situation), the proposed design turbulence intensity is shown to be conservative.
2013 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana R.; Connerton, Michael J.; LaPan, Steve; Trometer, Betsy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2014-01-01
Phosphorus showed high variation across nearshore (10 m depth) sites but was more stable at offshore (20 m and deeper) stations. In June and July, sites at the mouth of the Niagara River and at Oak Orchard had high phosphorus concentrations (20 – 46 μg/L). Epilimnetic average April-Oct total phosphorus (TP) ranged between 6.9 and 19.9 μg/L in the nearshore and between 5.8 and 10.2 μg/L in the offshore. Average April-Oct soluble reactive phosphorus (SRP) ranged from 0.9 to 7.3 μg/L in the nearshore and 0.8 to 1.4 μg/L in the offshore. TP and SRP were significantly higher in the nearshore than in the offshore.Spring TP has declined in the longer data series (since 1981), but not since 1995. It averaged 8.4 μg/L in the nearshore and 5.0 μg/L in the offshore in 2013—below the 10 μg/L target set by the Great Lakes Water Quality Agreement of 1978 for offshore waters of Lake Ontario.Offshore summer chlorophyll-a declined significantly in both the short- (1995-2013) and long-term (1981-2013) time series at a rate of 3-4% per year. Nearshore chlorophyll-a increased after 2003 but then declined again after 2009. Epilimnetic chlorophyll-aaveraged between 0.5 and 1.3 μg/L across sites with no difference between nearshore and offshore habitats. Average seasonal Secchi disk depth ranged from 4.5 m to 10.6 m and was higher in the offshore (average 8.1 m) than nearshore stations (6.3 m). These values are indicative of oligotrophic conditions in both habitats.In 2013, Apr/May - Oct epilimnetic zooplankton size and total biomass were significantly higher in the offshore than the nearshore. However, with the exception of Limnocalanus (higher in offshore), there were no differences between habitats for any of the zooplankton groups.Most of the zooplankton biomass was in the metalimnion and hypolimnion during the day in 2013. Between 65 and 98% of zooplankton biomass was found below the thermocline throughout the year.The predatory cladoceran Cercopagis continued to be abundant in the summer, peaking at ~7 mg/m3in the offshore. Bythotrephes peaked in October (~0.7 mg/m3), but Bythotrephes biomass was at its lowest biomass in both offshore and nearshore stations since 2005.Summer nearshore zooplankton density and biomass have declined significantly since 1995 at rates of 9-10% per year. Nearshore epilimnetic zooplankton density and biomass have remained stable since 2005 at low levels relative to previous years.Summer offshore zooplankton density and biomass in the epilimnion of Lake Ontario have also declined since 1995 at rates of 10-14% per year, but those declines are marginally significant; density declined significantly in the long-term (since 1981) but has remained at a lower stable level since 2005.Bosminid and cyclopoid copepod biomass declined significantly in nearshore waters. The same pattern occurred in the offshore but declines were significant for bosminids and marginally significant for cyclopoid copepods. Daphnid biomass has also declined significantly in the nearshore.The decline in Daphnid biomass nearshore and Bythotrephes biomass offshore and nearshore is indicative of increased planktivory by alewife. Significant declines in Bosminid and cyclopoid copepod biomass is indicative of increased invertebrate predation by Cercopagis and Bythotrephes in recent years.
Kirchhoff, Nicole T.; Rough, Kirsty M.; Nowak, Barbara F.
2011-01-01
The effects of offshore aquaculture on SBT health (particularly parasitic infections and haematology) and performance were the main aim of this study. Two cohorts of ranched Southern Bluefin tuna (SBT) (Thunnus maccoyii) were monitored throughout the commercial season, one maintained in the traditional near shore tuna farming zone and one maintained further offshore. SBT maintained offshore had reduced mortality, increased condition index at week 6 post transfer, reduced blood fluke and sealice loads, and haematological variables such as haemoglobin or lysozyme equal to or exceeding near shore maintained fish. The offshore cohort had no Cardicola forsteri and a 5% prevalence of Caligus spp., compared to a prevalence of 85% for Cardicola forsteri and 55% prevalence for Caligus spp. near shore at 6 weeks post transfer. This study is the first of its kind to examine the effects of commercial offshore sites on farmed fish parasites, health and performance. PMID:21901129
A study of rotor and platform design trade-offs for large-scale floating vertical axis wind turbines
NASA Astrophysics Data System (ADS)
Griffith, D. Todd; Paquette, Joshua; Barone, Matthew; Goupee, Andrew J.; Fowler, Matthew J.; Bull, Diana; Owens, Brian
2016-09-01
Vertical axis wind turbines are receiving significant attention for offshore siting. In general, offshore wind offers proximity to large populations centers, a vast & more consistent wind resource, and a scale-up opportunity, to name a few beneficial characteristics. On the other hand, offshore wind suffers from high levelized cost of energy (LCOE) and in particular high balance of system (BoS) costs owing to accessibility challenges and limited project experience. To address these challenges associated with offshore wind, Sandia National Laboratories is researching large-scale (MW class) offshore floating vertical axis wind turbines (VAWTs). The motivation for this work is that floating VAWTs are a potential transformative technology solution to reduce offshore wind LCOE in deep-water locations. This paper explores performance and cost trade-offs within the design space for floating VAWTs between the configurations for the rotor and platform.
Langhamer, Olivia; Holand, Håkon; Rosenqvist, Gunilla
2016-01-01
Worldwide growth of offshore renewable energy production will provide marine organisms with new hard substrate for colonization in terms of artificial reefs. The artificial reef effect is important when planning offshore installations since it can create habitat enhancement. Wind power is the most advanced technology within offshore renewable energy sources and there is an urgent need to study its impacts on the marine environment. To test the hypothesis that offshore wind power increases the abundance of reef species relative to a reference area, we conduct an experiment on the model species common shore crab (Carcinus maenas).Overall, 3962 crabs were captured, observed, marked and released in 2011 and 1995 crabs in 2012. Additionally, carapace size, sex distribution, color morphs and body condition was recorded from captured crabs. We observed very low recapture rates at all sites during both years which made evaluating differences in population sizes very difficult. However, we were able to estimate population densities from the capture record for all three sites. There was no obvious artificial reef effect in the Lillgrund wind farm, but a spill-over effect to nearby habitats cannot be excluded. We could not find any effect of the wind farm on either, morphs, sex distribution or condition of the common shore crab. Our study found no evidence that Lillgrund wind farm has a negative effect on populations of the common shore crab. This study provides the first quantitative and experimental data on the common shore crab in relation to offshore wind farms.
Langhamer, Olivia; Holand, Håkon; Rosenqvist, Gunilla
2016-01-01
Worldwide growth of offshore renewable energy production will provide marine organisms with new hard substrate for colonization in terms of artificial reefs. The artificial reef effect is important when planning offshore installations since it can create habitat enhancement. Wind power is the most advanced technology within offshore renewable energy sources and there is an urgent need to study its impacts on the marine environment. To test the hypothesis that offshore wind power increases the abundance of reef species relative to a reference area, we conduct an experiment on the model species common shore crab (Carcinus maenas).Overall, 3962 crabs were captured, observed, marked and released in 2011 and 1995 crabs in 2012. Additionally, carapace size, sex distribution, color morphs and body condition was recorded from captured crabs. We observed very low recapture rates at all sites during both years which made evaluating differences in population sizes very difficult. However, we were able to estimate population densities from the capture record for all three sites. There was no obvious artificial reef effect in the Lillgrund wind farm, but a spill-over effect to nearby habitats cannot be excluded. We could not find any effect of the wind farm on either, morphs, sex distribution or condition of the common shore crab. Our study found no evidence that Lillgrund wind farm has a negative effect on populations of the common shore crab. This study provides the first quantitative and experimental data on the common shore crab in relation to offshore wind farms. PMID:27780212
NASA Astrophysics Data System (ADS)
Brandstätter, Jennifer; Kurz, Walter; Micheuz, Peter; Krenn, Kurt
2015-04-01
The primary objective of Integrated Ocean Drilling Program (IODP) Expedition 344 offshore the Osa Peninsula in Costa Rica was to sample and quantify the material entering the seismogenic zone of the Costa Rican erosive subduction margin. Fundamental to this objective is an understanding of the nature of both the subducting Cocos plate crust and of the overriding Caribbean plate. The subducting Cocos plate is investigated trying to define its hydrologic system and thermal state. The forearc structures recorded by the sediment deposited on the forearc, instead, document periods of uplift and subsidence and provide important information about the process of tectonic erosion that characterizes the Costa Rica margin. Offshore the western margin of Costa Rica, the oceanic Cocos plate subducts under the Caribbean plate, forming the southern end of the Middle America Trench. Subduction parameters including the age, convergence rate, azimuth, obliquity, morphology, and slab dip all vary along strike. The age of the Cocos plate at the Middle America Trench decreases from 24 Ma offshore the Nicoya Peninsula to 15 Ma offshore the Osa Peninsula. Subduction rates vary from 70 mm/y offshore Guatemala to 90 mm/y offshore southern Costa Rica. Convergence obliquity across the trench varies from offshore Nicaragua, where it is as much as 25° oblique, to nearly orthogonal southeast of the Nicoya Peninsula. Passage of the Cocos plate over the Galapagos hotspot created the aseismic Cocos Ridge, an overthickened welt of oceanic crust. This ridge is ~25 km thick, greater than three times normal oceanic crustal thickness. During IODP Expedition 344, the incoming Cocos plate was drilled at sites U1381 and U1414. Site U1381 is located ~4.5 km seaward of the deformation front offshore the Osa Peninsula and Caño Island. It is located on a local basement high. Basement relief often focuses fluid flow, so data from this site are likely to document the vigor of fluid flow in this area. Site U1414 is located ~1 km seaward of the deformation front offshore the Osa Peninsula and Caño Island. Primary science goals at Site U1414 included characterization of the alteration state of the magmatic basement. Brittle structures within the incoming plate (sites U1380, U1414) are mineralized extensional fractures and shear fractures. The shear fractures mainly show a normal component of shear. Within the sedimentary sequence both types of fractures dip steeply (vertical to subvertical) and strike NNE-SSW. Deformation bands trend roughly ENE-WSW, sub-parallel to the trend of the Cocos ridge. Structures in the Cocos Ridge basalt mainly comprise mineralized veins at various orientations. A preferred orientation of strike directions was not observed. Some veins show straight boundaries, others are characterized by an irregular geometry characterized by brecciated wall rock clasts embedded within vein precipitates. The vein mineralization was analysed in detail by RAMAN spectroscopy. Precipitation conditions and fluid chemistry were analysed by fluid inclusions entrapped within vein minerals. Vein mineralizations mainly consist of carbonate (fibrous aragonite, calcite), chalcedony, and quartz. Vein mineralization is mainly characterized by zoned antitaxial growth of carbonate fibres including a suture along the central vein domains. Quartz is often characterized by fibre growth of crystals perpendicular to the vein boundaries, too. These zoned veins additinally have wall rock alteration seams consisting of clay minerals. The precipitation sequence basically indicates that fluid chemistry evolved from an CO2-rich towards a SiO2- rich fluid.
Habitat impacts of offshore drilling, eastern Gulf of Mexico
Shinn, Eugene A.; Lidz, Barbara H.; Reich, Christopher D.
1994-01-01
In this survey six offshore exploratory drill sites in a variety of environments and water depths were examined using a small research submersible. Sites varied from locations off northwest Florida to as far west as offshore Alabama. Water depths ranged from 21 m (70 ft) to 149 m (489 ft), and bottom sediments ranged from carbonate mud to Shelly quartz sand and silt to hard limestone. The age of the sites (the time between cessation of drilling activities and our observations) ranged from 15 months to 17 years . In a previous MMS-funded study, Shinn et al. (1989) and Dustan et al . (1991) examined eight sites off South Florida, where the age of the sites ranged from 2 to 29 years. The study documented repeatedly variability of impact from site to site . In the present study, we note a similar wide divergence of impacts . Using the concentration of barium (the major component of drill mud), cuttings, and trace metals as a basis, we found that time is the single most important factor determining the nature of habitat recovery. Older sites, particularly the 17-year-old site, were relatively pristine. At a 7-year-old site, two hurricanes did far more damage than drilling . At other sites, we documented a significant amount of discarded debris, and at two 5-year-old sites, large concentrations of barium and cuttings. Impacts, such as the extent of debris and cuttings, affected the bottom ranging in area from almost negligible (17-year-old site) to as much as 3 acres (4-year-old site) . As suspected, those sites with the most debris and/or open boreholes attracted the most abundant and diverse fish fauna.
Great Lakes nearshore-offshore: Distinct water quality regions
We compared water quality of nearshore regions in the Laurentian Great Lakes to water quality in offshore regions. Sample sites for the nearshore region were from the US EPA National Coastal Condition Assessment and based on a criteria or sample-frame of within the 30-m depth co...
Kumar, Pushpendra; Collett, Timothy S.; Boswell, Ray; Cochran, James R.; Lall, Malcolm; Mazumdar, Aninda; Ramana, Mangipudi Venkata; Ramprasad, Tammisetti; Riedel, Michael; Sain, Kalachand; Sathe, Arun Vasant; Vishwanath, Krishna; Yadav, U.S.
2014-01-01
NGHP-01 yielded evidence of gas hydrate from downhole log and core data obtained from all the sites in the Krishna–Godavari Basin, the Mahanadi Basin, and in the Andaman Sea. The site drilled in the Kerala–Konkan Basin during NGHP-01 did not yield any evidence of gas hydrate. Most of the downhole log-inferred gas hydrate and core-recovered gas hydrate were characterized as either fracture-filling in clay-dominated sediments or as pore-filling or grain-displacement particles disseminated in both fine- and coarse-grained sediments. Geochemical analyses of gases obtained from sediment cores recovered during NGHP-01 indicated that the gas in most all of the hydrates in the offshore of India is derived from microbial sources; only one site in the Andaman Sea exhibited limited evidence of a thermogenic gas source. The gas hydrate petroleum system concept has been used to effectively characterize the geologic controls on the occurrence of gas hydrates in the offshore of India.
An Assessment of the Economic Potential of Offshore Wind in the United States from 2015 to 2030
Beiter, Philipp; Musial, Walter; Kilcher, Levi; Maness, Michael; Smith, Aaron
2017-05-24
Output data from an NREL report entitled "An Assessment of the Economic Potential of Offshore Wind in the United States from 2015 to 2030" (NREL/TP-6A20-67675), which analyzes the spatial variation of levelized cost of energy (LCOE) and levelized avoided cost of energy (LACE) to understand the economic potential of fixed-bottom and floating offshore wind technologies across more than 7,000 U.S. coastal sites between 2015 and 2030.
Wave Resource Characterization at US Wave Energy Converter (WEC) Test Sites
NASA Astrophysics Data System (ADS)
Dallman, A.; Neary, V. S.
2016-02-01
The US Department of Energy's (DOE) Marine and Hydrokinetic energy (MHK) Program is supporting a diverse research and development portfolio intended to accelerate commercialization of the marine renewable industry by improving technology performance, reducing market barriers, and lowering the cost of energy. Wave resource characterization at potential and existing wave energy converter (WEC) test sites and deployment locations contributes to this DOE goal by providing a catalogue of wave energy resource characteristics, met-ocean data, and site infrastructure information, developed utilizing a consistent methodology. The purpose of the catalogue is to enable the comparison of resource characteristics among sites to facilitate the selection of test sites that are most suitable for a developer's device and that best meet their testing needs and objectives. It also provides inputs for the design of WEC test devices and planning WEC tests, including the planning of deployment and operations and maintenance. The first edition included three sites: the Pacific Marine Energy Center (PMEC) North Energy Test Site (NETS) offshore of Newport, Oregon, the Kaneohe Bay Naval Wave Energy Test Site (WETS) offshore of Oahu, HI, and a potential site offshore of Humboldt Bay, CA (Eureka, CA). The second edition was recently finished, which includes five additional sites: the Jennette's Pier Wave Energy Converter Test Site in North Carolina, the US Army Corps of Engineers (USACE) Field Research Facility (FRF), the PMEC Lake Washington site, the proposed PMEC South Energy Test Site (SETS), and the proposed CalWave Central Coast WEC Test Site. The operational sea states are included according to the IEC Technical Specification on wave energy resource assessment and characterization, with additional information on extreme sea states, weather windows, and representative spectra. The methodology and a summary of results will be discussed.
NASA Astrophysics Data System (ADS)
Ballu, V.; Bonnefond, P.; Calmant, S.; Bouin, M.-N.; Pelletier, B.; Laurain, O.; Crawford, W. C.; Baillard, C.; de Viron, O.
2013-04-01
Measuring ground deformation underwater is essential for understanding Earth processes at many scales. One important example is subduction zones, which can generate devastating earthquakes and tsunamis, and where the most important deformation signal related to plate locking is usually offshore. We present an improved method for making offshore vertical deformation measurements, that involve combining tide gauge and altimetry data. We present data from two offshore sites located on either side of the plate interface at the New Hebrides subduction zone, where the Australian plate subducts beneath the North Fiji basin. These two sites have been equipped with pressure gauges since 1999, to extend an on-land GPS network across the plate interface. The pressure series measured at both sites show that Wusi Bank, located on the over-riding plate, subsides by 11 ± 4 mm/yr with respect to Sabine Bank, which is located on the down-going plate. By combining water depths derived from the on-bottom pressure data with sea surface heights derived from altimetry data, we determine variations of seafloor heights in a global reference frame. Using altimetry data from TOPEX/Poseidon, Jason-1, Jason-2 and Envisat missions, we find that the vertical motion at Sabine Bank is close to zero and that Wusi Bank subsides by at least 3 mm/yr and probably at most 11 mm/yr.This paper represents the first combination of altimetry and pressure data to derive absolute vertical motions offshore. The deformation results are obtained in a global reference frame, allowing them to be integrated with on-land GNSS data.
Schloesser, Don W.; Krieger, Kenneth A.; Ciborowski, Jan J.H.; Corkum, Lynda D.
2000-01-01
Burrowing mayflies of the genus Hexagenia spp. were widely distributed (ca. 80% of sites) and abundant (ca. 160 nymphs/m2) in the western basin of Lake Erie of the Laurentian Great Lakes in 1929–1930, prior to a period of anoxia in the mid 1950s. Nymphs were absent or rare in the basin between 1961 and 1973–1975. In 1979–1991, nymphs were infrequently found (13–46% of sites) in low abundance (3–40 nymphs/m2) near shore (<7.5 km from shore), but were absent or rare offshore (0–7% of sites at 0–1 nymphs/m2). Increased abundance occurred offshore between 1991 (0% of sites) and 1993 (52% of sites at 7/m2). Annual sampling, beginning in 1995, indicates that nymphs increased in both nearshore and offshore waters. By 1997, nymphs were found throughout the lake (88% of sites) at a mean density 40-fold greater (392/m2) than that observed in 1993 (11/m2). In 1998, the distribution of nymphs remained the same as 1997 (88% of sites) but density declined 3-fold (392 to 134/m2). These data indicate that mayflies have recolonized sediments of western Lake Erie and that their abundance may be similar to levels observed before their disappearance in the mid 1950s. However, prior to the mid 1950s, densities were greater in offshore than nearshore waters, but between 1979 and 1998 greater densities occurred near shore than offshore. In addition, there were two areas in the 1990s where low densities consistently occurred. Therefore, recovery of nymphs in western Lake Erie may not have been complete in 1998. At present we do not know the cause for the sudden recolonization of nymphs in large portions of western Lake Erie. Undoubtedly, pollution-abatement programs contributed to improved conditions that would have ultimately led to mayfly recovery in the future. However, the explosive growth of the exotic zebra mussel, Dreissena polymorpha, undoubtedly diverted plankton foods to bottom substrates which could have increased the speed at which Hexagenia spp. nymphs recolonized sediments in western Lake Erie in the 1990s.
Trophic connections in Lake Superior Part I: the offshore fish community
Gamble, A.E.; Hrabik, T.R.; Stockwell, J.D.; Yule, D.L.
2011-01-01
Detailed diet linkages within the offshore (> 80 m bathymetric depth) food web of Lake Superior are currently not well identified. We used analyses of fish stomach contents to create an empirically based food web model of the Lake Superior offshore fish community. Stomachs were collected seasonally (spring, summer, and fall) from nine offshore locations in 2005, using bottom and midwater trawls. In total, 2643 stomachs representing 12 fish species were examined. The predominant fish species collected were deepwater sculpin (Myoxocephalus thompsonii), siscowet (Salvelinus namaycush siscowet), kiyi (Coregonus kiyi), and cisco (Coregonus artedi). Mysis diluviana was the most common prey item, indicating that changes in Mysis abundance could have a profound impact on the entire offshore food web. Mysis was the primary diet item of deepwater sculpin (≥ 53% by mass) and kiyi (≥ 96% by mass) regardless of depth or season. The invasive Bythotrephes was an important diet component of the pelagic cisco in summer and fall. Deepwater sculpin were the primary diet item of siscowet (≥ 52% by mass), with coregonines appearing in the diet of larger (> 400 mm) siscowet. Non-metric multidimensional scaling analysis indicated that there were no statistically significant seasonal or site-specific differences in diets of deepwater sculpin, cisco, or kiyi. Site was the primary structuring factor in siscowet diets. Generally, in Lake Superior, the diet items of the dominant offshore species did not appear to be in danger from those types of major ecological shifts occurring in the lower Laurentian Great Lakes.
1983-06-01
fall offshore readings indicated acidic conditions. A range of 4.8 - 9.2 S.U. occurred, which was larger than that reported in 1980 studies. The...submersed plants, as well as for emergent and terrestrial species. However, the increase in biomass is most obvious in those plants that abscise photo...while fall offshore pH values at all sites ranged towards more acidic conditions. No major differences between sites occurred. Winter Sedimentation
NASA Astrophysics Data System (ADS)
Worthington, L. L.; Gulick, S. P. S.; Montelli, A.; Jaeger, J. M.; Zellers, S.; Walczak, M. H.; Mix, A. C.
2015-12-01
Ongoing collision of the Yakutat (YAK) microplate with North America (NA) in southern Alaska has driven orogenesis of the St. Elias Mountains and the advance of the offshore deformation front to the southeast. The offshore St. Elias fold-thrust belt records the complex interaction between collisional tectonics and glacial climate variability, providing insight for models of orogenesis and the evolution of glacial depocenters. Glacial erosion and deposition have provided sediment that constructed the upper continental shelf, much of which has been reincorporated into the orogenic wedge through offshore faulting and folding. We integrate core and downhole logging data from IODP Expedition 341 (Sites U1420 and U1421) drilled on the Yakutat shelf and slope with high-resolution and regional seismic profiles to investigate the coupled structural and stratigraphic evolution of the St. Elias margin. Site U1420 lies on the Yakutat shelf within the Bering Trough, a shelf-crossing trough that is within primary depocenter for Bering Glacier sediments. Two faults underlie the glacial packages and have been rendered inactive as the depositional environment has evolved, while faulting elsewhere on the shelf has initiated. Site U1421 lies on the current continental slope, within the backlimb of an active thrust that forms part of the modern YAK-NA deformation front. At each of these sites, we recovered glacigenic diamict (at depths up to ~1015 m at Site U1420), much of which is younger than 0.3 Ma. Age models within the trough indicated that initiation of active deformation away from the Bering Trough depocenter likely occurred since 0.3 Ma, suggesting that possible tectonic reorganization due to mass redistribution by glacial processes can occur at time scales on the order of 100kyr-1Myr.
Towards a mature offshore wind energy technology - guidelines from the opti-OWECS project
NASA Astrophysics Data System (ADS)
Kühn, M.; Bierbooms, W. A. A. M.; van Bussel, G. J. W.; Cockerill, T. T.; Harrison, R.; Ferguson, M. C.; Göransson, B.; Harland, L. A.; Vugts, J. H.; Wiecherink, R.
1999-01-01
The article reviews the main results of the recent European research project Opti-OWECS (Structural and Economic Optimisation of Bottom-Mounted Offshore Wind Energy Converters'), which has significantly improved the understanding of the requirements for a large-scale utilization of offshore wind energy. An integrated design approach was demonstrated for a 300 MW offshore wind farm at a demanding North Sea site. Several viable solutions were obtained and one was elaborated to include the design of all major components. Simultaneous structural and economic optimization took place during the different design stages. An offshore wind energy converter founded on a soft-soft monopile was tailored with respect to the distinct characteristics of dynamic wind and wave loading. The operation and maintenance behaviour of the wind farm was analysed by Monte Carlo simulations. With an optimized maintenance strategy and suitable hardware a high availability was achieved. Based upon the experience from the structural design, cost models for offshore wind farms were developed and linked to a European database of the offshore wind energy potential. This enabled the first consistent estimate of cost of offshore wind energy for entire European regions.
Predicting recreational fishing use of offshore petroleum platforms in the Central Gulf of Mexico
DOE Office of Scientific and Technical Information (OSTI.GOV)
Gordon, W.R. Jr.
1987-01-01
This study is based on the premise that properly sited artificial reefs for optimal human recreational use, a predictive model based upon the marine travel patterns and behavior of marine recreational fishermen, is needed. This research used data gathered from a previous study that addressed the recreational fishing use of offshore oil and gas structures (Ditton and Auyong 1984); on-site data were also collected. The primary research objective was to generate a predictive model that can be applied to artificial-reef development efforts elsewhere. This study investigated the recreational-user patterns of selected petroleum platforms structures in the Central Gulf of Mexico.more » The petroleum structures offshore from the Louisiana coastline provide a unique research tool. Although intended to facilitate the exploration and recovery of hydrocarbons, petroleum platforms also serve as defacto artificial reefs, providing habitat for numerous species of fish and other marine life. Petroleum platforms were found to be the principal fishing destinations within the study area. On-site findings reveal that marine recreational fishermen were as mobile on water, as they are on land. On-site findings were used to assist in the development of a predictive model.« less
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.
Changes in upwelling and surface productivity in the Eastern Pacific during Terminations I and II
NASA Astrophysics Data System (ADS)
Erdem, Z.; De Bar, M.; Stolwijk, D.; Schneider, R. R.; S Sinninghe Damsté, J.; Schouten, S.
2017-12-01
The Eastern Pacific coastal system is characterized by intense upwelling and consequently by an enhanced surface primary productivity. Combination of this high organic matter flux with sluggish bottom water ventilation results in one of the most pronounced oxygen minimum zones reaching from offshore California in the North to offshore Chile in the South. As a result of this process, the region is particularly interesting in view of nutrient and carbon cycling as well as ecosystem dynamics. The dynamics of the upwelling and oxygen concentrations are closely related to climatic conditions. Therefore, paleo-reconstructions of different settings are crucial in order to improve our understanding of the response of these nutrient-rich, oxygen-deficient, environments in relation to the recent global ocean warming, acidification and deoxygenation. In this study, we present downcore results from three different sites in the Eastern Pacific: offshore California (IODP site 1012), Peru (M77/2-52-2) and Chile (IODP site 1234). We applied different biomarkers as proxies to decipher changes in phytoplankton community composition, including the upwelling index based on long chain diols, and other common productivity indicators such as bulk organic carbon, carbonate and biogenic opal. In addition, application of carbon and nitrogen isotope ratios of total organic carbon and benthic foraminifera complement our multiproxy approach. Herewith we aim to compare at least two glacial-interglacial transitions with different magnitudes of deglacial warming along the Eastern Pacific upwelling systems at different latitudes. The data presented will cover the last 160 ka BP offshore California and Chile, and 30 ka BP offshore Peru enabling comparison between glacial Terminations I and II.
Kenkel, Carly D; Almanza, Albert T; Matz, Mikhail V
2015-12-01
Despite decades of monitoring global reef decline, we are still largely unable to explain patterns of reef deterioration at local scales, which precludes the development of effective management strategies. Offshore reefs of the Florida Keys, USA, experience milder temperatures and lower nutrient loads in comparison to inshore reefs yet remain considerably more degraded than nearshore patch reefs. A year-long reciprocal transplant experiment of the mustard hill coral (Porites astreoides) involving four source and eight transplant locations reveals that corals adapt and/or acclimatize to their local habitat on a < 10-km scale. Surprisingly, transplantation to putatively similar environmental types (e.g., offshore corals moved to a novel offshore site, or along-shore transplantation) resulted in greater reductions in fitness proxies, such as coral growth, than cross-channel transplantation between inshore and offshore reefs. The only abiotic factor showing significantly greater differences between along-shore sites was daily temperature range extremes (rather than the absolute high or low temperatures reached), providing a possible explanation for this pattern. Offshore-origin corals exhibited significant growth reductions at sites with greater daily temperature ranges, which explained up to 39% of the variation in their mass gain. In contrast, daily temperature range explained at most 9% of growth variation in inshore-origin corals, suggesting that inshore corals are more tolerant of high-frequency temperature fluctuations. Finally, corals incur trade-offs when specializing to their native reef. Across reef locations the coefficient of selection against coral transplants was 0.07 ± 0.02 (mean ± SE). This selection against immigrants could hinder the ability of corals to recolonize devastated reefs, whether through assisted migration efforts or natural recruitment events, providing a unifying explanation for observed patterns of coral decline in this reef system.
Tidally driven pore water exchange in offshore intertidal sandbanks: Part I. Field measurements
NASA Astrophysics Data System (ADS)
Gibbes, B.; Robinson, C.; Carey, H.; Li, L.; Lockington, D.
2008-08-01
In recent years blooms of the toxic marine cyanobacteria Lyngbya majuscula have been frequently observed in a system of offshore intertidal sandbanks in Moreton Bay, Australia. Past research suggests that these blooms are linked to the presence of bio-available forms of iron. Using hydraulic and pore water chemistry data collected from a shore normal transect at an offshore bloom site, the role of tidally driven exchange as a potential mechanism for delivery of bio-available iron across the sediment-water interface was examined. Field data revealed a residual pore water flow system in the sandbank, with seawater entering the upper sandbank platform and discharging through the bank edge. Upward flow and elevated near-surface dissolved Fe(II) concentrations (>20 μM Fe(II) at -0.05 m depth) were measured simultaneously in the discharge zones at the sandbank edge. The measured concentrations were more than four times greater than concentrations previously shown to stimulate L. majuscula growth. These results suggest that the tidally driven exchange mechanism might be capable of delivering dissolved Fe(II) to sites within offshore intertidal sandbanks where blooms of L. majuscula have been observed. While the source of the iron was not identified, potential candidates are discussed. These findings have implications for the current conceptual model for L. majuscula blooms in offshore intertidal sandbanks within Moreton Bay. Further investigations are required to fully understand the role of tidally driven exchange in controlling the export of bio-available iron to coastal waters at the field site. In particular there is a need to better assess the link between the pore water flows and the geochemical reactions that might occur along the flow path.
Spiegel, Caleb; Berlin, Alicia; Gilbert, Andrew; Gray, Carrie E.; Montevecchi, William; Stenhouse, Iain; Ford, Scott; Olsen, Glenn H.; Fiely, Jonathan; Savoy, Lucas; Goodale, M. Wing; Burke, Chantelle
2017-01-01
Offshore wind energy development in the United States is projected to expand in the upcoming decades to meet growing energy demands and reduce fossil fuel emissions. There is particular interest in commercial offshore wind development within Federal waters (i.e., > 3 nautical miles from shore) of the mid-Atlantic. In order to understand the potential for adverse effects on marine birds in this area, information on distribution and behavior (e.g., flight pathways, timing, etc.) is required for a broad suite of species. In areas where offshore wind development is likely to occur, such information can be used to identify high use areas during critical life stages, which can inform the siting of offshore facilities. It can also be used to provide baseline data for understanding broad changes in distributions that occur after offshore wind developments are constructed in a specific area.
Lizuma, Lita; Avotniece, Zanita; Rupainis, Sergejs; Teilans, Artis
2013-01-01
Offshore wind energy development promises to be a significant domestic renewable energy source in Latvia. The reliable prediction of present and future wind resources at offshore sites is crucial for planning and selecting the location for wind farms. The overall goal of this paper is the assessment of offshore wind power potential in a target territory of the Baltic Sea near the Latvian coast as well as the identification of a trend in the future wind energy potential for the study territory. The regional climate model CLM and High Resolution Limited Area Model (Hirlam) simulations were used to obtain the wind climatology data for the study area. The results indicated that offshore wind energy is promising for expanding the national electricity generation and will continue to be a stable resource for electricity generation in the region over the 21st century.
Summary of IODP Expedition 344, CRISP-A2, offshore the Osa Peninsula, Costa Rica
NASA Astrophysics Data System (ADS)
Harris, R. N.; Sakaguchi, A.; Petronotis, K. E.
2013-12-01
The Costa Rica Seismogenesis Project (CRISP) is designed to elucidate the processes that control nucleation and seismic rupture of large earthquakes at erosional subduction zones. The CRISP study area is located offshore the Osa Peninsula where the incoming Cocos Ridge has lifted the seismogenic zone to within reach of scientific drilling. The incoming plate is characterized by low sediment supply, a fast convergence rate, abundant plate interface seismicity, and a change in subducting plate relief along strike. In addition to elucidating processes at erosional convergent margins, this project is complementary to other IODP deep fault drilling projects (e.g., NanTroSEIZE and J-FAST). Expedition 344 (23 October - 11 December, 2012) is the second expedition of CRISP Program A (Integrated Ocean Drilling Program Proposal 537A-Full5) that focused on the shallow lithologic, hydrologic, stress, and thermal conditions that lead to unstable slip in the seismogenic zone. With the exception of not reaching the décollement and the underthrust sediment at the toe site (U1412), Expedition 344 exceeded expectations. Material was recovered from the incoming Cocos plate (Sites U1381 and U1414), the toe of the margin (Site U1412), the mid-slope region (Site U1380), and the upper-slope region (Site U1413). Input sites U1381 and U1414 are characterized by anomalously high heat flow and the flow of fluids. These sites contained abundant ash that will be used to assess the impact of Cocos Ridge subduction on the evolution of the Central American volcanic arc. Although toe Site U1412 did not cross the décollement we did penetrate terrigenous sediments interrupted by a Miocene ooze that may reflect accretion of a frontal prism sliver. Mid-slope Site U1380 yielded a major result in that the upper plate material is not a mélange of oceanic material or the offshore extension of the Caribbean large igneous complex, but forearc basin material consisting of lithic sedimentary units. Upper-slope Site U1413 consists of a terrestrially sourced upper slope sequence consistent with high sediment accumulation rates. Preliminary biostratigraphic and paleomagnetic ages from Sites U1380 and U1413, the midslope and upper slope, respectively, yield sediment accumulation rates between ~290 and 590 m/m.y., an order of magnitude greater than estimated offshore the Nicoya Peninsula.
Detection of induced seismicity due to oil and gas extraction in the northern Gulf of Mexico, USA
NASA Astrophysics Data System (ADS)
Fadugba, Oluwaseun Idowu
Drilling operations and extraction of oil and gas (O&G) may lead to subsurface slumping or compression of sediments due to reduced vertical principal stress which may lead to small earthquakes at the drilling site. O&G extraction is common in the northern Gulf of Mexico (NGM) and only thirty-five earthquakes of magnitudes between 2.3 and 6.0 have been recorded in the area from 1974 to the present. The purpose of this research is to detect more earthquakes using stacks of seismic data from the Transportable USArray (TA) from 2011 to 2013, and determine the spatiotemporal relationship between the detected earthquakes and O&G extraction. Five new small offshore earthquakes, that may be associated with the offshore O&G production, have been detected in the data. Spatial correlation of the epicenters with offshore drilling sites shows that the earthquakes may be due to the O&G extraction.
Quantifying the hurricane catastrophe risk to offshore wind power.
Rose, Stephen; Jaramillo, Paulina; Small, Mitchell J; Apt, Jay
2013-12-01
The U.S. Department of Energy has estimated that over 50 GW of offshore wind power will be required for the United States to generate 20% of its electricity from wind. Developers are actively planning offshore wind farms along the U.S. Atlantic and Gulf coasts and several leases have been signed for offshore sites. These planned projects are in areas that are sometimes struck by hurricanes. We present a method to estimate the catastrophe risk to offshore wind power using simulated hurricanes. Using this method, we estimate the fraction of offshore wind power simultaneously offline and the cumulative damage in a region. In Texas, the most vulnerable region we studied, 10% of offshore wind power could be offline simultaneously because of hurricane damage with a 100-year return period and 6% could be destroyed in any 10-year period. We also estimate the risks to single wind farms in four representative locations; we find the risks are significant but lower than those estimated in previously published results. Much of the hurricane risk to offshore wind turbines can be mitigated by designing turbines for higher maximum wind speeds, ensuring that turbine nacelles can turn quickly to track the wind direction even when grid power is lost, and building in areas with lower risk. © 2013 Society for Risk Analysis.
Risk analysis of maintenance ship collisions with offshore wind turbines
NASA Astrophysics Data System (ADS)
Presencia, Carla E.; Shafiee, Mahmood
2018-07-01
A large number of offshore wind farms are planned to be built in remote deep-sea areas over the next five years. Though offshore wind sites are often located away from commercial ship traffic, the increased demand for repair or replacement services leads to high traffic densities of "maintenance ships". To date, the risk analysis of collision between maintenance ship vessels and offshore wind turbines has received very little attention. In this paper, we propose a methodology to evaluate and prioritise the collision risks associated with various kinds of ships used for carrying out maintenance tasks on different subassemblies of wind turbines in an offshore wind farm. It is also studied how the risks of ship collision with wind turbines are distributed between two main types of maintenance tasks, namely corrective and preventative. The proposed model is tested on an offshore wind turbine with seventeen components requiring five kinds of ships to perform the maintenance tasks. Our results indicate that collision risks are mostly associated with maintenance of few components of the wind turbine and in particular, those undergoing a corrective maintenance (replacement). Finally, several mitigation strategies are introduced to minimise the risk of maintenance ship collisions with offshore wind turbines.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Fugate, Grover J.
In 2010, the University of Rhode Island (URI) secured $2,000,000 from the Rhode Island Office of Energy Resources (OER) to support research studies for the identification of preferred sites for offshore renewable energy development in Rhode Island’s offshore waters. This research will provide the Rhode Island Coastal Resources Management Council (CRMC) with sound technical information to assist in the siting of wind turbines in Rhode Island’s offshore waters. CRMC is the state agency with jurisdiction over development, preservation and restoration of Rhode Island’s coasts out to the three-mile limit, and is the state’s authority for federal consistency. With technical supportmore » from URI, CRMC is currently leading the implementation of the Rhode Island Ocean Special Area Management Plan (Ocean SAMP) with the purpose of developing policies and standards to guide the development of offshore renewable energy. The justification behind renewable energy development in Rhode Island includes diversifying the energy sources supplying electricity consumed in the state, stabilizing long-term energy prices, enhancing environmental quality – including the reduction of air pollutants and greenhouse gas emissions – reducing the state’s reliance on fossil fuels, and creating jobs in Rhode Island in the renewable energy sector.« less
Understanding Coral's Short-term Adaptive Ability to Changing Environment
NASA Astrophysics Data System (ADS)
Tisthammer, K.; Richmond, R. H.
2016-02-01
Corals in Maunalua Bay, Hawaii are under chronic pressures from sedimentation and terrestrial runoffs containing multiple pollutants as a result of large scale urbanization that has taken place in the last 100 years. However, some individual corals thrive despite the prolonged exposure to these environmental stressors, which suggests that these individuals may have adapted to withstand such stressors. A recent survey showed that the lobe coral Porites lobata from the `high-stress' nearshore site had an elevated level of stress ixnduced proteins, compared to those from the `low-stress,' less polluted offshore site. To understand the genetic basis for the observed differential stress responses between the nearshore and offshore P. lobata populations, an analysis of the lineage-scale population genetic structure, as well as a reciprocal transplant experiment were conducted. The result of the genetic analysis revealed a clear genetic differentiation between P. lobata from the nearshore site and the offshore site. Following the 30- day reciprocal transplant experiment, protein expression profiles and other stress-related physiological characteristics were compared between the two populations. The experimental results suggest that the nearshore genotype can cope better with sedimentation/pollutants than the offshore genotype. This indicates that the observed genetic differentiation is due to selection for tolerance to these environmental stressors. Understanding the little-known, linage-scale genetic variation in corals offers a critical insight into their short-term adaptive ability, which is indispensable for protecting corals from impending environmental and climate change. The results of this study also offer a valuable tool for resource managers to make effective decisions on coral reef conservation, such as designing marine protected areas that incorporate and maintain such genetic diversity, and establishing acceptable pollution run-off levels.
NASA Astrophysics Data System (ADS)
Son, J.; Medina-Cetina, Z.
2017-12-01
We discuss the comparison between deterministic and stochastic optimization approaches to the nonlinear geophysical full-waveform inverse problem, based on the seismic survey data from Mississippi Canyon in the Northern Gulf of Mexico. Since the subsea engineering and offshore construction projects actively require reliable ground models from various site investigations, the primary goal of this study is to reconstruct the accurate subsurface information of the soil and rock material profiles under the seafloor. The shallow sediment layers have naturally formed heterogeneous formations which may cause unwanted marine landslides or foundation failures of underwater infrastructure. We chose the quasi-Newton and simulated annealing as deterministic and stochastic optimization algorithms respectively. Seismic forward modeling based on finite difference method with absorbing boundary condition implements the iterative simulations in the inverse modeling. We briefly report on numerical experiments using a synthetic data as an offshore ground model which contains shallow artificial target profiles of geomaterials under the seafloor. We apply the seismic migration processing and generate Voronoi tessellation on two-dimensional space-domain to improve the computational efficiency of the imaging stratigraphical velocity model reconstruction. We then report on the detail of a field data implementation, which shows the complex geologic structures in the Northern Gulf of Mexico. Lastly, we compare the new inverted image of subsurface site profiles in the space-domain with the previously processed seismic image in the time-domain at the same location. Overall, stochastic optimization for seismic inversion with migration and Voronoi tessellation show significant promise to improve the subsurface imaging of ground models and improve the computational efficiency required for the full waveform inversion. We anticipate that by improving the inversion process of shallow layers from geophysical data will better support the offshore site investigation.
Lake Michigan Offshore Wind Feasibility Assessment
DOE Office of Scientific and Technical Information (OSTI.GOV)
Boezaart, Arnold; Edmonson, James; Standridge, Charles
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 futuremore » 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 project including to: 1) test and validate floating LIDAR technology; 2) collect and access offshore wind data; 3) detect and measure bird and bat activity over Lake Michigan; 4) conduct an over water sound propagation study; 5) prepare and offer a college course on offshore energy, and; 6) collect other environmental, bathometric, and atmospheric data. Desk-top research was performed to select anchorage sites and to secure permits to deploy the buoy. The project also collected and analyzed data essential to wind industry investment decision-making including: deploying highly mobile floating equipment to gather offshore wind data; correlating offshore wind data with conventional on-shore MET tower data; and performing studies that can contribute to the advancement and deployment of offshore wind technologies. Related activities included: • Siting, permitting, and deploying an offshore floating MET facility; • Validating the accuracy of floating LWS using near shoreline cup anemometer MET instruments; • Assessment of laser pulse technology (LIDAR) capability to establish hub height measurement of wind conditions at multiple locations on Lake Michigan; • Utilizing an extended-season (9-10 month) strategy to collect hub height wind data and weather conditions on Lake Michigan; • Investigation of technology best suited for wireless data transmission from distant offshore structures; • Conducting field-validated sound propagation study for a hypothetical offshore wind farm from shoreline locations; • Identifying the presence or absence of bird and bat species near wind assessment facilities; • Identifying the presence or absence of benthic and pelagic species near wind assessment facilities; All proposed project activities were completed with the following major findings: • Floating Laser Wind Sensors are capable of high quality measurement and recordings of wind resources. The WindSentinel presented no significant operational or statistical limitations in recording wind data technology at a at a high confidence level as compared to traditional anemometer cup technology. • During storms, mean Turbulent Kinetic Energy (TKE) increases with height above water; • Sufficient wind resources exist over Lake Michigan to generate 7,684 kWh of power using a 850 kW rated turbine at elevations between 90 - 125 meters, a height lower than originally anticipated for optimum power generation; • Based on initial assessments, wind characteristics are not significantly different at distant (thirty-two mile) offshore locations as compared to near-shore (six mile) locations; • Significant cost savings can be achieved in generation wind energy at lower turbine heights and locating closer to shore. • Siting must be sufficiently distant from shore to minimize visual impact and to address public sentiment about offshore wind development; • Project results show that birds and bats do frequent the middle of Lake Michigan, bats more so than birds; • Based on the wind resource assessment and depths of Lake Michigan encountered during the project, future turbine placement will most likely need to incorporate floating or anchored technology; • The most appropriate siting of offshore wind energy locations will enable direct routing of transmission cables to existing generating and transmission facilities located along the Michigan shoreline; • Wind turbine noise propagation from a wind energy generating facility at a five mile offshore location will not be audible at the shoreline over normal background sound levels.« less
Exploring the nearshore marine wind profile from field measurements and numerical hindcast
NASA Astrophysics Data System (ADS)
del Jesus, F.; Menendez, M.; Guanche, R.; Losada, I.
2012-12-01
Wind power is the predominant offshore renewable energy resource. In the last years, offshore wind farms have become a technically feasible source of electrical power. The economic feasibility of offshore wind farms depends on the quality of the offshore wind conditions compared to that of onshore sites. Installation and maintenance costs must be balanced with more hours and a higher quality of the available resources. European offshore wind development has revealed that the optimum offshore sites are those in which the distance from the coast is limited with high available resource. Due to the growth in the height of the turbines and the complexity of the coast, with interactions between inland wind/coastal orography and ocean winds, there is a need for field measurements and validation of numerical models to understand the marine wind profile near the coast. Moreover, recent studies have pointed out that the logarithmic law describing the vertical wind profile presents limitations. The aim of this work is to characterize the nearshore vertical wind profile in the medium atmosphere boundary layer. Instrumental observations analyzed in this work come from the Idermar project (www.Idermar.es). Three floating masts deployed at different locations on the Cantabrian coast provide wind measurements from a height of 20 to 90 meters. Wind speed and direction are measured as well as several meteorological variables at different heights of the profile. The shortest wind time series has over one year of data. A 20 year high-resolution atmospheric hindcast, using the WRF-ARW model and focusing on hourly offshore wind fields, is also analyzed. Two datasets have been evaluated: a European reanalysis with a ~15 Km spatial resolution, and a hybrid downscaling of wind fields with a spatial resolution of one nautical mile over the northern coast of Spain.. These numerical hindcasts have been validated based on field measurement data. Several parameterizations of the vertical wind profile are evaluated and, based on this work, a particular parameterization of the wind profile is proposed.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Hatton, Ian
To obtain a permit, to construct, to connect 3x6MW permanent magnet direct drive wind power generators, and to deliver to the ERCOT grid 18MW of renewable energy from up to 5 miles offshore San Pedro Island, Texas. To further develop the site to accommodate up to 1000MW of productivity and thereby drive down the average cost of construction, making offshore wind power economically competitive with alternative sources of energy.
Teilans, Artis
2013-01-01
Offshore wind energy development promises to be a significant domestic renewable energy source in Latvia. The reliable prediction of present and future wind resources at offshore sites is crucial for planning and selecting the location for wind farms. The overall goal of this paper is the assessment of offshore wind power potential in a target territory of the Baltic Sea near the Latvian coast as well as the identification of a trend in the future wind energy potential for the study territory. The regional climate model CLM and High Resolution Limited Area Model (Hirlam) simulations were used to obtain the wind climatology data for the study area. The results indicated that offshore wind energy is promising for expanding the national electricity generation and will continue to be a stable resource for electricity generation in the region over the 21st century. PMID:23983619
Planners to the rescue: spatial planning facilitating the development of offshore wind energy.
Jay, Stephen
2010-04-01
The development of offshore wind energy has started to take place surprisingly quickly, especially in North European waters. This has taken the wind energy industry out of the territory of planning systems that usually govern the siting of wind farms on land, and into the world of departmental, sectoral regulation of marine activities. Although this has favoured the expansion of offshore wind energy in some respects, evidence suggests that the practice and principles of spatial planning can make an important contribution to the proper consideration of proposals for offshore wind arrays. This is especially so when a strategic planning process is put in place for marine areas, in which offshore wind is treated as part of the overall configuration of marine interests, so that adjustments can be made in the interests of wind energy. The current process of marine planning in the Netherlands is described as an illustration of this. (c) 2009 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Lipsky, A.
2016-12-01
In August 2015 construction commenced on the Block Island Wind Farm, the first offshore wind energy project in the U.S. This pilot-scale offshore energy project, located 18 miles offshore of the Rhode Island mainland, was sited through a comprehensive ocean planning process. As the project progressed into design and construction, our team utilized potent ecosystem based management approaches to great advantage to address the human and resource interactions that existed in the project area. These practices have included designing and executing collaborative long-term monitoring ventures to fill key science gaps and reconcile fisheries concerns, establishing effective industry to industry engagement, and developing durable multi-sector agreements. This presentation will describe the specific EBM approaches used after the planning process was completed to bring the project to construction; highlighting where key aspects of the National Ocean Policy goals and principles have been successfully applied.
NASA Astrophysics Data System (ADS)
Lipsky, A.
2016-02-01
In August 2015 construction commenced on the Block Island Wind Farm, the first offshore wind energy project in the U.S. This pilot-scale offshore energy project, located 18 miles offshore of the Rhode Island mainland, was sited through a comprehensive ocean planning process. As the project progressed into design and construction, our team utilized potent ecosystem based management approaches to great advantage to address the human and resource interactions that existed in the project area. These practices have included designing and executing collaborative long-term monitoring ventures to fill key science gaps and reconcile fisheries concerns, establishing effective industry to industry engagement, and developing durable multi-sector agreements. This presentation will describe the specific EBM approaches used after the planning process was completed to bring the project to construction; highlighting where key aspects of the National Ocean Policy goals and principles have been successfully applied.
NASA Astrophysics Data System (ADS)
Huang, Xiangsheng; Zhong, Mingqiu; Li, Ying; Yang, Hongyuan
2018-05-01
High-power of the offshore wind turbine is in the early stage of development, then how to establish a scientific and impartial performance evaluation system of the offshore wind turbine becomes the key to the health development of the industry. This paper adopts the method of multi-level analysis and site testing, which can reduce the impact of human factors on evaluation to the most extent. A more reasonable judging criterion with the relative importance of different factors of the same criterion level is also put forward, which constructs a more scientific and fair evaluation system of the high-power offshore wind turbine.
Portable coastal observatories
Frye, Daniel; Butman, Bradford; Johnson, Mark; von der Heydt, Keith; Lerner, Steven
2000-01-01
Ocean observational science is in the midst of a paradigm shift from an expeditionary science centered on short research cruises and deployments of internally recording instruments to a sustained observational science where the ocean is monitored on a regular basis, much the way the atmosphere is monitored. While satellite remote sensing is one key way of meeting the challenge of real-time monitoring of large ocean regions, new technologies are required for in situ observations to measure conditions below the ocean surface and to measure ocean characteristics not observable from space. One method of making sustained observations in the coastal ocean is to install a fiber optic cable from shore to the area of interest. This approach has the advantage of providing power to offshore instruments and essentially unlimited bandwidth for data. The LEO-15 observatory offshore of New Jersey (yon Alt et al., 1997) and the planned Katama observatory offshore of Martha's Vineyard (Edson et al., 2000) use this approach. These sites, along with other cabled sites, will play an important role in coastal ocean science in the next decade. Cabled observatories, however, have two drawbacks that limit the number of sites that are likely to be installed. First, the cable and the cable installation are expensive and the shore station needed at the cable terminus is often in an environmentally sensitive area where competing interests must be resolved. Second, cabled sites are inherently limited geographically to sites within reach of the cable, so it is difficult to cover large areas of the coastal ocean.
Cai, Qinhong; Zhang, Baiyu; Chen, Bing; Song, Xing; Zhu, Zhiwen; Cao, Tong
2015-05-01
From offshore oil and gas platforms in North Atlantic Canada, crude oil, formation water, drilling mud, treated produced water and seawater samples were collected for screening potential biosurfactant producers. In total, 59 biosurfactant producers belong to 4 genera, namely, Bacillus, Rhodococcus, Halomonas, and Pseudomonas were identified and characterized. Phytogenetic trees based on 16S ribosomal deoxyribonucleic acid (16S rDNA) were constructed with isolated strains plus their closely related strains and isolated strains with biosurfactant producers in the literature, respectively. The distributions of the isolates were site and medium specific. The richness, diversity, and evenness of biosurfactant producer communities in oil and gas platform samples have been analyzed. Diverse isolates were found with featured properties such as effective reduction of surface tension, producing biosurfactants at high rate and stabilization of water-in-oil or oil-in-water emulsion. The producers and their corresponding biosurfactants had promising potential in applications such as offshore oil spill control, enhancing oil recovery and soil washing treatment of petroleum hydrocarbon-contaminated sites.
Analysis of decision support system for dredging operations management.
DOT National Transportation Integrated Search
2005-12-01
This research developed an improved method for optimizing the disposal of dredged material : at offshore disposal sites. A nonlinear programming model has been developed to assist in : the development of dredging plans at open water disposal sites. T...
Salas, Briana Hauff; Haslun, Joshua A; Strychar, Kevin B; Ostrom, Peggy H; Cervino, James M
2017-01-01
Scleractinian coral are experiencing unprecedented rates of mortality due to increases in sea surface temperatures in response to global climate change. Some coral species however, survive high temperature events due to a reduced susceptibility to bleaching. We investigated the relationship between bleaching susceptibility and expression of five metabolically related genes of Symbiodinium spp. from the coral Porites astreoides originating from an inshore and offshore reef in the Florida Keys. The acclimatization potential of Symbiodinium spp. to changing temperature regimes was also measured via a two-year reciprocal transplant between the sites. Offshore coral fragments displayed significantly higher expression in Symbiodinium spp. genes PCNA, SCP2, G3PDH, PCP and psaE than their inshore counterparts (p<0.05), a pattern consistent with increased bleaching susceptibility in offshore corals. Additionally, gene expression patterns in Symbiodinium spp. from site of origin were conserved throughout the two-year reciprocal transplant, indicating acclimatization did not occur within this multi-season time frame. Further, laboratory experiments were used to investigate the influence of acute high temperature (32°C for eight hours) and disease (lipopolysaccharide of Serratia marcescens) on the five metabolically related symbiont genes from the same offshore and inshore P. astreoides fragments. Gene expression did not differ between reef fragments, or as a consequence of acute exposure to heat or heat and disease, contrasting to results found in the field. Gene expression reported here indicates functional variation in populations of Symbiodinium spp. associated with P. astreoides in the Florida Keys, and is likely a result of localized adaptation. However, gene expression patterns observed in the lab imply that functional variation in zooxanthellae observed under conditions of chronic moderate stress is lost under the acute extreme conditions studied here.
Haslun, Joshua A.; Strychar, Kevin B.; Ostrom, Peggy H.; Cervino, James M.
2017-01-01
Scleractinian coral are experiencing unprecedented rates of mortality due to increases in sea surface temperatures in response to global climate change. Some coral species however, survive high temperature events due to a reduced susceptibility to bleaching. We investigated the relationship between bleaching susceptibility and expression of five metabolically related genes of Symbiodinium spp. from the coral Porites astreoides originating from an inshore and offshore reef in the Florida Keys. The acclimatization potential of Symbiodinium spp. to changing temperature regimes was also measured via a two-year reciprocal transplant between the sites. Offshore coral fragments displayed significantly higher expression in Symbiodinium spp. genes PCNA, SCP2, G3PDH, PCP and psaE than their inshore counterparts (p<0.05), a pattern consistent with increased bleaching susceptibility in offshore corals. Additionally, gene expression patterns in Symbiodinium spp. from site of origin were conserved throughout the two-year reciprocal transplant, indicating acclimatization did not occur within this multi-season time frame. Further, laboratory experiments were used to investigate the influence of acute high temperature (32°C for eight hours) and disease (lipopolysaccharide of Serratia marcescens) on the five metabolically related symbiont genes from the same offshore and inshore P. astreoides fragments. Gene expression did not differ between reef fragments, or as a consequence of acute exposure to heat or heat and disease, contrasting to results found in the field. Gene expression reported here indicates functional variation in populations of Symbiodinium spp. associated with P. astreoides in the Florida Keys, and is likely a result of localized adaptation. However, gene expression patterns observed in the lab imply that functional variation in zooxanthellae observed under conditions of chronic moderate stress is lost under the acute extreme conditions studied here. PMID:28355291
Final Technical Report. DeepCwind Consortium Research Program. January 15, 2010 - March 31, 2013
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dagher, Habib; Viselli, Anthony; Goupee, Andrew
This is the final technical report for the U.S. Department of Energy-funded program, DE-0002981: DeepCwind Consortium Research Program. The project objective was the partial validation of coupled models and optimization of materials for offshore wind structures. The United States has a great opportunity to harness an indigenous abundant renewable energy resource: offshore wind. In 2010, the National Renewable Energy Laboratory (NREL) estimated there to be over 4,000 GW of potential offshore wind energy found within 50 nautical miles of the US coastlines (Musial and Ram, 2010). The US Energy Information Administration reported the total annual US electric energy generation inmore » 2010 was 4,120 billion kilowatt-hours (equivalent to 470 GW) (US EIA, 2011), slightly more than 10% of the potential offshore wind resource. In addition, deep water offshore wind is the dominant US ocean energy resource available comprising 75% of the total assessed ocean energy resource as compared to wave and tidal resources (Musial, 2008). Through these assessments it is clear offshore wind can be a major contributor to US energy supplies. The caveat to capturing offshore wind along many parts of the US coast is deep water. Nearly 60%, or 2,450 GW, of the estimated US offshore wind resource is located in water depths of 60 m or more (Musial and Ram, 2010). At water depths over 60 m building fixed offshore wind turbine foundations, such as those found in Europe, is likely economically infeasible (Musial et al., 2006). Therefore floating wind turbine technology is seen as the best option for extracting a majority of the US offshore wind energy resource. Volume 1 - Test Site; Volume 2 - Coupled Models; and Volume 3 - Composite Materials« less
Federal Register 2010, 2011, 2012, 2013, 2014
2012-04-05
... Criteria (40 CFR 228.5) 1. Sites must be selected to minimize interference with other activities in the... conflicts. The proposed Sites spatially overlap with recreational activities such as boating and whale... expected to more heavily use areas that are shoreward of the Sites and to focus their activities on Yaquina...
Offshore Wind Energy Systems Engineering Curriculum Development
DOE Office of Scientific and Technical Information (OSTI.GOV)
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 coursemore » 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.« less
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.
Calcareous nannofossil evidence for the existence of the Gulf Stream during the late Maastrichtian
Watkins, D.K.; ,
2005-01-01
Upper Maastrichtian calcareous nannofossil assemblages, from eight cores on the South Carolina Coastal Plain (onshore set) and three deep sea drilling sites from the continental slope and abyssal hills (offshore set), were analyzed by correlation and principal component analysis to examine the ancient surface water thermal structure. In addition, a temperature index derived from independently published paleobiogeographic information was applied to the sample data. All three methods indicate a strong separation of the samples into onshore and offshore sets, with the offshore data set exhibiting significantly warmer paleotemperatures. The great disparity between these two sample sets indicates that there was a strong thermal contrast between the onshore and offshore surface water masses that persisted throughout the late Maastrichtian despite evident shortterm changes in fertility, productivity, and community structure. This suggests the Gulf Stream was present as a major oceanographic feature during the late Maastrichtian. Copyright 2005 by the American Geophysical Union.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Stewart, G.; Lackner, M.; Haid, L.
2013-07-01
With the push towards siting wind turbines farther offshore due to higher wind quality and less visibility, floating offshore wind turbines, which can be located in deep water, are becoming an economically attractive option. The International Electrotechnical Commission's (IEC) 61400-3 design standard covers fixed-bottom offshore wind turbines, but there are a number of new research questions that need to be answered to modify these standards so that they are applicable to floating wind turbines. One issue is the appropriate simulation length needed for floating turbines. This paper will discuss the results from a study assessing the impact of simulation lengthmore » on the ultimate and fatigue loads of the structure, and will address uncertainties associated with changing the simulation length for the analyzed floating platform. Recommendations of required simulation length based on load uncertainty will be made and compared to current simulation length requirements.« less
Sea Surface Wakes Observed by Spaceborne SAR in the Offshore Wind Farms
NASA Astrophysics Data System (ADS)
Li, Xiaoming; Lehner, Susanne; Jacobsen, Sven
2014-11-01
In the paper, we present some X-band spaceborne synthetic aperture radar (SAR) TerraSAR-X (TS-X) images acquired at the offshore wind farms in the North Sea and the East China Sea. The high spatial resolution SAR images show different sea surface wake patterns downstream of the offshore wind turbines. The analysis suggests that there are major two types of wakes among the observed cases. The wind turbine wakes generated by movement of wind around wind turbines are the most often observed cases. In contrast, due to the strong local tidal currents in the near shore wind farm sites, the tidal current wakes induced by tidal current impinging on the wind turbine piles are also observed in the high spatial resolution TS-X images. The discrimination of the two types of wakes observed in the offshore wind farms is also described in the paper.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
1991-08-01
This paper reports that Major activity in 1990 was Israel National Oil Co.'s startup in November of a $30 million exploratory drilling program near the Dead Sea. Isramco's deep Yam 2 offshore wildcat was apparently suspended after gas shows and mechanical problems. In 1990, the Negev venture 2, led by Isramco, acquired an additional one million-acre offshore exploration license between Ashdod (offshore from which Yam 2 was sited) and Haifa. The group plans a $40-million three-well program. Drilling last year totaled four wells and 31,114 ft of hole. Included were one oil well extension and three dry holes. This year,more » eight onshore wildcats and two development wells, plus one offshore wildcat are expected to be drilled. Production averaged only 248 bopd and 3.2 MMcfgd in 1990. Reserves are estimated at 1.3 million bbl of oil and 6.8 bcfg.« less
High Voltage Power Transmission for Wind Energy
NASA Astrophysics Data System (ADS)
Kim, Young il
The high wind speeds and wide available area at sea have recently increased the interests on offshore wind farms in the U.S.A. As offshore wind farms become larger and are placed further from the shore, the power transmission to the onshore grid becomes a key feature. Power transmission of the offshore wind farm, in which good wind conditions and a larger installation area than an onshore site are available, requires the use of submarine cable systems. Therefore, an underground power cable system requires unique design and installation challenges not found in the overhead power cable environment. This paper presents analysis about the benefit and drawbacks of three different transmission solutions: HVAC, LCC/VSC HVDC in the grid connecting offshore wind farms and also analyzed the electrical characteristics of underground cables. In particular, loss of HV (High Voltage) subsea power of the transmission cables was evaluated by the Brakelmann's theory, taking into account the distributions of current and temperature.
Rip Channels, Megacusps, and Shoreline Change: Measurements and Modeling
2010-06-01
and October 2007 with correlation coefficients (r) and slopes (m) in upper left corner. While the correlation of CDIP - and ADCP-predicted rms wave...about ±5º). In spite of this, CDIP -model- based predictions of offshore radiation stress, Syx,s, and sediment transport rates, qs, in the surf zone...73 Figure 12. Wave roses showing mean wave directions and frequencies at 15 m depth, offshore of Stilwell site, as estimated by CDIP
Noble, Marlene A.; Rosenberger, Kurt J.; Rosenfeld, Leslie K.; Robertson, George L.
2012-01-01
In 2001, the U.S. Geological Survey, together with several other federal and municipal agencies, began a series of field programs to determine along and cross-shelf transport patterns over the continental shelves in the central Southern California Bight. As a part of these programs, moorings that monitor winds were deployed off the Palos Verdes peninsula and within San Pedro Bay for six 3–4 month summer and winter periods between 2001 and 2008. In addition, nearly continuous records of winds for this 7-year period were obtained from a terrestrial site at the coast and from a basin site offshore of the long-term coastal site. The mean annual winds are downcoast at all sites. The alongshelf components of wind stress, which are the largest part of the low-frequency wind stress fields, are well correlated between basin, shelf and coastal sites. On average, the amplitude of alongshelf fluctuations in wind stress are 3–4 times larger over the offshore basin, compared to the coastal site, irrespective of whether the fluctuations represent the total, or just the correlated portion of the wind stress field. The curl in the large-scale wind stress tends to be positive, especially in the winter season when the mean wind stress is downcoast and larger at the offshore basin site than at the beach. However, since the fluctuation in wind stress amplitudes are usually larger than the mean, periods of weak negative curl do occur, especially in the summer season when the largest normalized differences in the amplitude of wind stress fluctuations are found in the nearshore region of the coastal ocean. Even though the low-frequency wind stress field is well-correlated over the continental shelf and offshore basins, out to distances of 35 km or more from the coast, winds even 10 km inshore of the beach do not represent the coastal wind field, at least in the summer months. The seasonal changes in the spatial structures in wind stress amplitudes suggest that an assessment of the amplitude of the responses of coastal ocean processes to wind forcing is complex and that the responses may have significant seasonal structures.
Keeler, Kevin M.; Bunnell, David B.; Diana, James S.; Adams, Jean V.; Mychek-Londer, Justin G.; Warner, David M.; Yule, Daniel; Vinson, Mark
2015-01-01
The ability of planktivorous fishes to exert top-down control on Bythotrephes potentially has far-reaching impacts on aquatic food-webs, given previously described effects of Bythotrephes on zooplankton communities. We estimated consumption of Bythotrephes by planktivorous and benthivorous fishes, using bioenergetics and daily ration models at nearshore (18 m), intermediate (46 m), and offshore (110 m) depths along one western Lake Superior transect (April, and September-November) and two northern Lake Michigan transects (April, July, September). In Lake Superior, consumption (primarily by cisco Coregonus artedi) exceeded Bythotrephes production at all offshore sites in September-November (up to 396% of production consumed) and at the intermediate site in November (842%) with no evidence of consumption nearshore. By comparing Bythotrephes biomass following months of excessive consumption, we conservatively concluded that top-down control was evident only at the offshore site during September-October. In Lake Michigan, consumption by fishes (primarily alewife Alosa pseudoharengus) exceeded production at nearshore sites (up to 178%), but not in deeper sites (< 15%). Evidence for top-down control in the nearshore was not supported, however, as Bythotrephes never subsequently declined. Using generalized additive models, temperature, and not fish consumption, not zooplankton prey density, best explained variability in Bythotrephes biomass. The non-linear pattern revealed Bythotrephes to increase with temperature up to 16 °C, and then decline between 16 and 23 °C. We discuss how temperature likely has direct negative impacts on Bythotrephes when temperatures near 23 °C, but speculate that predation also contributes to declining biomass when temperatures exceed 16 °C.
NASA Astrophysics Data System (ADS)
Wren, A.; Xu, K.; Ma, Y.; Sanger, D.; Van Dolah, R.
2014-12-01
Bottom-mounted instrumentation was deployed at two sites on an ebb tidal delta to measure hydrodynamics, sediment transport, and seabed elevation. One site ('borrow site') was 2 km offshore and used as a dredging site for beach nourishment of nearby Hilton Head Island in South Carolina, and the other site ('reference site') was 10 km offshore and not directly impacted by the dredging. In-situ time-series data were collected during two periods after the dredging: March 15 - June 12, 2012('spring') and August 18 - November 18, 2012 ('fall'). At the reference site directional wave spectra and upper water column current velocities were measured, as well as high-resolution current velocity profiles and suspended sediment concentration profiles in the Bottom Boundary Layer (BBL). Seabed elevation and small-scale seabed changes were also measured. At the borrow site seabed elevation and near-bed wave and current velocities were collected using an Acoustic Doppler Velocimeter. Throughout both deployments bottom wave orbital velocities ranged from 0 - 110 m/s at the reference site. Wave orbital velocities were much lower at the borrow site ranging from 10-20 cm/s, as wave energy was dissipated on the extensive and rough sand banks before reaching the borrow site. Suspended sediment concentrations increased throughout the BBL when orbital velocities increased to approximately 20 cm/s. Sediment grain size and critical shear stresses were similar at both sites, therefore, re-suspension due to waves was less frequent at the borrow site. However, sediment concentrations were highly correlated with the tidal cycle at both sites. Semidiurnal tidal currents were similar at the two sites, typically ranging from 0 - 50 cm/s in the BBL. Maximum currents exceeded the critical shear stress and measured suspended sediment concentrations increased during the first hours of the tidal cycle when the tide switched to flood tide. Results indicate waves contributed more to sediment mobility at the reference site, while tidal forcing was the dominant factor at the borrow site. The seabed elevation data corraborates these results as active migrating ripples of 10 cm were measured at the reference site, while changes in seabed elevation at the borrow site were more gradual with approximately 30 cm of net accretion throughout the study.
Federal Register 2010, 2011, 2012, 2013, 2014
2010-04-29
... location to dispose of material dredged from the Siuslaw River navigation channel, and to provide a... sediments from Site A back into the dredged channel resulted in a selection of disposal Sites B and C by the... conflicts. The final Sites are located close to the approach to the Siuslaw River entrance channel but are...
30 CFR 585.500 - How do I make payments under this part?
Code of Federal Regulations, 2012 CFR
2012-07-01
... credit card or automated clearing house payments through the Pay.gov Web site, and you must include one copy of the Pay.gov confirmation receipt page with your unsolicited request or signed lease instrument. You may access the Pay.gov Web site through links on the BOEM Offshore Web site at: http://www.boem...
30 CFR 585.500 - How do I make payments under this part?
Code of Federal Regulations, 2013 CFR
2013-07-01
... credit card or automated clearing house payments through the Pay.gov Web site, and you must include one copy of the Pay.gov confirmation receipt page with your unsolicited request or signed lease instrument. You may access the Pay.gov Web site through links on the BOEM Offshore Web site at: http://www.boem...
30 CFR 285.500 - How do I make payments under this part?
Code of Federal Regulations, 2010 CFR
2010-07-01
... or automated clearing house payments through the Pay.gov Web site, and you must include one copy of the Pay.gov confirmation receipt page with your unsolicited request or signed lease instrument. You may access the Pay.gov Web site through links on the MMS Offshore Web site at: http://www.mms.gov...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Kim, Eungsoo; Manuel, Lance; Curcic, Milan
In the United States, potential offshore wind plant sites have been identified along the Atlantic seaboard and in the Gulf of Mexico. It is imperative that we define external conditions associated with hurricanes and severe winter storms and consider load cases for which wind turbines may need to be designed. We selected two hurricanes, Ike (2008) and Sandy (2012), and investigated the effect these tropical storms would have on bottom-supported offshore wind turbines that were hypothetically in or close to their path as they made landfall. For realistic turbine loads assessment, it is important that the coupled influences of themore » changing wind, wave, and current fields are simulated throughout the evolution of the hurricanes. We employed a coupled model--specifically, the University of Miami Coupled Model (UMCM)--that integrates atmospheric, wave, and ocean components to produce needed wind, wave, and current data. The wind data are used to generate appropriate vertical wind profiles and full wind velocity fields including turbulence; the current field over the water column is obtained by interpolated discrete output current data; and short-crested irregular second-order waves are simulated using output directional wave spectra from the coupled model. We studied two monopile-supported offshore wind turbines sited in 20 meters of water in the Gulf of Mexico to estimate loads during Hurricane Ike, and a jacket space-frame platform-supported offshore wind turbine sited in 50 meters of water in the mid-Atlantic region to estimate loads during Hurricane Sandy. In this report we discuss in detail how the simulated hurricane wind, wave, and current output data are used in turbine loads studies. In addition, important characteristics of the external conditions are studied, including the relative importance of swell versus wind seas, aerodynamic versus hydrodynamic forces, current velocity effects, yaw control options for the turbine, hydrodynamic drag versus inertia forces, and soil-structure interaction effects. A detailed framework is presented that explains how coupled inputs can be included in turbine loads studies during a hurricane. This framework can aid in future efforts aimed at developing offshore wind turbine design criteria and load cases related to hurricanes.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Hann, R.W. Jr.; Giammona, C.P.; Randall, R.E.
1984-03-01
This report describes the findings for the 12 months of postdisposal study conducted from September 1982 through August 1983. The areas of investigation are benthos, brine plume, data management, nekton, physical oceanography, and water and sediment quality. The specific objectives of this report are: (1) to describe the physical oceanographic and meteorological conditions which have been measured at the offshore diffuser site and in the surrounding waters; (2) to describe the effect of brine discharge on the benthic community in the diffuser site area; (3) to discuss the effect of the brine discharge on the quality of the water andmore » sediment in the vicinity of the diffuser site; (4) to describe the measurement and empirical prediction of the areal and vertical extent of the brine plume; and (5) to characterize the effect of brine discharge on the nekton community in the vicinity of the diffuser. 2 figures.« less
NASA Astrophysics Data System (ADS)
Crosby, S. C.; O'Reilly, W. C.; Guza, R. T.
2016-02-01
Accurate, unbiased, high-resolution (in space and time) nearshore wave predictions are needed to drive models of beach erosion, coastal flooding, and alongshore transport of sediment, biota and pollutants. On highly sheltered shorelines, wave predictions are sensitive to the directions of onshore propagating waves, and nearshore model prediction error is often dominated by uncertainty in offshore boundary conditions. Offshore islands and shoals, and coastline curvature, create complex sheltering patterns over the 250km span of southern California (SC) shoreline. Here, regional wave model skill in SC was compared for different offshore boundary conditions created using offshore buoy observations and global wave model hindcasts (National Oceanographic and Atmospheric Administration Wave Watch 3, WW3). Spectral ray-tracing methods were used to transform incident offshore swell (0.04-0.09Hz) energy at high directional resolution (1-deg). Model skill is assessed for predictions (wave height, direction, and alongshore radiation stress) at 16 nearshore buoy sites between 2000 and 2009. Model skill using buoy-derived boundary conditions is higher than with WW3-derived boundary conditions. Buoy-driven nearshore model results are similar with various assumptions about the true offshore directional distribution (maximum entropy, Bayesian direct, and 2nd derivative smoothness). Two methods combining offshore buoy observations with WW3 predictions in the offshore boundary condition did not improve nearshore skill above buoy-only methods. A case example at Oceanside harbor shows strong sensitivity of alongshore sediment transport predictions to different offshore boundary conditions. Despite this uncertainty in alongshore transport magnitude, alongshore gradients in transport (e.g. the location of model accretion and erosion zones) are determined by the local bathymetry, and are similar for all predictions.
Spatial variations in δ13C and δ15N values of primary consumers in a coastal lagoon
NASA Astrophysics Data System (ADS)
Como, S.; Magni, P.; Van Der Velde, G.; Blok, F. S.; Van De Steeg, M. F. M.
2012-12-01
The analysis of the contribution of a food source to a consumer's diet or the trophic position of a consumer is highly sensitive to the variability of the isotopic values used as input data. However, little is known in coastal lagoons about the spatial variations in the isotopic values of primary consumers considered 'end members' in the isotope mixing models for quantifying the diet of secondary consumers or as a baseline for estimating the trophic position of consumers higher up in the food web. We studied the spatial variations in the δ13C and δ15N values of primary consumers and sedimentary organic matter (SOM) within a selected area of the Cabras lagoon (Sardinia, Italy). Our aim was to assess how much of the spatial variation in isotopic values of primary consumers was due to the spatial variability between sites and how much was due to differences in short distances from the shore. Samples were collected at four stations (50-100 m apart) selected randomly at two sites (1.5-2 km apart) chosen randomly at two distances from the shore (i.e. in proximity of the shore -Nearshore - and about 200 m away from the shore -Offshore). The sampling was repeated in March, May and August 2006 using new sites at the two chosen distances from the shore on each date. The isotopic values of size-fractionated seston and macrophytes were also analyzed as a complementary characterization of the study area. While δ15N did not show any spatial variations, the δ13C values of deposit feeders, Alitta (=Neanthes) succinea, Lekanesphaera hookeri, Hydrobia acuta and Gammarus aequicauda, were more depleted Offshore than Nearshore. For these species, there were significant effects of distance or distance × dates in the mean δ13C values, irrespective of the intrinsic variation between sites. SOM showed similar spatial variations in δ13C values, with Nearshore-Offshore differences up to 6‰. This indicates that the spatial isotopic changes are transferred from the food sources to the deposit feeders studied. In contrast, δ13C and δ15N values of suspension feeders, Ficopomatus enigmaticus and Amphibalanus amphitrite, did not show major variations, either between sites, or between Nearshore and Offshore. These different patterns between deposit feeders and suspension feeders are probably due to a weaker trophic link of the latter with SOM. We suggest that the Nearshore-Offshore gradient might be an important source of isotopic variation that needs to be considered in future web studies in coastal lagoons.
Numerical and experimental results on the spectral wave transfer in finite depth
NASA Astrophysics Data System (ADS)
Benassai, Guido
2016-04-01
Determination of the form of the one-dimensional surface gravity wave spectrum in water of finite depth is important for many scientific and engineering applications. Spectral parameters of deep water and intermediate depth waves serve as input data for the design of all coastal structures and for the description of many coastal processes. Moreover, the wave spectra are given as an input for the response and seakeeping calculations of high speed vessels in extreme sea conditions and for reliable calculations of the amount of energy to be extracted by wave energy converters (WEC). Available data on finite depth spectral form is generally extrapolated from parametric forms applicable in deep water (e.g., JONSWAP) [Hasselmann et al., 1973; Mitsuyasu et al., 1980; Kahma, 1981; Donelan et al., 1992; Zakharov, 2005). The present paper gives a contribution in this field through the validation of the offshore energy spectra transfer from given spectral forms through the measurement of inshore wave heights and spectra. The wave spectra on deep water were recorded offshore Ponza by the Wave Measurement Network (Piscopia et al.,2002). The field regressions between the spectral parameters, fp and the nondimensional energy with the fetch length were evaluated for fetch-limited sea conditions. These regressions gave the values of the spectral parameters for the site of interest. The offshore wave spectra were transfered from the measurement station offshore Ponza to a site located offshore the Gulf of Salerno. The offshore local wave spectra so obtained were transfered on the coastline with the TMA model (Bouws et al., 1985). Finally the numerical results, in terms of significant wave heights, were compared with the wave data recorded by a meteo-oceanographic station owned by Naples Hydrographic Office on the coastline of Salerno in 9m depth. Some considerations about the wave energy to be potentially extracted by Wave Energy Converters were done and the results were discussed.
LeBlanc, L.A.; Schroeder, R.A.
2008-01-01
In order to examine the transport of contaminants associated with river-derived suspended particles in the Salton Sea, California, large volume water samples were collected in transects established along the three major rivers emptying into the Salton Sea in fall 2001. Rivers in this area carry significant aqueous and particulate contaminant loads derived from irrigation water associated with the extensive agricultural activity, as well as wastewater from small and large municipalities. A variety of inorganic constituents, including trace metals, nutrients, and organic carbon were analyzed on suspended material isolated from water samples collected at upriver, near-shore, and off-shore sites established on the Alamo, New, and Whitewater rivers. Concentration patterns showed expected trends, with river-borne metals becoming diluted by organic-rich algal particles of lacustrine origin in off-shore stations. More soluble metals, such as cadmium, copper, and zinc showed a more even distribution between sites in the rivers and off-shore in the lake basin. General distributional trends of trace elements between particulate and aqueous forms were discerned by combining metal concentration data for particulates from this study with historical aqueous metals data. Highly insoluble trace metals, such as iron and aluminum, occurred almost entirely in the particulate phase, while major cations and approximately 95% of selenium were transported in the soluble phase. Evidence for greater reducing conditions in the New compared to the Alamo River was provided by the greater proportion of reduced (soluble) manganese in the New River. Evidence of bioconcentration of selenium and arsenic within the lake by algae was provided by calculating "enrichment" concentration ratios from metal concentrations on the algal-derived particulate samples and the off-shore sites. ?? 2008 Springer Science+Business Media B.V.
[Aquaculture in Italy. An integrated model of product quality control].
De Giusti, Maria; Cocchieri, Renata Amodio; De Vito, Elisabetta; Grasso, Guido Maria; Ortaggi, Giancarlo; Reali, Daniela; Ricciardi, Gualtiero; Romano-Spica, Vincenzo; Boccia, Antonio
2007-01-01
Aquaculture is becoming increasingly diffuse even in Italy. The increased production introduces new problems such as product quality control and process safety. This article presents the results of a research project, funded by the Ministry of the Environment, whose aim was to evaluate and promote aquaculture product quality and safety in an environmentally responsible way. Four intensive land-based and offshore aquaculture sites were monitored to evaluate microbiological, biological and chemical (i.e. polychlorinated biphenyls and endocrine disruptors) quality of water, products and fish feed. In total 154 samples were analysed, of which 66 were water samples, 55 product samples and 33 feed samples. Salmonella and other enteric pathogens were absent in products and the aquatic environment, while other environmental pathogens of the Vibrio species were detected. Bacterial load and fecal indicators were found to be higher in off-shore products and in mussels from all aquaculture sites. PCBs were detected in all products in concentrations below 2 microg/g fresh product (Food and Drug Administration), but on average, higher concentrations were detected in off-shore products. No estrogen mimetic activity was detected in fish feed, in contrast it was detected in offshore products and water. Product quality was found to be strictly correlated with the quality of the environment. Genetically modified organisms were detected in fish feed but no integration of genetic material in products occurred.
NASA Astrophysics Data System (ADS)
Wu, Yunna; Chen, Kaifeng; Xu, Hu; Xu, Chuanbo; Zhang, Haobo; Yang, Meng
2017-12-01
There is insufficient research relating to offshore wind farm site selection in China. The current methods for site selection have some defects. First, information loss is caused by two aspects: the implicit assumption that the probability distribution on the interval number is uniform; and ignoring the value of decision makers' (DMs') common opinion on the criteria information evaluation. Secondly, the difference in DMs' utility function has failed to receive attention. An innovative method is proposed in this article to solve these drawbacks. First, a new form of interval number and its weighted operator are proposed to reflect the uncertainty and reduce information loss. Secondly, a new stochastic dominance degree is proposed to quantify the interval number with a probability distribution. Thirdly, a two-stage method integrating the weighted operator with stochastic dominance degree is proposed to evaluate the alternatives. Finally, a case from China proves the effectiveness of this method.
O'Neill, R; Ó Maoiléidigh, N; McGinnity, P; Bond, N; Culloty, S
2018-05-01
A total of 12 adult European sea bass Dicentrarchus labrax were tagged with pop-off satellite archival tags (PSAT) in Irish coastal waters and in offshore waters in the north-east Celtic Sea between 2015 and 2016. Archived data were successfully recovered from five of the 12 tags deployed, three from fish released in inshore Irish waters and two from fish released offshore in the eastern Celtic Sea. All three fish tagged in inshore waters were found to undertake migrations into the open ocean coinciding with the spawning period. These fish also exhibited fidelity to inshore sites post-migration, returning to the same general location (within c. 73 km, which is roughly the predicted mean accuracy of the method) of their original release site. Although the number of tracks obtained here was limited, some degree of aggregation between inshore and offshore tagged fish in the eastern Celtic Sea was noted during the expected spawning period suggesting PSATs can provide new information on specific spawning locations of European sea bass. © 2018 The Fisheries Society of the British Isles.
30 CFR 250.1634 - Site security.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 30 Mineral Resources 2 2013-07-01 2013-07-01 false Site security. 250.1634 Section 250.1634 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL... security. (a) All locations where sulphur is produced, measured, or stored shall be operated and maintained...
30 CFR 250.1634 - Site security.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 30 Mineral Resources 2 2012-07-01 2012-07-01 false Site security. 250.1634 Section 250.1634 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL... security. (a) All locations where sulphur is produced, measured, or stored shall be operated and maintained...
30 CFR 250.1634 - Site security.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 30 Mineral Resources 2 2014-07-01 2014-07-01 false Site security. 250.1634 Section 250.1634 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL... security. (a) All locations where sulphur is produced, measured, or stored shall be operated and maintained...
30 CFR 250.1634 - Site security.
Code of Federal Regulations, 2010 CFR
2010-07-01
... Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Sulphur Operations § 250.1634 Site security. (a) All locations... Regional Supervisor as soon as possible but no later than the next business day after discovery of the...
Are mangroves as tough as a seawall? Flow-vegetation interaction in a living shoreline restoration
NASA Astrophysics Data System (ADS)
Kibler, K. M.; Kitsikoudis, V.; Spiering, D. W.
2017-12-01
This study aims to assess the impact of an established living shoreline restoration on near-shore hydraulics, shoreline slope, and sediment texture and organic matter content. We collected data from three 100 m shoreline sites within an estuarine lagoon in Canaveral National Seashore: one restored; one that had been stabilized by a seawall; and one in a reference condition stabilized by mature mangrove vegetation. The living shoreline site was restored five years prior with a breakwater of oyster shell bags, emergent marsh grasses (Spartina alterniflora), and mangroves (Rhizophora mangle and Avicennia germinans). We sampled water depth and incoming velocity profiles of the full water column at 2 Hz using a 2 MHz Acoustic Doppler Current Profiler (ADCP, Nortek), stationed down-looking, approximately 10 m offshore. A 2 - 3 cm velocity profile above the bed was sampled on the shoreline at 100 Hz, using a Nortek Vectrino profiler. In restored and reference sites, the onshore probe was placed within vegetation. We surveyed vegetation upstream of the probe for species and diameter at water level. Windspeed and direction were collected 2 m above the water surface. Shorelines were surveyed in transects using GPS survey equipment. Five sediment cores were collected to 20 cm depth from both onshore and offshore of each site. Individual cores were processed for loss on ignition before being pooled by site for analysis of grain size distribution. While incoming velocity profiles were similar between sites, hydraulic conditions onshore within the vegetated sites deviated from the seawall site, which was devoid of vegetation. Offshore to onshore gradients in shear stress, mean velocity, and turbulent kinetic energy differed widely between sites, despite similar wind and tidal conditions. Sediment grain sizes were finer and contained more organic matter in the restored and reference sites than in the seawall site. Profiles of the restored and seawall sites were similar, though the reference site had a more complex bathymetry. Variable hydraulic patterns observed at restored and reference sites may attribute to differences in dominant vegetation-water interactions. Interactions at the reference site were characterized by flow between mangrove prop roots while the restored site consisted mainly of Spartina leaves.
Impact of ERTS-1 images on management of New Jersey's coastal zone
NASA Technical Reports Server (NTRS)
Feinberg, E. B.; Yunghans, R. S.; Stitt, J. A.; Mairs, R. L.
1974-01-01
The thrust of New Jersey's ERTS investigation is development of procedures for operational use of ERTS-1 data by the Department of Environmental Protection in the management of the State's coastal zone. Four major areas of concern were investigated: detection of land use changes in the coastal zone; monitoring of offshore waste disposal; siting of ocean outfalls; and allocation of funds for shore protection. ERTS imagery was not useful for shore protection purposes; it was of limited practical value in the evaluation of offshore waste disposal and ocean outfall siting. However, ERTS imagery shows great promise for operational detection of land use changes in the coastal zone. Some constraints for practical change detection have been identified.
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.
30 CFR 203.3 - Do I have to pay a fee to request royalty relief?
Code of Federal Regulations, 2010 CFR
2010-07-01
... administer royalty relief. (b) You must file all payments electronically through the Pay.gov Web site and you must include a copy of the Pay.gov confirmation receipt page with your application or assessment. The Pay.gov Web site may be accessed through a link on the MMS Offshore Web site at: http://www.mms.gov...
30 CFR 203.3 - Do I have to pay a fee to request royalty relief?
Code of Federal Regulations, 2012 CFR
2012-07-01
... administer royalty relief. (b) You must file all payments electronically through the Pay.gov Web site and you must include a copy of the Pay.gov confirmation receipt page with your application or assessment. The Pay.gov Web site may be accessed through a link on the BSEE Offshore Web site at: http://www.bsee.gov...
30 CFR 203.3 - Do I have to pay a fee to request royalty relief?
Code of Federal Regulations, 2013 CFR
2013-07-01
... administer royalty relief. (b) You must file all payments electronically through the Pay.gov Web site and you must include a copy of the Pay.gov confirmation receipt page with your application or assessment. The Pay.gov Web site may be accessed through a link on the BSEE Offshore Web site at: http://www.bsee.gov...
30 CFR 203.3 - Do I have to pay a fee to request royalty relief?
Code of Federal Regulations, 2014 CFR
2014-07-01
... administer royalty relief. (b) You must file all payments electronically through the Pay.gov Web site and you must include a copy of the Pay.gov confirmation receipt page with your application or assessment. The Pay.gov Web site may be accessed through a link on the BSEE Offshore Web site at: http://www.bsee.gov...
30 CFR 585.605 - What is a Site Assessment Plan (SAP)?
Code of Federal Regulations, 2014 CFR
2014-07-01
... lease, including your project easement, or to test technology devices. (1) Your SAP must describe how... Section 585.605 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE... Information Requirements Site Assessment Plan and Information Requirements for Commercial Leases § 585.605...
30 CFR 585.605 - What is a Site Assessment Plan (SAP)?
Code of Federal Regulations, 2013 CFR
2013-07-01
... lease, including your project easement, or to test technology devices. (1) Your SAP must describe how... Section 585.605 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE... Information Requirements Site Assessment Plan and Information Requirements for Commercial Leases § 585.605...
30 CFR 585.605 - What is a Site Assessment Plan (SAP)?
Code of Federal Regulations, 2012 CFR
2012-07-01
... lease, including your project easement, or to test technology devices. (1) Your SAP must describe how... Section 585.605 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE... Information Requirements Site Assessment Plan and Information Requirements for Commercial Leases § 585.605...
Federal Register 2010, 2011, 2012, 2013, 2014
2013-06-18
...., Cumberland, 13000460 Baltimore Independent city American Ice Company, 2100 W. Franklin St., Baltimore... County AUSTRALASIA (wooden bulk carrier) Shipwreck (Great Lakes Shipwreck Sites of Wisconsin MPS) 820 ft... (Great Lakes Shipwreck Sites of Wisconsin MPS), 4 mi. offshore, Carlton, 13000467 Milwaukee County EMBA...
NASA Astrophysics Data System (ADS)
Olondriz, Joannes; Elorza, Iker; Trojaola, Ignacio; Pujana, Aron; Landaluze, Joseba
2016-09-01
Semi-submersible floating offshore wind turbines present significant advantages over other designs in terms of cost, deployment, maintenance and site-independence. However, these advantages are achieved by shifting a part of the burden of stabilising the platform pitch and roll motions to the turbine control system. A study is presented here of the effects of basic platform dimensions on the performance of a standard pitch controller and the possible methods for mitigating said effects.
Effects of offshore oil drilling on Philippine reef corals.
Hudson, J.H.; Shinn, E.A.; Robbin, D.M.
1982-01-01
An offshore drilling site in an area of extensive live-coral bottom off NW Palawan Island, Philippines, was examined 15 months after well completion. Porites lutea growth rates showed that little suppression of head coral growth could be attributed to drilling. Diver observation, however, together with analysis of sampling transect photomosaics, revealed 70-90% reduction in foliose, branching, and plate-like corals in an iron-stained area that extended out from the wellheads in a 115 X 85-m ellipse.-from Authors
Influence of land runoff on rates and agents of bioerosion of coral substrates.
Hutchings, Pat; Peyrot-Clausade, Mireille; Osnorno, Alicia
2005-01-01
Annually large volumes of fresh water laden with sediment are washed down the Daintree River in North Queensland into the Great Barrier Reef lagoon. To investigate the effects of land runoff on bioerosion, samples of recently killed colonies of Porites were laid at 6 sites on a cross shelf transect from Snapper Island at the entrance to the river to Osprey Reef, approximately 328 km from the river mouth out in the Coral Sea. Rates and agents of bioerosion were determined over 4 years and inshore sites exhibited significantly lower rates of total bioerosion than the other sites. Offshore sites experienced high rates of bioerosion primarily due to grazing and internal bioerosion by macroborers such as sponges and bivalves was also important at some of these sites. Inshore sites were covered in heavy layers of silt which inhibited colonization and growth of microborers, primarily algae. This resulted in lower levels of grazing than at offshore sites. However the activity of macroborers (primarily sponges and bivalves) was often high at these sites. The macroboring communities differed between sites and over time and it is hypothesised that these site differences were due to different levels of terrestrial runoff. These results are compared with those from French Polynesia where contaminated terrestrial runoff greatly influenced rates and agents of bioerosion. However other factors such as overfishing may also play an important role in some locations.
NASA Astrophysics Data System (ADS)
Bates, Alison Waterbury
Society is facing a pressing need to reduce greenhouse gas emissions to limit anthropogenic climate change, which has far reaching implications for humans and the environment. Transforming the energy infrastructure to carbon-free sources is one solution to curb greenhouse gas emissions, but this transformation has been slow to materialize in many places, such as the United States (U.S.). Offshore wind energy is one of the most promising renewable energy sources available, which can be deployed in large-scale developments in many parts of the world. Yet, offshore wind has faced many challenges, which are more social and regulatory than technical. This dissertation addresses social and regulatory issues surrounding offshore wind development through three stand-alone essays, which, in combination, address a decision-making framework of where to locate offshore wind turbines, by minimizing effects on people and wildlife. The challenges to offshore wind that are addressed by this dissertation include (1) understanding underlying factors that drive support for or opposition to offshore wind energy; (2) conflict with existing ocean uses and users; and (3) public concern and regulatory processes related to wildlife impacts. The first paper identifies unique factors that drive public opinion of proposed offshore wind projects in nearby coastal communities. Wind energy development on land has faced local opposition for reasons such as effects on cultural landscapes and wildlife, which can be instrumental in whether or not and the speed with which a project moves ahead toward completion. Factors leading to support for, or opposition to, offshore wind energy are not well known, particularly for developments that are near-shore and in-view of coastal communities. Results are presented from a survey of 699 residents (35.5% response rate) completed in 2013 in greater Atlantic City, New Jersey and coastal Delaware, United States, where near-shore wind demonstration projects had been proposed. The essay examines how the public considers the societal tradeoffs that are made to develop small-scale, in-view demonstration wind projects instead of larger facilities farther offshore. Results indicate that a strong majority of the public supports near-shore demonstration wind projects in both states. Primary reasons for support include benefits to wildlife, cost of electricity, and job creation, while the primary reasons for opposition include wildlife impacts, aesthetics, tourism, and user conflicts. These factors differ between coastal Delaware and greater Atlantic City and highlight the importance of local, community engagement in the early stages of development. The second essay examines the interaction of a new proposed use of the ocean---offshore wind---and a key existing ocean user group---commercial fishers. A key component of offshore wind planning includes consideration of existing uses of the marine environment in order to optimally site wind projects while minimizing conflicts. Commercial fisheries comprise an important stakeholder group, and may be one of the most impacted stakeholders from offshore renewable energy development. Concern of the fishing industry stems from possible interference with productive fishing grounds and access within wind developments resulting in costs from increased effort or reduction in catch. Success of offshore wind development may in part depend on the acceptance of commercial fishers, who are concerned about loss of access to fishing grounds. Using a quantitative, marine spatial planning approach in the siting of offshore wind projects with respect to commercial fishing in the mid-Atlantic, U.S., this essay develops a spatially explicit representation of potential conflicts and compatibilities between these two industries in the mid-Atlantic region of the United States. Areas that are highly valuable to the wind industry are determined through a spatial suitability model using variable cost per unit energy. Areas that are highly valuable to the fishing industry are determined by examining fishing effort in three high-value fishing sectors (sea scallops, clam fisheries, and high-value mobile fisheries). Ultimately, the results identify locations where the industries are conflicting and where they are compatible. This quantitative analysis of the potential tradeoffs between the commercial fishing industry and offshore wind development benefits wind developers, states, and federal regulators by helping advance offshore wind power to meet national priorities. Finally, the third essay addresses wildlife impacts through a comprehensive review of the impacts to marine mammals and the regulatory context to manage these impacts. Regulators, scientists, and stakeholders are interested in the potential impacts from pre-construction surveys, turbine installation, operation and maintenance, and decommissioning of offshore wind sites. This article reviews both commissioned reports and peer-reviewed literature to provide a comprehensive overview of the expected impacts of offshore wind energy to marine mammals. Impacts include noise, which is generated during three stages of development: investigation/construction, operation, and decommissioning. Additional potential effects arise from electromagnetic fields, changes in prey abundance and distribution, and the creation of artificial reefs and 'de-facto' marine protected areas. Because offshore wind power may also deliver substantial long-term benefits to wildlife and humans in the form of reduced CO2 emissions, implementation of mitigation measures to reduce negative impacts to marine mammals may be a plausible option to help this industry advance. An overview of mitigation options is reviewed, as well as the legal framework protecting marine mammals from anthropogenic impacts. Finally, the essay makes several recommendations where government and wind developers can improve research and regulatory processes to increase efficiency and streamline the application and review process.
Beale, D J; Crosswell, J; Karpe, A V; Ahmed, W; Williams, M; Morrison, P D; Metcalfe, S; Staley, C; Sadowsky, M J; Palombo, E A; Steven, A D L
2017-12-31
The impact of anthropogenic factors arising from point and non-point pollution sources at a multi commodity marine port and its surrounding ecosystems were studied using sediment samples collected from a number of onshore (Gladstone Harbour and Facing Island) and offshore (Heron Island and Fitzroy Reefs) sites in Australia's Central Queensland. Sediment samples were analyzed for trace metals, organic carbon, polycyclic aromatic hydrocarbons (PAH), emerging chemicals of concern (ECC) and sterols. Similarly, the biological and biochemical interaction between the reef and its environment was analyzed by the multi-omic tools of next-generation sequencing characterization of the bacterial community and microbial community metabolic profiling. Overall, the trace elements were observed at the lower end of the Australian environmental guideline values at the offshore sites, while higher values were observed for the onshore locations Nickel and copper were observed above the high trigger value threshold at the onshore sites. The levels of PAH were below limits of detection across all sites. However, some of the ECC and sterols were observed at higher concentrations at both onshore and offshore locations, notably, the cholesterol family sterols and 17α-ethynylestradiol. Multi-omic analyses also indicated possible thermal and photo irradiation stressors on the bacterial communities at all the tested sites. The observed populations of γ-proteobacteria were found in combination with an increased pool of fatty acids that indicate fatty acid synthesis and utilisation of the intermediates of the shikimate pathways. This study demonstrates the value of applying a multi-omics approach for ecological assessments, in which a more detailed assessment of physical and chemical contaminants and their impact on the community bacterial biome is obtained. Crown Copyright © 2017. Published by Elsevier B.V. All rights reserved.
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.
Yanagawa, Katsunori; Morono, Yuki; Yoshida-Takashima, Yukari; Eitoku, Masamitsu; Sunamura, Michinari; Inagaki, Fumio; Imachi, Hiroyuki; Takai, Ken; Nunoura, Takuro
2014-04-01
We studied the relationship between viral particle and microbial cell abundances in marine subsurface sediments from three geographically distinct locations in the continental margins (offshore of the Shimokita Peninsula of Japan, the Cascadia Margin off Oregon, and the Gulf of Mexico) and found depth variations in viral abundances among these sites. Viruses in sediments obtained offshore of the Shimokita and in the Cascadia Margin generally decreased with increasing depth, whereas those in sediments from the Gulf of Mexico were relatively constant throughout the investigated depths. In addition, the abundance ratios of viruses to microbial cells notably varied among the sites, ranging between 10(-3) and 10(1) . The subseafloor viral abundance offshore of the Shimokita showed a positive relationship with the microbial cell abundance and the sediment porosity. In contrast, no statistically significant relationship was observed in the Cascadia Margin and the Gulf of Mexico sites, presumably due to the long-term preservation of viruses from enzymatic degradation within the low-porosity sediments. Our observations indicate that viral abundance in the marine subsurface sedimentary environment is regulated not only by in situ production but also by the balance of preservation and decay, which is associated with the regional sedimentation processes in the geological settings. © 2013 Federation of European Microbiological Societies. Published by John Wiley & Sons Ltd. All rights reserved.
Marine biomass: New York State species and site studies. Annual report 1 Dec 80-30 Nov 81
DOE Office of Scientific and Technical Information (OSTI.GOV)
Squires, D.F.; McKay, L.; Peterson, J.M.
1982-03-01
This report presents the results of laboratory and field tests conducted on nine indigenous New York seaweeds surveyed as potential feedstocks for methanogenesis. In addition, various offshore locations near Long Island were valuated for their potential use as sites for large-scale marine biomass experiments.
Modelling impacts of offshore wind farms on trophic web: the Courseulles-sur-Mer case study
NASA Astrophysics Data System (ADS)
Raoux, Aurore; Pezy, Jean-Philippe; Dauvin, Jean-Claude; Tecchio, samuele; Degraer, Steven; Wilhelmsson, Dan; Niquil, Nathalie
2016-04-01
The French government is planning the construction of three offshore wind farms in Normandy. These offshore wind farms will integrate into an ecosystem already subject to a growing number of anthropogenic disturbances such as transportation, fishing, sediment deposit, and sediment extraction. The possible effects of this cumulative stressors on ecosystem functioning are still unknown, but they could impact their resilience, making them susceptible to changes from one stable state to another. Understanding the behaviour of these marine coastal complex systems is essential in order to anticipate potential state changes, and to implement conservation actions in a sustainable manner. Currently, there are no global and integrated studies on the effects of construction and exploitation of offshore wind farms. Moreover, approaches are generally focused on the conservation of some species or groups of species. Here, we develop a holistic and integrated view of ecosystem impacts through the use of trophic webs modelling tools. Trophic models describe the interaction between biological compartments at different trophic levels and are based on the quantification of flow of energy and matter in ecosystems. They allow the application of numerical methods for the characterization of emergent properties of the ecosystem, also called Ecological Network Analysis (ENA). These indices have been proposed as ecosystem health indicators as they have been demonstrated to be sensitive to different impacts on marine ecosystems. We present here in detail the strategy for analysing the potential environmental impacts of the construction of the Courseulles-sur-Mer offshore wind farm (Bay of Seine) such as the reef effect through the use of the Ecopath with Ecosim software. Similar Ecopath simulations will be made in the future on the Le Tréport offshore wind farm site. Results will contribute to a better knowledge of the impacts of the offshore wind farms on ecosystems. They also allow to define recommendations for environmental managers and industry in terms of monitoring the effects of Marine Renewable Energy, not only locally, but also on other sites, national and European levels. Finally, this approach could contribute to a better social acceptability of Marine Renewable Energy projects allowing a holistic vision of all pressures on ecosystems. Keywords: Marine Renewable Energies, trophic model Contact author: Aurore Raoux, UNICAEN, raoux.aurore@gmail.com
DOE Office of Scientific and Technical Information (OSTI.GOV)
Kim, Hyewon, E-mail: hyewon@ldeo.columbia.edu; Kim, Yong Hoon, E-mail: Yong.Kim@rpsgroup.com; Kang, Seong-Gil, E-mail: kangsg@kriso.re.kr
Offshore geologic storage of carbon dioxide (CO{sub 2}), known as offshore carbon capture and sequestration (CCS), has been under active investigation as a safe, effective mitigation option for reducing CO{sub 2} levels from anthropogenic fossil fuel burning and climate change. Along with increasing trends in implementation plans and related logistics on offshore CCS, thorough risk assessment (i.e. environmental impact monitoring) needs to be conducted to evaluate potential risks, such as CO{sub 2} gas leakage at injection sites. Gas leaks from offshore CCS may affect the physiology of marine organisms and disrupt certain ecosystem functions, thereby posing an environmental risk. Here,more » we synthesize current knowledge on environmental impact monitoring of offshore CCS with an emphasis on biological aspects and provide suggestions for better practice. Based on our critical review of preexisting literatures, this paper: 1) discusses key variables sensitive to or indicative of gas leakage by summarizing physico-chemical and ecological variables measured from previous monitoring cruises on offshore CCS; 2) lists ecosystem and organism responses to a similar environmental condition to CO{sub 2} leakage and associated impacts, such as ocean acidification and hypercapnia, to predict how they serve as responsive indicators of short- and long-term gas exposure, and 3) discusses the designs of the artificial gas release experiments in fields and the best model simulation to produce realistic leakage scenarios in marine ecosystems. Based on our analysis, we suggest that proper incorporation of biological aspects will provide successful and robust long-term monitoring strategies with earlier detection of gas leakage, thus reducing the risks associated with offshore CCS. - Highlights: • This paper synthesizes the current knowledge on environmental impact monitoring of offshore Carbon Capture and Sequestration (CCS). • Impacts of CO{sub 2} leakage (ocean acidification, hypercapnia) on marine organisms and ecosystems are discussed. • Insights and recommendations on EIA monitoring for CCS operations are proposed specifically in marine ecosystem perspective.« less
Mapping the Sea Floor of the Historic Area Remediation Site (HARS) Offshore of New York City
Butman, Bradford
2002-01-01
The area offshore of New York City has been used for the disposal of dredged material for over a century. The area has also been used for the disposal of other materials such as acid waste, industrial waste, municipal sewage sludge, cellar dirt, and wood. Between 1976 and 1995, the New York Bight Dredged Material Disposal Site, also known as the Mud Dump Site (MDS), received on average about 6 million cubic yards of dredged material annually. In September 1997 the MDS was closed as a disposal site, and it and the surrounding area were designated as the Historic Area Remediation Site (HARS). The sea floor of the HARS, approximately 9 square nautical miles in area, currently is being remediated by placing a minimum 1-m-thick cap of clean dredged material on top of the surficial sediments that are contaminated from previous disposal of dredged and other materials. The U.S. Geological Survey (USGS) is working cooperatively with the U.S. Army Corps of Engineers (USACE) to map the sea floor geology of the HARS and changes in the characteristics of the surficial sediments over time.
NASA Astrophysics Data System (ADS)
Schindlbeck, J. C.; Kutterolf, S.; Hemming, S. R.; Wang, K. L.
2015-12-01
Including the recently drilled CRISP sites (IODP Exp. 334&344) the deep sea drilling programs have produced 69 drill holes at 29 Sites during 9 Legs at the Central American convergent margin, where the Cocos plate subducts beneath the Caribbean plate. The CAVA produced numerous plinian eruptions in the past. Although abundant in the marine sediments, information and data regarding large late Cenozoic explosive eruptions from Costa Rica, Nicaragua, Honduras, El Salvador, and Guatemala remain very sparse and discontinuous on land. We have established a tephrostratigraphy from recent through Miocene times from the unique archive of ODP/IODP sites offshore Central America in which we identify tephra source regions by geochemical fingerprinting using major and trace element glass shard compositions. Here we present first order correlations of ~500 tephra layers between multiple holes at a single site as well as between multiple sites. We identified ashes supporting Costa Rican (~130), Nicaraguan (17) and Guatemalan (27) sources as well as ~150 tephra layers from the Galápagos hotspot. Within our marine record we also identified well-known marker beds such as the Los Chocoyos tephra from Atitlán Caldera in Guatemala and the Tiribi Tuff from Costa Rica but also correlations to 15 distinct deposits from known Costa Rican and Nicaraguan eruptions within the last 4.1 Ma. These correlations, together with new radiometric age dates, provide the base for an improved tephrochronostratigraphy in this region. Finally, the new marine record of explosive volcanism offshore southern CAVA provides insights into the eruptive history of long-living volcanic complexes (e.g., Barva, Costa Rica) and into the distribution and frequency of large explosive eruptions from the Galápagos hotspot. The integrated approach of Ar/Ar age dating, correlations with on land deposits from CAVA, biostratigraphic ages and sediment accumulation rates improved the age models for the drilling sites.
Isari, Stamatina; Pearman, John K; Casas, Laura; Michell, Craig T; Curdia, Joao; Berumen, Michael L; Irigoien, Xabier
2017-01-01
An important aspect of population dynamics for coral reef fishes is the input of new individuals from the pelagic larval pool. However, the high biodiversity and the difficulty of identifying larvae of closely related species represent obstacles to more fully understanding these populations. In this study, we combined morphology and genetic barcoding (Cytochrome Oxidase I gene) to characterize the seasonal patterns of the larval fish community at two sites in close proximity to coral reefs in the central-north Red Sea: one shallower inshore location (50 m depth) and a nearby site located in deeper and more offshore waters (~ 500 m depth). Fish larvae were collected using oblique tows of a 60 cm-bongo net (500 μm mesh size) every month for one year (2013). During the warmer period of the year (June-November), the larval fish stock was comparable between sampling sites. However, during the colder months, abundances were higher in the inshore than in the offshore waters. Taxonomic composition and temporal variation of community structure differed notably between sites, potentially reflecting habitat differences, reproductive patterns of adults, and/or advective processes in the area. Eleven out of a total of 62 recorded families comprised 69-94% of the fish larval community, depending on sampling site and month. Richness of taxa was notably higher in the inshore station compared to the offshore, particularly during the colder period of the year and especially for the gobiids and apogonids. Two mesopelagic taxa (Vinciguerria sp. and Benthosema spp.) comprised an important component of the larval community at the deeper site with only a small and sporadic occurrence in the shallower inshore waters. Our data provide an important baseline reference for the larval fish communities of the central Red Sea, representing the first such study from Saudi Arabian waters.
Pearman, John K.; Casas, Laura; Michell, Craig T.; Curdia, Joao; Berumen, Michael L.; Irigoien, Xabier
2017-01-01
An important aspect of population dynamics for coral reef fishes is the input of new individuals from the pelagic larval pool. However, the high biodiversity and the difficulty of identifying larvae of closely related species represent obstacles to more fully understanding these populations. In this study, we combined morphology and genetic barcoding (Cytochrome Oxidase I gene) to characterize the seasonal patterns of the larval fish community at two sites in close proximity to coral reefs in the central-north Red Sea: one shallower inshore location (50 m depth) and a nearby site located in deeper and more offshore waters (~ 500 m depth). Fish larvae were collected using oblique tows of a 60 cm-bongo net (500 μm mesh size) every month for one year (2013). During the warmer period of the year (June-November), the larval fish stock was comparable between sampling sites. However, during the colder months, abundances were higher in the inshore than in the offshore waters. Taxonomic composition and temporal variation of community structure differed notably between sites, potentially reflecting habitat differences, reproductive patterns of adults, and/or advective processes in the area. Eleven out of a total of 62 recorded families comprised 69–94% of the fish larval community, depending on sampling site and month. Richness of taxa was notably higher in the inshore station compared to the offshore, particularly during the colder period of the year and especially for the gobiids and apogonids. Two mesopelagic taxa (Vinciguerria sp. and Benthosema spp.) comprised an important component of the larval community at the deeper site with only a small and sporadic occurrence in the shallower inshore waters. Our data provide an important baseline reference for the larval fish communities of the central Red Sea, representing the first such study from Saudi Arabian waters. PMID:28771590
50 CFR 18.128 - What are the mitigation, monitoring, and reporting requirements?
Code of Federal Regulations, 2010 CFR
2010-10-01
..., DEPARTMENT OF THE INTERIOR (CONTINUED) TAKING, POSSESSION, TRANSPORTATION, SALE, PURCHASE, BARTER... early detection system in regards to proximate bear activity to Industry facilities. (4) Offshore sites...
Impact of exploratory wells, offshore Florida: A biological assessment
Dustan, Phillip A.; Lidz, Barbara H.; Shinn, Eugene A.
1991-01-01
Seven offshore exploratory oil well sites were examined in an effort to determine the ecological impact of exploratory drilling on the subtropical marine ecosystems of southern Florida, including seagrass beds and coral reefs. The time since drilling ranged from 2 to 29 years; water depths varied between 5 and 70 m. The major long-term ecological impact observed at these sites ranged from the creation of "artificial-reef" conditions to the physical destruction of hardbottom habitat that had not recovered in 29 years. Long-term ecological perturbation appeared to be limited to physical destruction and the deposition of drilling debris, which provided substratum for settling organisms. Significant deposits of drill muds or cuttings were not encountered at any of the sites, and there was no evidence of ecological damage from cuttings or drill muds. The results of this study pertain only to exploratory drilling that, unlike production wells that remain in place for tens of years, is a one-time perturbation to the habitat.
The continuing decline of coral reefs in Bahrain.
Burt, John A; Al-Khalifa, Khalifa; Khalaf, Ebtesam; Alshuwaikh, Bassem; Abdulwahab, Ahmed
2013-07-30
Historically coral reefs of Bahrain were among the most extensive in the southern basin of the Arabian Gulf. However, Bahrain's reefs have undergone significant decline in the last four decades as a result of large-scale coastal development and elevated sea surface temperature events. Here we quantitatively surveyed six sites including most major coral reef habitats around Bahrain and a reef located 72 km offshore. Fleshy and turf algae now dominate Bahrain's reefs (mean: 72% cover), and live coral cover is low (mean: 5.1%). Formerly dominant Acropora were not observed at any site. The offshore Bulthama reef had the highest coral cover (16.3%) and species richness (22 of the 23 species observed, 13 of which were exclusive to this site). All reefs for which recent and historical data are available show continued degradation, and it is unlikely that they will recover under continuing coastal development and projected climate change impacts. Copyright © 2012 Elsevier Ltd. All rights reserved.
Humboldt Open Ocean Disposal Site (HOODS) Survey Work 2014
The Humboldt Open Ocean Disposal Site (HOODS) is a dredged material disposal site located 3 nautical miles (nm) offshore of Humboldt Bay in Northern California. HOODS was permanently designated by EPA Region 9 in 1995, and has been actively used for dredged material disposal operations since then. The HOODS has received higher volumes of dredged material than predicted since its designation in 1995, mainly from USACE construction and maintenance dredging.
30 CFR 285.500 - How do I make payments under this part?
Code of Federal Regulations, 2011 CFR
2011-07-01
... your lease, you must make credit card or automated clearing house payments through the Pay.gov Web site, and you must include one copy of the Pay.gov confirmation receipt page with your unsolicited request or signed lease instrument. You may access the Pay.gov Web site through links on the MMS Offshore Web...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-09-07
... minimize that conflict. (2) Sites must be situated such that temporary perturbations to water quality or... detectable contaminant concentrations or water quality effects, e.g., suspended solids, would be expected to... activities on water quality is expected to be temporary turbidity caused by the physical movement of sediment...
NASA Astrophysics Data System (ADS)
Holloway, J. M.; Orem, W. H.; Aiken, G.; Varonka, M. S.; Butler, K.; Kokaly, R. F.
2011-12-01
Record volumes of oil released from the Macondo well following the explosion of the Deepwater Horizon offshore oil-drilling platform in the Gulf of Mexico significantly impacted coastal marshes in Barataria Bay, Louisiana. Remote sensing and water sampling was conducted by the U.S. Geological Survey to evaluate the extent of impact. Water samples were collected offshore from near the spill site July 5-10, 2010 to characterize molecular organic carbon chemistry on unfiltered samples and dissolved organic carbon (DOC) on filtered samples. Three field visits were conducted in July 7-10, August 12-14, and August 24-26, 2010, to collect samples from the soil-water interface in coastal marshes along lower Barataria Bay and the Bird's Foot Delta at the distal end of the Mississippi River Delta. Visible oil in the marsh was observed as thick coatings on vegetation and soil and as sheens at the water surface. Samples were extracted for hydrocarbons with dichloromethane, separated into aliphatic, aromatic and polar compound classes using standard column techniques, and analyzed by gas chromatography/mass spectrometry. A significant amount of oil was observed "dissolved" in the water column with a hydrocarbon distribution resembling that of the surface oil slick. While oils maintained many of the more volatile lower molecular weight components near the spill site, these were mostly gone in the onshore Barataria Bay samples, leaving mostly higher molecular weight components. Dissolved organic carbon was characterized using concentration, fluorescence index (FI), specific ultratviolet absorbance (SUVA) and excitation/emission fluorescence (EEM). Offshore samples had distinctive EEMs patterns, SUVA and FI. With few exceptions, marsh samples had EEMs patterns more similar to previously extracted organic matter from the Mississippi River than to the offshore oil. In spite of visible oil sheen in unfiltered water from contaminated shorelines and no visible sign of impact on vegetation in the "control" sites with no visible oil on vegetation, DOC concentrations were similar in impacted and visibly unimpacted sites in Barataria Bay. There was an increase in specific UV absorbance (SUVA), an index of aromaticity, with increasing DOC concentrations at some repeatedly sampled sites, either due to seasonal effects or continued dissolution of petroleum compounds. These data reflect the degradation of oil during transport from the spill site to coastal marshes. Ongoing studies to track oil impacts on coastal marshes included sampling oiled and unimpacted areas in Barataria Bay for extractable hydrocarbons in July 2011, more than a year after the spill.
Gutiérrez, Juan Manuel; da Conceição, Moisés Basilio; Molisani, Mauricio Mussi; Weber, Laura Isabel
2018-03-01
Offshore oil exploration creates threats to coastal ecosystems, including increasing urbanization and associated effluent releases. Genotoxicity biomarkers in mussels were determined across a gradient of coastal zone influences of offshore petroleum exploration in southeastern Brazil. Coastal ecosystems such as estuaries, beaches and islands were seasonally monitored for genotoxicity evaluation using the brown mussel Perna perna. The greatest DNA damage (5.2% ± 1.9% tail DNA and 1.5‰ ± 0.8‰ MN) were observed in urban estuaries, while Santana Archipelago showed levels of genotoxicity near zero and is considered a reference site. Mussels from urban and pristine beaches showed intermediate damage levels, but were also influenced by urbanization. Thus, mussel genotoxicity biomarkers greatly indicated the proposed oil exploration and urbanization scenarios that consequently are genetically affecting coastal organisms.
NASA Astrophysics Data System (ADS)
Sato, T.; Pratiwi, S. D.; Effendi, R.
2015-12-01
We studied in detail the calcareous nannofossil assemblages of the middle Miocene to Quaternary sequences of ODP Sites 782, 1005, 1006, and 1007 located in western Pacific Ocean and Bahama Bank of Caribbean Sea. Site 1007, 1005, 1006 are situated in the cross section of Bahama Bank from near shore to offshore site. Discoaster species, which is interpreted as lower photic zone species, is increasing the relative number towards the offshore site. This means that the abundant occurrence of Discoaster specimens indicates the well stratified surface water conditions. We also correlated the variability of maximum size of "Reticulofenestra" specimens between Sites 782, 1005, 1006, and 1007 (Fig ). The variability of the maximum size of Reticulofenestra recorded in site 782 is positive correlation with those in Site 1006, 1005, and 1007. As the occurrence of large size Reticulofenestra indicate the oligotrophic and stable sea surface condition, the drastic decreasing of maximum size of Reticulofenestra fond in 2.75Ma, 3.6Ma, 5.4Ma, 9Ma and 13Ma, indicates the collapse of stable and low nutrient sea surface conditions at these ages in both Caribbean Sea and western Pacific Ocean. The events found in the sequences are correlated to closure of Central American seaway, Messinian salinity crisis, intensify the Asian Monsoon, and closure of Indonesian Sea way.
NASA Astrophysics Data System (ADS)
Worthington, Lindsay L.; Daigle, Hugh; Clary, Wesley A.; Gulick, Sean P. S.; Montelli, Aleksandr
2018-02-01
The southern Alaskan margin offshore the St. Elias Mountains has experienced the highest recorded offshore sediment accumulation rates globally. Combined with high uplift rates, active convergence and extensive temperate glaciation, the margin provides a superb setting for evaluating competing influences of tectonic and surface processes on orogen development. We correlate results from Integrated Ocean Drilling Program (IODP) Expedition 341 Sites U1420 and U1421 with regional seismic data to determine the spatial and temporal evolution of the Pamplona Zone fold-thrust belt that forms the offshore St. Elias deformation front on the continental shelf. Our mapping shows that the pattern of active faulting changed from distributed across the shelf to localized away from the primary glacial depocenter over ∼300-780 kyrs, following an order-of-magnitude increase in sediment accumulation rates. Simple Coulomb stress calculations show that the suppression of faulting is partially controlled by the change in sediment accumulation rates which created a differential pore pressure regime between the underlying, faulted strata and the overlying, undeformed sediments.
NASA Astrophysics Data System (ADS)
DeBlois, Elisabeth M.; Paine, Michael D.; Kilgour, Bruce W.; Tracy, Ellen; Crowley, Roger D.; Williams, Urban P.; Janes, G. Gregory
2014-12-01
This paper describes sediment composition at the Terra Nova offshore oil development. The Terra Nova Field is located on the Grand Banks approximately 350 km southeast of Newfoundland, Canada, at an approximate water depth of 100 m. Surface sediment samples (upper 3 cm) were collected for chemical and particle size analyses at the site pre-development (1997) and in 2000-2002, 2004, 2006, 2008 and 2010. Approximately 50 stations have been sampled in each program year, with stations extending from less than 1 km to a maximum of 20 km from source (drill centres) along five gradients, extending to the southeast, southwest, northeast, northwest and east of Terra Nova. Results show that Terra Nova sediments were contaminated with >C10-C21 hydrocarbons and barium-the two main constituents of synthetic-based drilling muds used at the site. Highest levels of contamination occurred within 1 to 2 km from source, consistent with predictions from drill cuttings dispersion modelling. The strength of distance gradients for >C10-C21 hydrocarbons and barium, and overall levels, generally increased as drilling progressed but decreased from 2006 to 2010, coincident with a reduction in drilling. As seen at other offshore oil development sites, metals other than barium, sulphur and sulphide levels were elevated and sediment fines content was higher in the immediate vicinity (less than 0.5 km) of drill centres in some sampling years; but there was no strong evidence of project-related alterations of these variables. Overall, sediment contamination at Terra Nova was spatially limited and only the two major constituents of synthetic-based drilling muds used at the site, >C10-C21 hydrocarbons and barium, showed clear evidence of project-related alternations.
Tennent, J.M.; Stanley, J.-D.; Hart, P.E.; Bernasconi, M.P.
2009-01-01
A geophysical survey provides new information on marine features located seaward of Locri-Epizefiri (Locri), an ancient Greek settlement on the Ionian coastal margin in southern Italy. The study supplements previous work by archaeologists who long searched for the site's harbor and recently identified what was once a marine basin that is now on land next to the city walls of Locri. Profiles obtained offshore, between the present coast and outer shelf, made with a high-resolution, seismic subbottom-profiling system, record spatial and temporal variations of buried Holocene deposits. Two of these submerged features are part of a probable now-submerged ship landing facility. The offshore features can be linked to coastline displacements that occurred off Locri: a sea-to-land shift before Greek settlement, followed by a shoreline reversal from the archaeological site back to sea, and more recently, a return landward. The seaward directed coastal shift that occurred after Locri's occupation by Greeks was likely caused by land uplift near the coastal margin and tectonic seaward shift of the coast, as documented along this geologically active sector of the Calabrian Arc. The seismic survey records an angular, hook-shaped, low rise that extends from the present shore and is now buried on the inner shelf. The rise, enclosing a core lens of poorly stratified to transparent acoustic layers, bounds a broad, low-elevation zone positioned immediately seaward of the shoreline. Close proximity of the raised feature to the low-elevation area suggests it may have been a fabricated structure that functioned as a wave-break for a ship-landing site. The study indicates that the basin extended offshore as a function of the coastline's seaward migration during and/or after Greek occupation of Locri.
New Approaches for Responsible Management of Offshore Springs in Semi-arid Regions
NASA Astrophysics Data System (ADS)
Shaban, Amin; de Jong, Carmen; Al-Sulaimani, Zaher
2017-04-01
In arid and semi-arid regions, such as the Mediterranean and Gulf Region where water is scarce water demand has been exacerbated and become a major environmental challenge. Presently there is massive pressure to develop new water sources to alleviate existing water stress. In the quest for more freshwater even groundwater discharge into the sea in the form of "off-shore freshwater springs" (or submarine groundwater discharge) has been contemplated as a potential source of unconventional water in coastal zones. Offshore-springs are derived from aquifers with complex geological controls mainly in the form of faults and karst conduits. Representing a border-line discipline, they have been poorly studied with only few submarine groundwater monitoring sites existing worldwide. Recently, innovative techniques have been developed enabling springs to be detected via remote sensing such as airborne surveys or satellite images. "Thermal Anomalies" can be clearly identified as evidence for groundwater discharge into the marine environment. A diversity of groundwater routes along which off-shore springs are fed from land sources can be recognized and near-shore and offshore springs differentiated and classified according to their geometry. This is well pronounced along the coast of Lebanon and offshore of Oman. Offshore springs play an important role in the marine ecosystem as natural sources of mercury, metals, nutrients, dissolved carbon species and in cooling or warming ocean water. However, they are extremely sensitive to variations in qualitative and quantitative water inputs triggered by climate change and anthropogenic impacts especially in their recharge zones. Pollutants such as sewage, detergents, heavy metals or herbicides that negatively affect water quality of offshore springs can transit the groundwater rapidly. Recently these springs have also been severely affected by uncontrolled water abstraction from land aquifers. In Bahrain, overpumping combined with burial under land reclamation rubble has caused the disappearance of offshore springs inducing a drastic decline in the pearl oyster population. Climate change related precipitation decrease and temperature increase is likely to further decrease groundwater and surface water recharge, increase irrigation and domestic water demand, increase water extraction from aquifers and in turn decrease water availability for offshore springs.. Thus in future, continuous monitoring of water quantity and quality as well as new remote sensing approach in addition to observations by citizens such as fishermen and tourist guides are becoming essential to ensure responsible management of offshore freshwater springs.
Nitrogen Isotopic Study of Benthic Macroalgae and Seawater in Biscayne Bay, Florida
NASA Astrophysics Data System (ADS)
Drayer, C. L.; Lamb, K. A.; Swart, P. K.; Altabet, M. A.; Anderson, W. T.; Bellmund, S.
2006-12-01
Biscayne Bay, Florida is a complex coastal environment with many possible natural and anthropogenic sources of nitrogen. Such sources include precipitation, N fixation, nutrient regeneration/recycling, landfill soil leaching, groundwater and agricultural runoff, septic tank leakage, and treated waste water effluent. In order to understand the relative importance of these various inputs, benthic macroalgae, seagrasses, and seawater samples were collected from Biscayne Bay transecting from canals through nearshore bay to offshore reef sites Macroalgae was identified by species, decarbonated, and analyzed for δ15N and δ13C. The mean δ15N and δ13C for the algal tissue were +5.4 (±0.3‰) and -15.1 (±0.1‰), respectively. Measured nearshore algal samples differed greatly from offshore samples and had a high δ15N value of +12.0 (±0.1‰) and a mean of +8.6 (±3.0‰), in comparison to offshore samples that averaged +4.7 (±2.5‰). Despite the variation in δ15N, the δ13C values for both nearshore and offshore samples fell within the accepted parameters for algal communities. Seawater was analyzed for δ15N in DIN (dissolved inorganic nitrogen) and DON (dissolved organic nitrogen) through the cadmium reduction method (Mcllvin and Altabet, 2005). The mean δ15N for the DIN was +4.5 (±3.9‰) and the DON was +5.8 (±3.3‰). Canal DON δ15N values contained the heaviest measured values at ~+18‰, while nearshore and offshore DON values were lighter, 4.9 (±1.6‰). DIN values were more spatially variable with canal and nearshore sites ranging from ~+10‰ through ~-4.5‰. This study will continue over the next two years to examine possible temporal C and N isotope variations and will expand to include a larger geographic region focusing on areas with high nutrient levels and harmful algae blooms (HABs).
Sharp Permeability Transitions due to Shallow Diagenesis of Subduction Zone Sediments
NASA Astrophysics Data System (ADS)
James, S.; Screaton, E.
2013-12-01
The permeability of hemipelagic sediments is an important factor in fluid flow in subduction zones and can be affected by porosity changes and cementation-dissolution processes acting during diagenesis. Anomalously high porosities have been observed in cores from the Shikoku Basin sediments approaching the Nankai Trough subduction zone. These high porosities have been attributed to the presence of minor amounts of amorphous silica cement that strengthen the sediment and inhibit consolidation. The porosity rapidly drops from 66-68% to 54-56% at a diagenetic boundary where the amorphous silica cement dissolves. Although the anomalous porosity profiles at Nankai have received attention, the magnitude of the corresponding permeability change has not been addressed. In this study, permeability profiles were constructed using permeability-porosity relationships from previous studies, to estimate the magnitude and rate of permeability changes with depth. The predicted permeability profiles for the Nankai Trough sediment cores indicate that permeability drops by almost one order of magnitude across the diagenetic boundary. This abrupt drop in permeability has the potential to facilitate significant changes in pore fluid pressures and thus to influence the deformation of the sediment onto the accretionary prism. At the Costa Rica subduction zone, results vary with location. Site U1414 offshore the Osa Peninsula shows porosities stable at 69% above 145 mbsf and then decrease to 54% over a 40 m interval. A porosity drop of that magnitude is predicted to correlate to an order of magnitude permeability decrease. In contrast, porosity profiles from Site 1039 offshore the Nicoya Peninsula and Site U1381 offshore the Osa Peninsula show anomalously high porosities but no sharp drop. It is likely that sediments do not cross the diagenetic boundary due to the extremely low (<10°C/km) thermal gradient at Site 1039 and the thin (<100 m) sediment cover at Site U1381. At these locations, the porosity loss and permeability reduction may occur after the sediment is subducted and contribute to high pore pressures at the plate boundary.
Real-time correction of tsunami site effect by frequency-dependent tsunami-amplification factor
NASA Astrophysics Data System (ADS)
Tsushima, H.
2017-12-01
For tsunami early warning, I developed frequency-dependent tsunami-amplification factor and used it to design a recursive digital filter that can be applicable for real-time correction of tsunami site response. In this study, I assumed that a tsunami waveform at an observing point could be modeled by convolution of source, path and site effects in time domain. Under this assumption, spectral ratio between offshore and the nearby coast can be regarded as site response (i.e. frequency-dependent amplification factor). If the amplification factor can be prepared before tsunamigenic earthquakes, its temporal convolution to offshore tsunami waveform provides tsunami prediction at coast in real time. In this study, tsunami waveforms calculated by tsunami numerical simulations were used to develop frequency-dependent tsunami-amplification factor. Firstly, I performed numerical tsunami simulations based on nonlinear shallow-water theory from many tsuanmigenic earthquake scenarios by varying the seismic magnitudes and locations. The resultant tsunami waveforms at offshore and the nearby coastal observing points were then used in spectral-ratio analysis. An average of the resulted spectral ratios from the tsunamigenic-earthquake scenarios is regarded as frequency-dependent amplification factor. Finally, the estimated amplification factor is used in design of a recursive digital filter that can be applicable in time domain. The above procedure is applied to Miyako bay at the Pacific coast of northeastern Japan. The averaged tsunami-height spectral ratio (i.e. amplification factor) between the location at the center of the bay and the outside show a peak at wave-period of 20 min. A recursive digital filter based on the estimated amplification factor shows good performance in real-time correction of tsunami-height amplification due to the site effect. This study is supported by Japan Society for the Promotion of Science (JSPS) KAKENHI grant 15K16309.
NASA Astrophysics Data System (ADS)
Talling, Peter; Le Friant, Anne; Ishizuka, Osamu; Watt, Sebastian; Coussens, Maya; Jutzeler, Martin; Wall-Palmer, Deborah; Palmer, Martin; Cassidy, Michael; Kataoka, Kyoko; Endo, Daisuko; McCanta, Molly; Trofimovs, Jessica; Hatfield, Robert; Stinton, Adam; Lebas, Elodie; Boudon, Georges; Expedition 340 Shipboard Science Party, IODP
2015-04-01
Montserrat now provides one of the most complete datasets for understanding the character and tempo of hazardous events at volcanic islands. Much of the erupted material ends up offshore, and this offshore record may be easier to date due to intervening hemiplegic sediments between event beds. The offshore dataset includes the first scientific drilling of volcanic island landslides during IODP Expedition 340, together with an unusually comprehensive set of shallow sediment cores and 2-D and 3-D seismic surveys. Most recently in 2013, Remotely Operated Vehicle (ROV) dives mapped and sampled the surface of the main landslide deposits. This contribution aims to provide an overview of key insights from ongoing work on IODP Expedition 340 Sites offshore Montserrat.Key objectives are to understand the composition (and hence source), emplacement mechanism (and hence tsunami generation) of major landslides, together with their frequency and timing relative to volcanic eruption cycles. The most recent major collapse event is Deposit 1, which involved ~1.8 km cubed of material and produced a blocky deposit at ~12-14ka. Deposit 1 appears to have involved not only the volcanic edifice, but also a substantial component of a fringing bioclastic shelf, and material locally incorporated from the underlying seafloor. This information allows us to test how first-order landslide morphology (e.g. blocky or elongate lobes) is related to first-order landslide composition. Preliminary analysis suggests that Deposit 1 occurred shortly before a second major landslide on the SW of the island (Deposit 5). It may have initiated English's Crater, but was not associated with a major change in magma composition. An associated turbidite-stack suggests it was emplaced in multiple stages, separated by at least a few hours and thus reducing the tsunami magnitude. The ROV dives show that mega-blocks in detail comprise smaller-scale breccias, which can travel significant distances without complete disintegration. Landslide Deposit 2 was emplaced at ~130ka, and is more voluminous (~8.4km cubed). It had a much more profound influence on the magmatic system, as it was linked to a major explosive mafic eruption and formation of a new volcanic centre (South Soufriere Hills) on the island. Site U1395 confirms a hypothesis based on the site survey seismic data that Deposit 2 includes a substantial component of pre-existing seafloor sediment. However, surprisingly, this pre-existing seafloor sediment in the lower part of Deposit 2 at Site U1395 is completely undeformed and flat lying, suggesting that Site U1395 penetrated a flat lying block. Work to date material from the upper part of U1396, U1395 and U1394 will also be summarised. This work is establishing a chronostratigraphy of major events over the last 1 Ma, with particularly detailed constraints during the last ~250ka. This is helping us to understand whether major landslides are related to cycles of volcanic eruptions.
Coastal Wind Profiles In The Mediterranean Area From A Wind Lidar During A Two Year Period
NASA Astrophysics Data System (ADS)
Gullì, Daniel; Avolio, Elenio; Calidonna, Claudia Roberta; Lo Feudo, Teresa; Torcasio, Rosa Claudia; Sempreviva, Anna Maria
2017-04-01
Reliable measurements of vertical profiles of wind speed and direction are the basis for testing models and methodologies of use for wind energy assessment. Modelling coastal areas further introduce the challenge of the coastal discontinuity, which is often not accurately resolved in meso-scale numerical model. Here, we present the analysis of two year of 10-minute averaged wind speed and direction vertical profiles collected during a two-year period from a Wind- lidar ZEPHIR 300® at a coastal suburban area. The lidar is located at the SUPER SITE of CNR-ISAC section of Lamezia Terme, Italy and both dataset and site are unique in the Mediterranean area. The instrument monitors at 10 vertical levels, from 10 m up to 300 m. The analysis is classified according to season, and wind directions for offshore and offshore flow. For onshore flow, we note an atmospheric layer at around 100 m that likely represents the effect an internal boundary layer caused by the sharp coastal discontinuity of the surface characteristics. For offshore flows, the profiles show a layer ranging between 80m and 100m, which might be ascribed to the land night time boundary layer combined to the impact of the building around the mast.
Flint, Paul L.; Fowler, A.C.
1998-01-01
We used wooden blocks to estimate the proportion of oiled seabird carcasses that were likely to be recovered on beaches of St Paul Island, Alaska following a near-shore oil spill. We released a total of 302 blocks 6 km north of the island in 1997 at the site of a 17 II 1996 oil spill. We used a paired design and released half the blocks when the winds were onshore and released the second half when the winds were offshore. We systematically searched beaches after the second release to recover blocks. We recovered 93 of 152 (61%) blocks released when winds were onshore but only 1 of 150 (0.7%) blocks released when winds were offshore. Given that winds following the 1996 spill were offshore, we conclude that most birds killed at sea following the 1996 spill were likely not recovered on beaches.
2009-04-01
companies and Web site own- ers to use their tables and figures. This report was prepared under the general supervision of Janet Hardy, Chief...through reports about the technologies, sales and engineering literature, Web sites, and patents. Information in some circumstances was available from...the technologies are proprietary, some information sources were limited to Web sites and open literature. 5. TRL: Technology Readiness Level (TRL
Current observations offshore Punta Tuna, Puerto Rico, 21 June-7 December 1980. Part A
DOE Office of Scientific and Technical Information (OSTI.GOV)
Frye, D.; Leavitt, K.; Whitney, A.
1981-08-01
An oceanographic measurement program was conducted in the vicinity of a proposed ocean thermal energy conversion (OTEC) site about 20 km offshore of Punta Tuna, Puerto Rico. As part of the program, a mooring consisting of five current meters was maintained between 21 June and 7 December, 1980. The current data collected are summarized according to frequency of occurrence within 5 cm/sec speed and 15/sup 0/ direction intervals. Sums and percentages of total occurrence are given for each speed and direction class, along with mean speed, extreme speeds, mean component speeds, and standard deviations. Hourly averages of current speed, truemore » direction, current vector, temperature, and pressure are plotted as a function of time. On 13 December, 1980, a current meter array was deployed at the Punta Tuna site and recovered on May 16, 1981. The processed current data from this current meter array are described. (LEW)« less
Cascadia Onshore-Offshore Site Response, Submarine Sediment Mobilization, and Earthquake Recurrence
NASA Astrophysics Data System (ADS)
Gomberg, J.
2018-02-01
Local geologic structure and topography may modify arriving seismic waves. This inherent variation in shaking, or "site response," may affect the distribution of slope failures and redistribution of submarine sediments. I used seafloor seismic data from the 2011 to 2015 Cascadia Initiative and permanent onshore seismic networks to derive estimates of site response, denoted Sn, in low- and high-frequency (0.02-1 and 1-10 Hz) passbands. For three shaking metrics (peak velocity and acceleration and energy density) Sn varies similarly throughout Cascadia and changes primarily in the direction of convergence, roughly east-west. In the two passbands, Sn patterns offshore are nearly opposite and range over an order of magnitude or more across Cascadia. Sn patterns broadly may be attributed to sediment resonance and attenuation. This and an abrupt step in the east-west trend of Sn suggest that changes in topography and structure at the edge of the continental margin significantly impact shaking. These patterns also correlate with gravity lows diagnostic of marginal basins and methane plumes channeled within shelf-bounding faults. Offshore Sn exceeds that onshore in both passbands, and the steepest slopes and shelf coincide with the relatively greatest and smallest Sn estimates at low and high frequencies, respectively; these results should be considered in submarine shaking-triggered slope stability failure studies. Significant north-south Sn variations are not apparent, but sparse sampling does not permit rejection of the hypothesis that the southerly decrease in intervals between shaking-triggered turbidites and great earthquakes inferred by Goldfinger et al. (2012, 2013, 2016) and Priest et al. (2017) is due to inherently stronger shaking southward.
NASA Astrophysics Data System (ADS)
Daniel, Michael T.
Here in the early 21st century humanity is continuing to seek improved quality of life for citizens throughout the world. This global advancement is providing more people than ever with access to state-of-the-art services in areas such as transportation, entertainment, computing, communication, and so on. Providing these services to an ever-growing population while considering the constraints levied by continuing climate change will require new frontiers of clean energy to be developed. At the time of this writing, offshore wind has been proven as both a politically and economically agreeable source of clean, sustainable energy by northern European nations with many wind farms deployed in the North, Baltic, and Irish Seas. Modern offshore wind farms are equipped with an electrical system within the farm itself to aggregate the energy from all turbines in the farm before it is transmitted to shore. This collection grid is traditionally a 3-phase medium voltage alternating current (MVAC) system. Due to reactive power and other practical constraints, it is preferable to use a medium voltage direct current (MVDC) collection grid when siting farms >150 km from shore. To date, no offshore wind farm features an MVDC collection grid. However, MVDC collection grids are expected to be deployed with future offshore wind farms as they are sited further out to sea. In this work it is assumed that many future offshore wind farms may utilize an MVDC collection grid to aggregate electrical energy generated by individual wind turbines. As such, this work presents both per-phase and per-pole power electronic converter systems suitable for interfacing individual wind turbines to such an MVDC collection grid. Both interfaces are shown to provide high input power factor at the wind turbine while providing DC output current to the MVDC grid. Common mode voltage stress and circulating currents are investigated, and mitigation strategies are provided for both interfaces. A power sharing scheme for connecting multiple wind turbines in series to allow for a higher MVDC grid voltage is also proposed and analyzed. The overall results show that the proposed per-pole approach yields key advantages in areas of common mode voltage stress, circulating current, and DC link capacitance, making it the more appropriate choice of the two proposed interfaces for this application.
Li, Tsung-Chang; Yuan, Chung-Shin; Huang, Hu-Ching; Lee, Chon-Lin; Wu, Shui-Ping; Tong, Chuan
2016-01-01
The spatiotemporal distribution and chemical composition of atmospheric fine particles in areas around the Taiwan Strait were firstly investigated. Fine particles (PM2.5) were simultaneously collected at two sites on the west-side, one site at an offshore island, and three sites on the east-side of the Taiwan Strait in 2013–2014. Field sampling results indicated that the average PM2.5 concentrations at the west-side sampling sites were generally higher than those at the east-side sampling sites. In terms of chemical composition, the most abundant water-soluble ionic species of PM2.5 were SO42−, NO3−, and NH4+, while natural crustal elements dominated the metallic content of PM2.5, and the most abundant anthropogenic metals of PM2.5 were Pb, Ni and Zn. Moreover, high OC/EC ratios of PM2.5 were commonly observed at the west-side sampling sites, which are located at the downwind of major stationary sources. Results from CMB receptor modeling showed that the major sources of PM2.5 were anthropogenic sources and secondary aerosols at the both sides, and natural sources dominated PM2.5 at the offshore site. A consistent decrease of secondary sulfate and nitrate contribution to PM2.5 suggested the transportation of aged particles from the west-side to the east-side of the Taiwan Strait. PMID:26973085
30 CFR 285.608-285.609 - [Reserved
Code of Federal Regulations, 2010 CFR
2010-07-01
... 30 Mineral Resources 2 2010-07-01 2010-07-01 false [Reserved] 285.608-285.609 Section 285.608-285.609 Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE... [Reserved] Contents of the Site Assessment Plan ...
New geologic slip rates for the Agua Blanca Fault, northern Baja California, Mexico
NASA Astrophysics Data System (ADS)
Gold, P. O.; Behr, W. M.; Fletcher, J. M.; Hinojosa-Corona, A.; Rockwell, T. K.
2015-12-01
Within the southern San Andreas transform plate boundary system, relatively little is known regarding active faulting in northern Baja California, Mexico, or offshore along the Inner Continental Borderland. The inner offshore system appears to be fed from the south by the Agua Blanca Fault (ABF), which strikes northwest across the Peninsular Ranges of northern Baja California. Therefore, the geologic slip rate for the ABF also provides a minimum slip rate estimate for the offshore system, which is connected to the north to faults in the Los Angeles region. Previous studies along the ABF determined slip rates of ~4-6 mm/yr (~10% of relative plate motion). However, these rates relied on imprecise age estimates and offset geomorphic features of a type that require these rates to be interpreted as minima, allowing for the possibility that the slip rate for the ABF may be greater. Although seismically quiescent, the surface trace of the ABF clearly reflects Holocene activity, and given its connectivity with the offshore fault system, more quantitative slip rates for the ABF are needed to better understand earthquake hazard for both US and Mexican coastal populations. Using newly acquired airborne LiDAR, we have mapped primary and secondary fault strands along the segmented western 70 km of the ABF. Minimal development has left the geomorphic record of surface slip remarkably well preserved, and we have identified abundant evidence meter to km scale right-lateral displacement, including new Late Quaternary slip rate sites. We verified potential reconstructions at each site during summer 2015 fieldwork, and selected an initial group of three high potential slip rate sites for detailed mapping and geochronologic analyses. Offset landforms, including fluvial terrace risers, alluvial fans, and incised channel fill deposits, record displacements of ~5-80 m, and based on minimal soil development, none appear older than early Holocene. To quantitatively constrain landform ages, we collected surface and depth profile samples for 10Be cosmogenic exposure dating. We also identified sites for new paleoseismic excavations, and documented evidence of the last two earthquakes, each of which produced ~2.5 m of surface displacement. We expect new Holocene slip rates for the Agua Blanca Fault to be forthcoming in fall of 2015.
NASA Astrophysics Data System (ADS)
Buck, Bela Hieronymus
2007-06-01
This study summarizes the activities and findings during a 2 year investigation on the grow-out of blue mussels ( Mytilus edulis) and the technical requirements to withstand harsh weather conditions at an offshore location. The experimental sites were two different test areas, each 5 ha in size, 12-15 m in depth, in the vicinity of the offshore lighthouse “Roter Sand” located 15-17 nautical miles northwest of the city of Bremerhaven (Germany). Two versions of submerged longline systems were deployed: a conventional polypropylene longline in 2002 as well as a steel hawser longline in 2003, both featuring different versions of buoyancy modes. The spat collectors and grow-out ropes were suspended perpendicular from the horizontal longline for several months beginning in March of each respective year. The test sites were visited and sampled on a monthly basis using research vessels. Larval abundances in the surrounding water column reached numbers of up to 1,467 individuals m-3. Post-larval settlement success varied through the entire experimental period, ranging from 29 to 796 individuals of spat per meter of collector. Settled mussels reached a shell length of up to 28 mm 6 months after settlement. Based on the growth rates observed for the seed, it is projected that mussels would reach market size (50 mm) in 12-15 months post settlement, and at the observed densities, each meter of collector rope could yield 10.9 kg of harvestable mussels. The polypropylene line resisted storm conditions with wind waves of up to 6.4 m and current velocities of 1.52 m s-1 and was retrieved in autumn of 2002. In contrast, the steel hawser-based line did not withstand the harsh weather conditions. The steel-based line consisted of six twisted strands that were untwisted by the strong currents and turbulences and consequently the individual strands were torn. Additionally, the line was accidentally cut by a yacht in July 2003. The biological study revealed that the tested location near “Roter Sand” has the potential to become an offshore seed production site as well as being exploitable as a grow-out site for mussel production to market size. In light of the technical results, recommendations for mussel culture strategies using a polypropylene longline system are given.
NASA Astrophysics Data System (ADS)
Lilley, Meredith Blaydes
As the world's most rapidly growing source of energy, wind power has vast potential for mitigating climate change and advancing global environmental sustainability. Yet, the challenges facing wind energy remain both complex and substantial. Two such challenges are: 1) wildlife impacts; and 2) perceived negative effects on tourism. This dissertation examines these challenges in a multi-paper format, and also investigates the role that climate change perceptions play in garnering public support for wind power. The first paper assesses optimal approaches for addressing wind power's wildlife impacts. Comparative analysis reveals that avian mortality from turbines ranks far behind avian mortality from a number of other anthropogenic sources. Additionally, although bats have recently emerged as more vulnerable to wind turbines than birds, they are generally less federally protected. The Migratory Bird Treaty Act (MBTA) protects over 800 bird species, regardless of their threatened or endangered status. Moreover, it criminalizes the incidental take of birds without a permit and simultaneously grants no permits for such incidental take, thereby creating a legal conundrum for the wind industry. An examination of the legislative and case history of the MBTA, however, reveals that wind operators are not likely to be prosecuted for incidental take if they cooperate with the U.S. Fish & Wildlife Service (FWS) and take reasonable steps to reduce siting and operational impacts. Furthermore, this study's analysis reveals modest wildlife impacts from wind power, in comparison with numerous other energy sources. Scientific-research, legal, and policy recommendations are provided to update the present legal and regulatory regime under the MBTA and to minimize avian and bat impacts. For instance, FWS should: establish comprehensive federal guidelines for wind facility siting, permitting, monitoring, and mitigation; and promulgate regulations under the MBTA for the issuance of incidental take permits at wind facilities. Equal protections for bats are also recommended. In examining the potential effect of offshore wind power on coastal tourism, the second paper reports the findings of a summer 2007 survey of over 1,000 out-of-state tourists at Delaware beaches. Randomly sampled beachgoers were shown photo-simulations of wind turbines at increasing distances from shore and asked how each simulation would affect visitation. With wind turbines located six miles offshore, approximately one-quarter would switch to a different beach. This stated avoidance, however, diminishes with increasing wind project distance from shore. Additionally, stated avoidance of a beach with turbines six miles offshore is exceeded by: avoidance of a beach with an equidistant, inland, fossil fuel power plant; attraction to a beach in order to see turbines six miles offshore; and the likelihood of paying for an offshore wind boat tour. Further, logistic regression modeling reveals that neither trip cost nor income significantly influences the likelihood of visiting a beach with offshore wind. These findings suggest that to limit beach avoidance, offshore wind developers could site wind facilities further from shore, particularly in areas with high recreational use. Moreover, with wind turbines six miles offshore serving more as an attraction than as a deterrent, offshore wind development may, in fact, bolster local tourism revenues. The third study examines public perceptions of climate change and the link between those perceptions and support for wind power, both in general and with respect to specific offshore sites. Analyzing data from five surveys, this research uncovers low climate awareness and concern levels overall. Respondents demonstrate a poor understanding of climate change impacts and of how to effectively address climate change. In accordance with the New Ecological Paradigm, still fewer are concerned about climate change. The issue ranks 6th in Delaware and 8th in Cape Cod as a reason for local project support, behind such issues as energy independence, electricity rates, air quality, and fishing and boating. Although disproportionately high percentages in Delaware and Cape Cod support taking climate action now - regardless of significant economic costs - this support appears to stem from the desire for climate mitigation's co-benefits, rather than from the desire to mitigate climate change itself. Furthermore, strong support for taking gradual or no climate action steps reveals evidence for an inaccurate conceptualization of greenhouse gas accumulation in the atmosphere and of long-term climate change impacts. Nevertheless, those aware of, and concerned about, climate change, exhibit significantly stronger support for wind power. Climate communicators should therefore: focus on correcting faulty cultural models of climate change, while continuing to provide accurate climate information to the public; and consider discussing the co-benefits of addressing climate change, in addition to the direct, climate mitigation benefits. Through this improved understanding, enhanced political will for addressing climate change through wind energy may be at hand.
AN OBJECTIVE CLIMATOLOGY OF CAROLINA COASTAL FRONTS
This study describes a simple objective method to identify cases of coastal frontogenesis offshore of the Carolinas and to characterize the sensible weather associated with frontal passage at measurement sites near the coast. The identification method, based on surface hourly d...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-12-08
... workspaces) at three discrete onshore and offshore locations: One 60-foot by 20-foot excavation area within... district, site, building, structure, or object included in or eligible for inclusion in the National...
Review of Offshore Wind Farm Impact Monitoring and Mitigation with Regard to Marine Mammals.
Verfuss, Ursula K; Sparling, Carol E; Arnot, Charlie; Judd, Adrian; Coyle, Michael
2016-01-01
Monitoring and mitigation reports from 19 UK and 9 other European Union (EU) offshore wind farm (OWF) developments were reviewed, providing a synthesis of the evidence associated with the observed environmental impact on marine mammals. UK licensing conditions were largely concerned with mitigation measures reducing the risk of physical and auditory injury from pile driving. At the other EU sites, impact monitoring was conducted along with mitigation measures. Noise-mitigation measures were developed and tested in UK and German waters in German government-financed projects. We highlight some of the review's findings and lessons learned with regard to noise impact on marine mammals.
Shifting post production patterns: exploring changes in New Zealand's seafood processing industry.
Stringer, Christina; Simmons, Glenn; Rees, Eugene
2011-01-01
This paper examines the changing nature of New Zealand's seafood companies' production practices. The past 15 years has seen the offshore outsourcing of post-harvest fish gain unprecedented momentum. The growth in offshore processing is a further stage in an increasingly globalised fisheries value chain. Fish is head and gutted, frozen and then transported to processing sites in China where it is thawed, value-added processed and refrozen for export to the original sourcing country or third country markets. Reasons advanced by the industry for this shift in production practices include quota reductions, increasing production costs and the sale of trawlers.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Reggio, R.; Haun, R.
This paper reviews the engineering and design work along with the installation procedures for a Persian Gulf natural gas pipeline. OPMI Ltd., a joint venture of Offshore Pipelines, Inc., Houston, and Maritime Industrial Services Co., Ltd., United Arab Emirates (UAE), successfully completed this 57.4 mile, 16-inch gas export pipeline for Consolidated Transmissions Inc. The pipeline begins at a platform in the Mubarek field offshore Sharjah, UAE, and runs to a beach termination at the Dugas treatment plant, Jebel Ali, Dubai. The paper describes the site preparation required for installation of the pipeline along with the specific design of the pipelinemore » itself to deal with corrosion, welding processes, condensate dropout, and temperature gradients.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
NONE
1997-06-01
This report presents concentrations of radionuclides, metals, and hydrocarbons in samples of produced water and produced sand from oil and gas production platforms located offshore Texas and Louisiana. concentrations in produced water discharge plume / receiving water, ambient seawater, sediment, interstitial water, and marine animal tissue samples collected in the vicinity of discharging platforms and reference sites distant from discharges are also reported and discussed. An environmental risk assessment is made on the basis of the concentration of metals and hydrocarbons determined in the samples.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Continental Shelf Associates, Inc.
1999-08-16
This report presents concentrations of radionuclides, metals, and hydrocarbons in samples of produced water and produced sand from oil and gas production platforms located offshore Texas and Louisiana. Concentrations in produced water discharge plume/receiving water, ambient seawater, sediment, interstitial water, and marine animal tissue samples collected in the vicinity of discharging platforms and reference sites distant from discharges are also reported and discussed. An environmental risk assessment is made on the basis of the concentrations of metals and hydrocarbons determined in the samples.
Filonova, A A; Seregin, V A
2014-01-01
For obtaining the integral information about the current radiation situation in the sea offshore waters of the temporary waste storage facility (TWSF) of the Northwest Center for Radioactive Waste Management "SevRAO" in the Andreeva Bay and in the settle Gremikha with a purpose of a comprehensive assessment of its condition there was performed radiation-ecological monitoring of the adjacent sea offshore waters of the TWSF. It was shown that in the territory of industrial sites of the TWSF as a result of industrial activity there are localized areas of pollution by man-made radionuclides. As a result of leaching of radionuclides by tidal stream, snowmelt and rainwater radioactive contamination extends beyond the territory of the sanitary protection zone and to the coastal sea offshore waters. To confirm the coastal pollution of the sea offshore waters the levels of mobility of 90Sr and 137Cs in environmental chains and bond strength of them with the soil and benthal deposits were clarified by determining with the method of detection of the forms of the presence of radionuclides in these media. There was established a high mobility of 137Cs and 90Sr in soils and benthal deposits (desorption coefficient (Kd) of 137Cs and 90Sr (in soils - 0.56 and 0.98), in the sediments - 0.82). The migration of radionuclides in environmental chains can lead to the contamination of the environment, including the sea offshore waters.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Wright, T.D.; Mathis, D.B.; Brannon, J.M.
This study was part of an investigation to determine the environmental effects of offshore dredged material disposal at Galveston, Texas. The biological portion of the study was conducted in two phases: a pilot survey of the dredged material disposal site (DMDS) to determine the areal distribution of the biota and sediments; and an experimental study to assess the effect of dredged material disposal on the biota at selected sites in the DMDS. Three experimental sites were investigated: a sandy bottom that received sand, shell, and silt-clay dredged material; a muddy bottom that received sand and shell dredged material; and amore » muddy bottom that received silt-clay dredged material. The magnitude of the effect on the benthic populations could not be accurately assessed because adequate predisposal data on natural sediment and benthic population changes were not available. Dredged material deposits had no apparent effect on feeding habits of fish or on the distribution of nekton, although some nektonic species may have congregated in the turbid water following dredged material disposal. Zooplankton and phytoplankton studies detected no population changes during disposal that could not have been due to sampling error. It is probable that sudden abiotic changes and commercial fishing activities cause more destruction of biota than dredging-related activities.« less
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 monitoring and performance analysis of active plants (using near- real-time satellite imagery). We have applied these methods in several test cases and obtained successful results in comparison with standard methodologies.
Dalyander, Patricia (Soupy); Mickey, Rangley C.; Long, Joseph W.; Flocks, James G.
2015-05-02
As part of a plan to preserve bird habitat on Breton Island, the southernmost extent of the Chandeleur Islands and part of the Breton National Wildlife Refuge in Louisiana, the U.S. Fish and Wildlife Service plans to increase island elevation with sand supplied from offshore resources. Proposed sand extraction sites include areas offshore where the seafloor morphology suggests suitable quantities of sediment may be found. Two proposed locations east and south of the island, between 5.5–9 kilometers from the island in 3–6 meters of water, have been identified. Borrow pits are perturbations to shallow-water bathymetry and thus can affect the wave field in a variety of ways, including alterations in sediment transport and new erosional or accretional patterns along the beach. A scenario-based numerical modeling strategy was used to assess the effects of the proposed offshore borrow pits on the nearshore wave field. Effects were assessed over a range of wave conditions and were gaged by changes in significant wave height and wave direction inshore of the borrow sites, as well as by changes in the calculated longshore sediment transport rate. The change in magnitude of the calculated sediment transport rate with the addition of the two borrow pits was an order of magnitude less than the calculated baseline transport rate.
Fang, Guor-Cheng; Wu, Yuh-Shen; Chen, Jyh-Cherng; Rau, Jui-Yeh; Huang, Shih-Han; Lin, Chi-Kwong
2006-05-20
The concentrations of total suspended particulate (TSP), fine particles PM(2.5) (with aerodynamic diameter <2.5 microm), coarse particles PM(2.5-10) (with aerodynamic diameter 2.5-10 microm,), and water-soluble inorganic ions were studied at two offshore sampling sites, Taichung Harbor (TH) and Wuci Traffic (WT), near Taiwan Strait in central Taiwan during March 2004 to January 2005. Statistical analyses were also carried out to estimate the possible sources of particulate pollution. Experimental results showed that the average mass concentrations of TSP, PM(2.5) and PM(2.5-10) at TH and WT sampling sites were 154.54 +/- 31.45 and 113.59 +/- 31.94 microg m(-3), 54.03 +/- 16.92 and 42.76 +/- 12.52 microg m(-3), and 30.31+/- 9.79 and 24.16 +/- 7.27 microg m(-3), respectively. The dominant inorganic ions at two sampling sites were SO(4)(2-), NO(3)(-), and NH(4)(+) for TSP and PM(2.5), but that were Ca(2+), Cl(-), and Na(+) for PM(2.5-10). The concentrations of most particulates and inorganic ions were higher in winter at both two sampling sites, and were higher at TH than WT sampling site in each season. From statistical analysis, air-slake of crust surface, sea-salt aerosols, agriculture activities, coal combustion, and mobile vehicles were the possible emission sources of particulate pollution at TH and WT sampling sites.
Bailey, Helen; Brookes, Kate L; Thompson, Paul M
2014-01-01
Offshore wind power provides a valuable source of renewable energy that can help reduce carbon emissions. Technological advances are allowing higher capacity turbines to be installed and in deeper water, but there is still much that is unknown about the effects on the environment. Here we describe the lessons learned based on the recent literature and our experience with assessing impacts of offshore wind developments on marine mammals and seabirds, and make recommendations for future monitoring and assessment as interest in offshore wind energy grows around the world. The four key lessons learned that we discuss are: 1) Identifying the area over which biological effects may occur to inform baseline data collection and determining the connectivity between key populations and proposed wind energy sites, 2) The need to put impacts into a population level context to determine whether they are biologically significant, 3) Measuring responses to wind farm construction and operation to determine disturbance effects and avoidance responses, and 4) Learn from other industries to inform risk assessments and the effectiveness of mitigation measures. As the number and size of offshore wind developments increases, there will be a growing need to consider the population level consequences and cumulative impacts of these activities on marine species. Strategically targeted data collection and modeling aimed at answering questions for the consenting process will also allow regulators to make decisions based on the best available information, and achieve a balance between climate change targets and environmental legislation.
Shifts in coral reef biogeochemistry and resulting acidification linked to offshore productivity
NASA Astrophysics Data System (ADS)
Yeakel, Kiley L.; Andersson, Andreas J.; Bates, Nicholas R.; Noyes, Timothy J.; Collins, Andrew; Garley, Rebecca
2015-11-01
Oceanic uptake of anthropogenic carbon dioxide (CO2) has acidified open-ocean surface waters by 0.1 pH units since preindustrial times. Despite unequivocal evidence of ocean acidification (OA) via open-ocean measurements for the past several decades, it has yet to be documented in near-shore and coral reef environments. A lack of long-term measurements from these environments restricts our understanding of the natural variability and controls of seawater CO2-carbonate chemistry and biogeochemistry, which is essential to make accurate predictions on the effects of future OA on coral reefs. Here, in a 5-y study of the Bermuda coral reef, we show evidence that variations in reef biogeochemical processes drive interannual changes in seawater pH and Ωaragonite that are partly controlled by offshore processes. Rapid acidification events driven by shifts toward increasing net calcification and net heterotrophy were observed during the summers of 2010 and 2011, with the frequency and extent of such events corresponding to increased offshore productivity. These events also coincided with a negative winter North Atlantic Oscillation (NAO) index, which historically has been associated with extensive offshore mixing and greater primary productivity at the Bermuda Atlantic Time-series Study (BATS) site. Our results reveal that coral reefs undergo natural interannual events of rapid acidification due to shifts in reef biogeochemical processes that may be linked to offshore productivity and ultimately controlled by larger-scale climatic and oceanographic processes.
2014-01-01
Offshore wind power provides a valuable source of renewable energy that can help reduce carbon emissions. Technological advances are allowing higher capacity turbines to be installed and in deeper water, but there is still much that is unknown about the effects on the environment. Here we describe the lessons learned based on the recent literature and our experience with assessing impacts of offshore wind developments on marine mammals and seabirds, and make recommendations for future monitoring and assessment as interest in offshore wind energy grows around the world. The four key lessons learned that we discuss are: 1) Identifying the area over which biological effects may occur to inform baseline data collection and determining the connectivity between key populations and proposed wind energy sites, 2) The need to put impacts into a population level context to determine whether they are biologically significant, 3) Measuring responses to wind farm construction and operation to determine disturbance effects and avoidance responses, and 4) Learn from other industries to inform risk assessments and the effectiveness of mitigation measures. As the number and size of offshore wind developments increases, there will be a growing need to consider the population level consequences and cumulative impacts of these activities on marine species. Strategically targeted data collection and modeling aimed at answering questions for the consenting process will also allow regulators to make decisions based on the best available information, and achieve a balance between climate change targets and environmental legislation. PMID:25250175
Friction Stir Welding of Line-Pipe Steels
DOE Office of Scientific and Technical Information (OSTI.GOV)
Sanderson, Samuel; Mahoney, Murray; Feng, Zhili
Friction stir welding (FSW) offers both economic and technical advantages over conventional fusion welding practices for welding line-pipe. For offshore line-pipe construction, the economic savings has been shown to be considerable, approaching a calculated 25%. Offshore pipe is relatively small diameter but heavy wall compared to onshore pipe. One concern is the ability to achieve consistent full weld penetration in an on-site offshore FSW operation, e.g., on a lay-barge. In addition, depending on the size and morphology of the unwelded zone, lack of penetration at the weld root can be difficult if not impossible to detect by conventional NDE methods.more » Thus, an approach to assure consistent full penetration via process control is required for offshore line-pipe construction using FSW. For offshore construction, an internal structural mandrel can be used offering the opportunity to use a sacrificial anvil FSW approach. With this approach, a small volume of sacrificial material can be inserted into the structural anvil. The FSW tool penetrates into the sacrificial anvil, beyond the inner diameter of the pipe wall, thus assuring full penetration. The sacrificial material is subsequently removed from the pipe inner wall. In the work presented herein, FSW studies were completed on both 6 mm and 12 mm wall thickness line-pipe. Lastly, post-FSW evaluations including radiography, root-bend tests, and metallography demonstrated the merits of the sacrificial anvil approach to achieve consistent full penetration.« less
Shifts in coral reef biogeochemistry and resulting acidification linked to offshore productivity.
Yeakel, Kiley L; Andersson, Andreas J; Bates, Nicholas R; Noyes, Timothy J; Collins, Andrew; Garley, Rebecca
2015-11-24
Oceanic uptake of anthropogenic carbon dioxide (CO2) has acidified open-ocean surface waters by 0.1 pH units since preindustrial times. Despite unequivocal evidence of ocean acidification (OA) via open-ocean measurements for the past several decades, it has yet to be documented in near-shore and coral reef environments. A lack of long-term measurements from these environments restricts our understanding of the natural variability and controls of seawater CO2-carbonate chemistry and biogeochemistry, which is essential to make accurate predictions on the effects of future OA on coral reefs. Here, in a 5-y study of the Bermuda coral reef, we show evidence that variations in reef biogeochemical processes drive interannual changes in seawater pH and Ωaragonite that are partly controlled by offshore processes. Rapid acidification events driven by shifts toward increasing net calcification and net heterotrophy were observed during the summers of 2010 and 2011, with the frequency and extent of such events corresponding to increased offshore productivity. These events also coincided with a negative winter North Atlantic Oscillation (NAO) index, which historically has been associated with extensive offshore mixing and greater primary productivity at the Bermuda Atlantic Time-series Study (BATS) site. Our results reveal that coral reefs undergo natural interannual events of rapid acidification due to shifts in reef biogeochemical processes that may be linked to offshore productivity and ultimately controlled by larger-scale climatic and oceanographic processes.
Shifts in coral reef biogeochemistry and resulting acidification linked to offshore productivity
Yeakel, Kiley L.; Andersson, Andreas J.; Bates, Nicholas R.; Noyes, Timothy J.; Collins, Andrew; Garley, Rebecca
2015-01-01
Oceanic uptake of anthropogenic carbon dioxide (CO2) has acidified open-ocean surface waters by 0.1 pH units since preindustrial times. Despite unequivocal evidence of ocean acidification (OA) via open-ocean measurements for the past several decades, it has yet to be documented in near-shore and coral reef environments. A lack of long-term measurements from these environments restricts our understanding of the natural variability and controls of seawater CO2-carbonate chemistry and biogeochemistry, which is essential to make accurate predictions on the effects of future OA on coral reefs. Here, in a 5-y study of the Bermuda coral reef, we show evidence that variations in reef biogeochemical processes drive interannual changes in seawater pH and Ωaragonite that are partly controlled by offshore processes. Rapid acidification events driven by shifts toward increasing net calcification and net heterotrophy were observed during the summers of 2010 and 2011, with the frequency and extent of such events corresponding to increased offshore productivity. These events also coincided with a negative winter North Atlantic Oscillation (NAO) index, which historically has been associated with extensive offshore mixing and greater primary productivity at the Bermuda Atlantic Time-series Study (BATS) site. Our results reveal that coral reefs undergo natural interannual events of rapid acidification due to shifts in reef biogeochemical processes that may be linked to offshore productivity and ultimately controlled by larger-scale climatic and oceanographic processes. PMID:26553977
NASA Astrophysics Data System (ADS)
Clare, M. A.; Rosenberger, K. J.; Parsons, D. R.; Gales, J. A.; Gwiazda, R.; Paull, C. K.; Talling, P.; Cartigny, M.; Azpiroz, M.; Pope, E.; Hizzett, J. L.; Hughes Clarke, J. E.
2017-12-01
Turbidity currents pose a hazard to seafloor infrastructure, convey sediment to the deep sea, and provide nutrients to benthic communities. Despite their importance, we still know little about specifically how and when such powerful long run-out flows are triggered, and how strongly different trigger mechanisms control flow behaviour. New advances in direct monitoring now allow us to precisely constrain turbidity current frequency and test the efficiency of previously hypothesised triggering mechanisms. Here, we document the timing of sub-annual turbidity currents based on direct measurements using Acoustic Doppler Current Profilers at four different sites. Two sites are located at offshore fjord-head deltas in British Columbia (Squamish delta & Bute Inlet), which are fed by meltwater in spring and summer. The third is the deep-water Congo Canyon, which is located offshore Angola, and is fed by the second largest river in the world. Fourth is the Monterey Canyon, offshore California, which does not have a direct link to a river and is instead fed by littoral drift. Despite the differences in scale and setting, all of the sites show similar trends in turbidity current frequency. The first commonality is that flow timing is typically delayed (hours to weeks) following periods of rapid sediment discharge, rather than immediately coincident with them. The second commonality is that flows are rare (typically they do not occur at all) for at least half of the year in each of the sites. Instead, flows are clustered within a specific time window. We underline the importance of preconditioning prior to, and during that time window and propose that an environmental threshold must be exceeded in order to "switch on" these systems. This threshold primarily relates to magnitude of sediment delivery at the head of the channel or canyon. Once that threshold is surpassed, then systems are primed for action, quivering on the brink, allowing even small external perturbations to trigger flows.
Commercial fishery data from three proposed OTEC sites
DOE Office of Scientific and Technical Information (OSTI.GOV)
Ryan, C.J.; Jones, A.T.
1981-06-01
The operation of Ocean Thermal Energy Conversion (OTEC) power plants may affect fish populations in the regions surrounding the plants. As an initial step in estimating the possible impacts of OTEC power plants on local fishery resources at three proposed sites, commercial fishery records were used to identify common commercially-important species and to obtain a general impression of the abundance of those species at the sites. The sites examind are in the waters adjacent to Punta Tuna, Puerto Rico (PROTEC), and in the Islands of Hawaii offshore from Kahe Point, Oahu (O'OTEC) and Keahole Point, Hawaii (HOTEC).
NASA Astrophysics Data System (ADS)
Vezzulli, Luigi; Moreno, Mariapaola; Marin, Valentina; Pezzati, Elisabetta; Bartoli, Marco; Fabiano, Mauro
2008-06-01
A variety of pelagic and benthic parameters were measured at an aquaculture farm used for the fattening of Atlantic bluefin tuna ( Thunnus thynnus) which is located at an exposed site (700 m from the coast, average bottom depth of 45 m and average current speed of 6 cm s -1) in the Mediterranean Sea. The objective was to test whether modern off-shore tuna fattening industries can exert a sustainable organic waste impact on the receiving environment as has been reported for the offshore culture of more traditional Mediterranean species such as sparids. In the water column, the concentration of phytopigments, organic matter, heterotrophic bacteria and the taxonomic abundance of mesozooplankton (at the species level) were assessed. In the sediment, we assessed the concentration of reduced sulphur pools, phytopigments, organic matter, heterotrophic bacteria and the taxonomic abundance of meiofauna (at the taxa level) and nematodes (at the genus level). For most parameters, we found no substantial differences between farm and control sites. Deviations of farm values from control values, when they occurred, were small and did not indicate any significant impact on either the pelagic and benthic environment. Deviations were more apparent in the benthic compartment where lower redox potential values, higher bacterial production rates and a change in nematode genus composition pointed out to early changes in the sediment's metabolism. In addition, indigenous potential pathogenic bacteria showed higher concentration at the fish farm stations and were a warning of an undesirable event that may become established following aquaculture practice in oligotrophic environments. The overall data from this study provide extensive experimental evidence to support the sustainability of modern offshore farming technology in minimizing the hypertrophic-dystrophic risks associated with the rapidly-expanding tuna-fattening industry in the Mediterranean Sea.
Design features of offshore oil production platforms influence their susceptibility to biocorrosion.
Duncan, Kathleen E; Davidova, Irene A; Nunn, Heather S; Stamps, Blake W; Stevenson, Bradley S; Souquet, Pierre J; Suflita, Joseph M
2017-08-01
Offshore oil-producing platforms are designed for efficient and cost-effective separation of oil from water. However, design features and operating practices may create conditions that promote the proliferation and spread of biocorrosive microorganisms. The microbial communities and their potential for metal corrosion were characterized for three oil production platforms that varied in their oil-water separation processes, fluid recycling practices, and history of microbially influenced corrosion (MIC). Microbial diversity was evaluated by 16S rRNA gene sequencing, and numbers of total bacteria, archaea, and sulfate-reducing bacteria (SRB) were estimated by qPCR. The rates of 35 S sulfate reduction assay (SRA) were measured as a proxy for metal biocorrosion potential. A variety of microorganisms common to oil production facilities were found, but distinct communities were associated with the design of the platform and varied with different locations in the processing stream. Stagnant, lower temperature (<37 °C) sites in all platforms had more SRB and higher SRA compared to samples from sites with higher temperatures and flow rates. However, high (5 mmol L -1 ) levels of hydrogen sulfide and high numbers (10 7 mL -1 ) of SRB were found in only one platform. This platform alone contained large separation tanks with long retention times and recycled fluids from stagnant sites to the beginning of the oil separation train, thus promoting distribution of biocorrosive microorganisms. These findings tell us that tracking microbial sulfate-reducing activity and community composition on off-shore oil production platforms can be used to identify operational practices that inadvertently promote the proliferation, distribution, and activity of biocorrosive microorganisms.
Laroche, Olivier; Wood, Susanna A; Tremblay, Louis A; Ellis, Joanne I; Lejzerowicz, Franck; Pawlowski, Jan; Lear, Gavin; Atalah, Javier; Pochon, Xavier
2016-09-01
At present, environmental impacts from offshore oil and gas activities are partly determined by measuring changes in macrofauna diversity. Morphological identification of macrofauna is time-consuming, expensive and dependent on taxonomic expertise. In this study, we evaluated the applicability of using foraminiferal-specific metabarcoding for routine monitoring. Sediment samples were collected along distance gradients from two oil platforms off Taranaki (New Zealand) and their physico-chemical properties, foraminiferal environmental DNA/RNA, and macrofaunal composition analyzed. Macrofaunal and foraminiferal assemblages showed similar shifts along impact gradients, but responded differently to environmental perturbations. Macrofauna were affected by hypoxia, whereas sediment grain size appeared to drive shifts in foraminifera. We identified eight foraminiferal molecular operational taxonomic units that have potential to be used as bioindicator taxa. Our results show that metabarcoding represents an effective tool for assessing foraminiferal communities near offshore oil and gas platforms, and that it can be used to complement current monitoring techniques. Copyright © 2016 Elsevier Ltd. All rights reserved.
Acoustic Modeling for Aqua Ventus I off Monhegan Island, ME
DOE Office of Scientific and Technical Information (OSTI.GOV)
Whiting, Jonathan M.; Hanna, Luke A.; DeChello, Nicole L.
2013-10-31
The DeepCwind consortium, led by the University of Maine, was awarded funding under the US Department of Energy’s Offshore Wind Advanced Technology Demonstration Program to develop two floating offshore wind turbines in the Gulf of Maine equipped with Goldwind 6 MW direct drive turbines, as the Aqua Ventus I project. The Goldwind turbines have a hub height of 100 m. The turbines will be deployed in Maine State waters, approximately 2.9 miles off Monhegan Island; Monhegan Island is located roughly 10 miles off the coast of Maine. In order to site and permit the offshore turbines, the acoustic output mustmore » be evaluated to ensure that the sound will not disturb residents on Monhegan Island, nor input sufficient sound levels into the nearby ocean to disturb marine mammals. This initial assessment of the acoustic output focuses on the sound of the turbines in air by modeling the assumed sound source level, applying a sound propagation model, and taking into account the distance from shore.« less
Murphy, Fionn; Russell, Marie; Ewins, Ciaran; Quinn, Brian
2017-09-15
This study reports plastic ingestion in various fish found from coastal and offshore sites in Scottish marine waters. Coastal samples consisted of three demersal flatfish species (n=128) collected from the East and West coasts of Scotland. Offshore samples consisted of 5 pelagic species and 4 demersal species (n=84) collected from the Northeast Atlantic. From the coastal fish sampled, 47.7% of the gastrointestinal tracts contained macroplastic and microplastic. Of the 84 pelagic and demersal offshore fish, only 2 (2.4%) individuals from different species had ingested plastic identified as a clear polystyrene fibre and a black polyamide fibre. The average number of plastic items found per fish from all locations that had ingested plastic was 1.8 (±1.7) with polyamide (65.3%), polyethylene terephthalate (14.4%) and acrylic (14.4%) being the three most commonly found plastics. This study adds to the existing data on macroplastic and microplastic ingestion in fish species. Crown Copyright © 2017. Published by Elsevier Ltd. All rights reserved.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Pulsipher, A.
This Proceedings volume includes papers prepared for an international workshop on lease abandonment and offshore platform disposal. The workshop was held April 15, 16, and 17, 1996, in New Orleans, Louisiana. Included in the volume are several plenary speeches and issue papers. prepared by six working groups, who discussed: Abandoning Wells; Abandoning Pipelines; Removing Facilities; Site Clearance; Habitat Management, Maintenance, and Planning; and Regulation and Policy. Also included are an introduction, an afterword (reprinted with the permission of its author, John Lohrenz), and, as Appendix C, the complete report of the National Research Council Marine Boards An Assessment of Techniquesmore » for Removing Fixed Offshore Structures, around which much of the discussion at the workshop was organized. Short biographies of many speakers, organizers, and chairpersons are included as Appendix A. Appendix B is a list of conference participants. Selected papers have been processes separately for inclusion in the Energy Science and Technology database.« less
Noble, M.A.; Xu, J. P.
2003-01-01
Two sets of moorings were deployed along a cross-shelf transect in central Santa Monica bay for four months in the winter of 1998-1999. Both sites had an array of instruments attached to tripods set on the seafloor to monitor currents over the entire water column, surface waves, near-bed temperature, water clarity and suspended sediment. A companion mooring had temperature sensors spaced approximately 10 m apart to measure temperature profiles between the surface and the seafloor. One array was deployed in 70 m of water at a site adjacent to the shelf break, just northwest of a major ocean outfall. The other was deployed on the mid shelf in 35 m of water approximately 6 km from the shelf break site. The subtidal currents in the region flowed parallel to the isobaths with fluctuating time scales around 10 days, a typical coastal-ocean pattern. However, during the falling phase of the barotropic spring tide, sets of large-amplitude, sheared cross-shore current pulses with a duration of 2-5 h were observed at the shelf break site. Currents in these pulses flowed exclusively offshore in a thin layer near the bed with amplitudes reaching 30-40 cm/s. Simultaneously, currents with amplitudes around 15-20 cm/s flowed exclusively onshore in the thicker layer between the offshore flow layer and the sea surface. The net offshore transport was about half the onshore transport. Near-surface isotherms were depressed 30-40 m. These pulses were likely internal bores generated by tidal currents. Bed stresses associated with these events exceeded 3 dynes/cm2. These amplitudes are large enough to resuspend and transport not only fine-grained material, but also medium to coarse sands from the shelf toward the slope. Consequently, the seafloor over the shelf break was swept clear of fine sediments. The data suggest that the internal bores dissipate and are reduced in amplitude as they propagate across this relatively narrow shelf. There is evidence that they reach the 35 m site, but other coastal ocean processes obscure their distinctive characteristics.
30 CFR 285.641 - What must I demonstrate in my GAP?
Code of Federal Regulations, 2011 CFR
2011-07-01
... Section 285.641 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER... and wildlife); property; the marine, coastal, or human environment; or sites, structures, or objects...
Code of Federal Regulations, 2013 CFR
2013-07-01
... OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES... 60.4. We will do this if: (1) The site has been impacted by your project activities; or (2) Impacts...
Code of Federal Regulations, 2014 CFR
2014-07-01
... OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES... 60.4. We will do this if: (1) The site has been impacted by your project activities; or (2) Impacts...
Code of Federal Regulations, 2012 CFR
2012-07-01
... OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES... 60.4. We will do this if: (1) The site has been impacted by your project activities; or (2) Impacts...
Rezende, C E; Lacerda, L D; Ovalle, A R C; Souza, C M M; Gobo, A A R; Santos, D O
2002-07-01
The concentrations of Al, Fe, Mn, Zn, Cu, Pb, Ni, Cr, Ba, V, Sn and As in offshore bottom sediments from the Bacia de Campos oil field, SE Brazil, were measured at the beginning and at 7 months after completion of the drilling operation. Concentrations of Al, Fe, Ba, Cr, Ni and Zn were significantly higher closer to the drilling site compared to stations far from the site. Average concentrations of Al, Cu, and in particular of Ni, were significantly higher at the end of the drilling operation than at the beginning. Comparison between drilling area sediments with control sediments of the continental platform, however, showed no significant difference in trace metal concentrations. Under the operation conditions of this drilling event, the results show that while changes in some trace metal concentrations do occur during drilling operations, they are not significantly large to be distinguished from natural variability of the local background concentrations.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Pope, D.L.; Wagner, J.B.
1988-09-01
Before siting oil and gas platforms on the sea floor as artificial reefs offshore Louisiana, potentially hazardous and unstable geologic conditions must be identified and evaluated to assess their possible impacts on platform stability. Geologic and man-made features can be identified and assessed from high-resolution geophysical techniques (3.5-7.0 kHz echograms, single-channel seismic, and side-scan sonar). Such features include faults, diapirs, scarps, channels, gas seeps, irregular sea floor topography, mass wasting deposits (slumps, slides, and debris flows), pipelines, and other subsea marine equipment. Geotechnical techniques are utilized to determine lithologic and physical properties of the sediments for correlation with the geophysicalmore » data. These techniques are used to develop a series of geologic maps, cross sections, and pipeline and platform-location maps. Construction of echo-character maps from 3.5-kHz data provides an analysis of near-bottom sedimentation processes (turbidity currents and debris flows).« less
Ahn, J H; Grant, S B
2007-01-01
In-site measurements of particle size spectra were obtained from three offshore cruises to evaluate the physical consequences of increased sediment transport and deposition offshore which was caused by episodic storm runoff water from the Santa Ana River watershed, a highly urbanised coastal watershed in southern California. Of the total annual runoff discharge to the coastal ocean, 89.2% occurred in the 2003/2004 winter season, and 0.22 Mt of sediment mass was transported during the storm events. The runoff plume at surface taken offshore by cross-shore currents progressed rapid aggregation and sedimentation, while the initially high concentration of suspended sediment discharged from the river outlet was dominated by small particles. Vertical profiles of particle size spectra revealed two separated plumes near the river outlet and turbidity plume along the bottom consisted of an abundance of very fine and dense particles. It would appear to support the theory that even if the storm runoff does not carry a high concentration of sediment being capable of generating negative buoyancy, sediment deposition on the shelf might mobilise in dense, fluid mud transported offshore by gravity. In a coastal pollution context, sediment particle size spectra information may offer potentially useful means of characterising particle-associated pollutants for purposes of source tracking and environmental interpretation.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Busch, Malte, E-mail: der.malte.busch@gmail.com; Garthe, Stefan
Assessment of the displacement impacts of offshore wind farms on seabirds is impeded by a lack of evidence regarding species-specific reactions to developed sites and the potential ecological consequences faced by displaced individuals. In this study, we present a method that makes best use of the currently limited understanding of displacement impacts. The combination of a matrix table displaying the full range of potential displacement and mortality levels together with seasonal potential biological removal (PBR) assessments provides a tool that increases confidence in the conclusions of impact assessments. If unrealistic displacement levels and/or mortality rates are required to equal ormore » approach seasonal PBRs, this gives an indication of the likeliness of adverse impacts on the assessed population. This approach is demonstrated by assessing the displacement impacts of an offshore wind farm cluster in the German North Sea on the local common guillemot (Uria aalge) population. - Highlights: • A novel approach for assessing displacement impacts of offshore wind farms on seabirds is presented making best use of limited data • A displacement matrix approach is linked with PBR analysis to increased confidence in assessment conclusions drawn • A case example demonstrates the applicability of the methods described in practice.« less
Kelso, Kyle W.; Flocks, James G.
2015-01-01
Selection of the core site locations was based on geophysical surveys conducted around the islands from 2008 to 2010. The surveys, using acoustic systems to image and interpret the nearsurface stratigraphy, were conducted to investigate the geologic controls on island evolution. This data series serves as an archive of sediment data collected from August to September 2010, offshore of the Mississippi barrier islands. Data products, including descriptive core logs, core photographs, results of sediment grain-size analyses, sample location maps, and geographic information system (GIS) data files with accompanying formal Federal Geographic Data Committee (FDGC) metadata can be downloaded from the data products and downloads page.
NASA Astrophysics Data System (ADS)
Sherwood, C. R.; Lacy, J. R.; Ruggiero, P.; Kerr, L. A.; Gelfenbaum, G.; Wilson, D. J.
2001-12-01
We conducted field studies on the ebb-tidal delta near the entrance to Grays Harbor, Washington in Autumn, 1999 and Spring 2001, with the objectives of 1) providing directional wave data to validate a shoaling and refraction model for the ebb-tidal delta, and 2) measuring forcing (wave- and current-induced near-bottom velocities, accelerations, and shear stresses) and responses (bedforms, suspended-sediment profiles, and sediment fluxes) associated with intervals of beach erosion and accretion. In the Autumn experiment (October - December), tripods were deployed at shallow ( ~14-m) and deep ( ~24-m) sites on the northern, middle, and southern flanks of the ebb tidal. In the Spring experiment (May - mid-July), tripods were redeployed at four sites and a new inshore site ( ~9-m depth), and pressures, current velocities, and suspended-sediment concentrations were measured with 5-MHz acoustic Doppler velocimeters (ADVs), optical backscatterance sensors, upward-looking acoustic Doppler current profilers (ADCPs), a downward-looking pulse-coherent acoustic Doppler profiler (PCADP), and an acoustic backscatterance sensor (ABS). We also measured bedforms with profiling and imaging sonars and estimated Reynolds stresses with a pair of 10-MHz ADVs at the inshore site. Incident waves, nearshore circulation patterns, statistics of near-bottom wave- and current-induced velocities, and sediment fluxes were distinctly different in the two experiments. During the Autumn measurements, the general direction of wave approach shifted from WNW to WSW as the North Pacific weather pattern shifted from summer to winter, and we observed a large storm (offshore significant wave heights Hs of ~8 m) and a sequence of about 8 smaller events with ~4 to 5-m waves. Sediment transport was dominated by storm-induced, downwelling-favorable circulation that transported suspended sediments northward and offshore. Inferred bedload fluxes were directed shoreward, but were much smaller. In contrast, Spring wave conditions were much milder (maximum Hs of ~4 m), and waves approached mostly from the WNW. There were long periods of upwelling-favorable circulation interrupted by intervals of storm-induced northward flow. Net suspended-sediment transport was directed northward at the deeper sites and southward at the inshore sites. Near-bottom transport remained offshore at the deeper sites, but was lower, with negligible net cross-shore component at the shallow sites. The relative contribution of shoreward bedload transport was much larger. These changes in sediment transport outside the breaker zone are consistent with measured changes in beach and bar morphology.
30 CFR 585.641 - What must I demonstrate in my GAP?
Code of Federal Regulations, 2012 CFR
2012-07-01
... Section 585.641 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF Plans and... marine, coastal, or human environment; or sites, structures, or objects of historical or archaeological...
30 CFR 585.641 - What must I demonstrate in my GAP?
Code of Federal Regulations, 2013 CFR
2013-07-01
... Section 585.641 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF Plans and... marine, coastal, or human environment; or sites, structures, or objects of historical or archaeological...
30 CFR 585.641 - What must I demonstrate in my GAP?
Code of Federal Regulations, 2014 CFR
2014-07-01
... Section 585.641 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF Plans and... marine, coastal, or human environment; or sites, structures, or objects of historical or archaeological...
30 CFR 285.906 - What must my decommissioning application include?
Code of Federal Regulations, 2011 CFR
2011-07-01
... include? 285.906 Section 285.906 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES OF EXISTING FACILITIES ON THE... or marine mammals at the structure site. (i) Mitigation measures you will use to protect...
30 CFR 285.605 - What is a Site Assessment Plan (SAP)?
Code of Federal Regulations, 2011 CFR
2011-07-01
... Section 285.605 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER... your commercial lease, including your project easement, or to test technology devices. (1) Your SAP...
Applications of remote-sensing technology to environmental problems of Delaware and Delaware Bay
NASA Technical Reports Server (NTRS)
Bartlett, D.; Klemas, V.; Philpot, W.; Rogers, R.
1975-01-01
Digital processing of multispectral LANDSAT data was used to develop a computerized model for predicting oil slick movement within the Delaware Bay. LANDSAT imagery was also used to monitor offshore waste disposal sites for mapping of wetlands, and charting of tidal currents.
NASA Astrophysics Data System (ADS)
Connell, Paige E.; Campbell, Victoria; Gellene, Alyssa G.; Hu, Sarah K.; Caron, David A.
2017-03-01
The grazing activities of phagotrophic protists on various microbial assemblages play key roles in determining the amount of carbon available for higher trophic levels and for export out of the photic zone. However, comparisons of the proportion of carbon consumed from the phytoplankton (cyanobacteria+photosynthetic eukaryotes) and heterotrophic bacteria (bacteria+archaea, excluding cyanobacteria) are rare. In this study, microbial community composition, phytoplankton growth and mortality rates (total chlorophyll a, Synechococcus, Prochlorococcus, and photosynthetic picoeukaryotes), and bacterial mortality rates were measured seasonally from 2012 to 2014 in the surface waters of three environmentally distinct sites in the San Pedro Channel, off the coast of southern CA, USA. Higher nutrient concentrations at the nearshore site supported community standing stocks that were 1.3-4.5x those found offshore, yet average growth and grazing rates of the phytoplankton and bacterial assemblages were generally similar between sites and across seasons. Thus, the amount of carbon consumed by the grazer assemblage was largely dictated by prey standing stocks. Heterotrophic bacteria constituted an important source of carbon for microbial consumers, particularly at the two offshore sites where bacterial carbon consumed was roughly equivalent to the amount of phytoplankton carbon consumed. Carbon removal by grazers at the nearshore station was predominantly from the diatoms, which were the primary component of the photosynthetic community at that site. This study highlights the significant contribution of protistan-bacterial trophic interactions to planktonic food webs and provides unique community composition and turnover data to inform biogeochemical models.
Legal bans on pro-suicide web sites: an early retrospective from Australia.
Pirkis, Jane; Neal, Luke; Dare, Andrew; Blood, R Warwick; Studdert, David
2009-04-01
There are worldwide concerns that pro-suicide web sites may trigger suicidal behaviors among vulnerable individuals. In 2006, Australia became the first country to criminalize such sites, sparking heated debate. Concerns were expressed that the law casts the criminal net too widely; inappropriately interferes with the autonomy of those who wish to die; and has jurisdictional limitations, with off-shore web sites remaining largely immune. Conversely, proponents point out that the law may limit access to domestic pro-suicide web sites, raise awareness of Internet-related suicide, mobilize community efforts to combat it, and serve as a powerful expression of societal norms about the promotion of suicidal behavior.
Seismic-reflection studies, offshore Santa Maria Province, California
DOE Office of Scientific and Technical Information (OSTI.GOV)
Bird, K.J.; Childs, J.R.; Taylor, D.J.
1991-02-01
Well data and seismic-reflection records are being analyzed to provide a subsurface geologic framework for the US Geological Survey's Santa Maria Province project. This project, jointly sponsored by the Evolution of Sedimentary Basins and Onshore Oil and Gas Investigations Programs, in a basin-evolution and petroleum geology study focusing on the geologically complex and tectonically active south-central California margin. The area embraces several basins and basin fragments including the onshore Santa Maria, offshore Santa Maria, Pismo, Huasna, Sur, Santa Lucia, and western Santa Barbara-Ventura. These basins have many similarities, including generally synchronous formation at about the end of the Oligocene, developmentmore » on a complex assemblage of Mesozoic tectonostratigraphic terranes, and basin fill consisting of Neogene clastic marine and nonmarine deposits, minor volcanic rocks, and organic-rich biogenous deposits of the Monterey Formation. Despite these similarities, basin origins are controversial and paleogeographies uncertain. In 1990, the US Geological Survey collected approximately 130 line-mi of multichannel seismic reflection data in seven profiles off-shore California from Morro Bay south to the western Santa Barbara Channel. These are the first US Geological Survey seismic data collected in this area since the early 1980s exploratory drilling began in the offshore Santa Maria basin. Profiles were generally oriented perpendicular to structural grain and located to intersect as many well-sites and pre-existing seismic profiles as possible. Profile orientation and spacing were designed to provide the offshore extensions of onshore well-correlation profiles currently under construction. With synthetic seismograms the authors are integrating the stratigraphy of the wells with these seismic-reflection records.« less
Nearshore Phytoplankton Production on the Louisiana Continental Shelf
NASA Astrophysics Data System (ADS)
Fung, M.; Lehrter, J. C.
2017-12-01
Net heterotrophy has been observed across much of the Louisiana continental shelf (LCS) where hypoxic conditions occur. Recent studies suggest that cross-shelf transport of nearshore organic matter derived from phytoplankton production subsidizes this heterotrophy. To investigate this theory, we conducted two cruises in spring and summer of 2017 to assess the spatial and temporal patterns of primary production (PP) and respiration (R). We focused on nearshore waters across the area of the shelf where hypoxia is most frequently observed. Overall, PP rates were highest (median = 35 mmol O2 m-3 d-1) in nearshore surface waters (sites with <15 m depth and riverine plume locations), but temporal and spatial differences were seen in both the magnitude of PP and R. Nearshore waters in spring had the highest production rates (median = 52.3 mmol O2 m-3 d-1) and were an order of magnitude greater than production in offshore waters (>15 m depth), while summer production rates in the nearshore and offshore areas were comparable. Similarly, spring nearshore respiration rates (11.2 mmol O2 m-3 d-1) were an order of magnitude larger than offshore, and summer respiration rates in the nearshore and offshore areas were comparable. P/R was greatest nearshore in the spring (4.7) and lowest offshore in the summer (0.9). These results suggest that nearshore production is potentially a significant source of organic matter for the observed heterotrophy over most of the LCS, supporting the theory that shelf-wide hypoxia may be largely driven by nearshore production.
Injectivity Evaluation for Offshore CO 2 Sequestration in Marine Sediments
Dai, Zhenxue; Zhang, Ye; Stauffer, Philip; ...
2017-08-18
Global and regional climate change caused by greenhouse gases emissions has stimulated interest in developing various technologies (such as carbon dioxide (CO 2) geologic sequestration in brine reservoirs) to reduce the concentrations of CO 2 in the atmosphere. Our study develops a statistical framework to identify gravitational CO 2 trapping processes and to quantitatively evaluate both CO 2 injectivity (or storage capacity) and leakage potential from marine sediments which exhibit heterogeneous permeability and variable thicknesses. Here, we focus on sets of geostatistically-based heterogeneous models populated with fluid flow parameters from several reservoir sites in the U.S. Gulf of Mexico (GOM).more » A computationally efficient uncertainty quantification study was conducted with results suggesting that permeability heterogeneity and anisotropy, seawater depth, and sediment thickness can all significantly impact CO 2 flow and trapping. Large permeability/porosity heterogeneity can enhance gravitational, capillary, and dissolution trapping, which acts to deter CO 2 upward migration and subsequent leakage onto the seafloor. When log permeability variance is 5, self-sealing with heterogeneity-enhanced gravitation trapping can be achieved even when water depth is 1.2 km. This extends the previously identified self-sealing condition that water depth be greater than 2.7 km. Our results have yielded valuable insight into the conditions under which safe storage of CO 2 can be achieved in offshore environments. The developed statistical framework is general and can be adapted to study other offshore sites worldwide.« less
Injectivity Evaluation for Offshore CO 2 Sequestration in Marine Sediments
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dai, Zhenxue; Zhang, Ye; Stauffer, Philip
Global and regional climate change caused by greenhouse gases emissions has stimulated interest in developing various technologies (such as carbon dioxide (CO 2) geologic sequestration in brine reservoirs) to reduce the concentrations of CO 2 in the atmosphere. Our study develops a statistical framework to identify gravitational CO 2 trapping processes and to quantitatively evaluate both CO 2 injectivity (or storage capacity) and leakage potential from marine sediments which exhibit heterogeneous permeability and variable thicknesses. Here, we focus on sets of geostatistically-based heterogeneous models populated with fluid flow parameters from several reservoir sites in the U.S. Gulf of Mexico (GOM).more » A computationally efficient uncertainty quantification study was conducted with results suggesting that permeability heterogeneity and anisotropy, seawater depth, and sediment thickness can all significantly impact CO 2 flow and trapping. Large permeability/porosity heterogeneity can enhance gravitational, capillary, and dissolution trapping, which acts to deter CO 2 upward migration and subsequent leakage onto the seafloor. When log permeability variance is 5, self-sealing with heterogeneity-enhanced gravitation trapping can be achieved even when water depth is 1.2 km. This extends the previously identified self-sealing condition that water depth be greater than 2.7 km. Our results have yielded valuable insight into the conditions under which safe storage of CO 2 can be achieved in offshore environments. The developed statistical framework is general and can be adapted to study other offshore sites worldwide.« less
Lake Michigan: Nearshore variability and a nearshore-offshore distinction in water quality
We conducted a high-resolution survey of the Lake Michigan nearshore using towed electronic instrumentation and fixed station sampling (1049 km at the approximate 20-m depth contour and grab samples at 15 sites). The principal variability in the alongshore reach was generally re...
30 CFR 585.437 - When can my lease or grant be canceled?
Code of Federal Regulations, 2013 CFR
2013-07-01
... Section 585.437 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF Lease and Grant...; life (including human and wildlife); property; the marine, coastal, or human environment; or sites...
30 CFR 285.1016 - When will an Alternate Use RUE be cancelled?
Code of Federal Regulations, 2010 CFR
2010-07-01
... OFFSHORE RENEWABLE ENERGY ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF Rights of Use and Easement for Energy- and Marine-Related Activities Using Existing OCS Facilities Alternate Use... marine, coastal, or human environment; or sites, structures, or objects of historical or archaeological...
30 CFR 285.103 - When may MMS prescribe or approve departures from these regulations?
Code of Federal Regulations, 2011 CFR
2011-07-01
... from these regulations? 285.103 Section 285.103 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES OF EXISTING..., or the marine, coastal, or human environment; or (4) Protect sites, structures, or objects of...
30 CFR 585.437 - When can my lease or grant be canceled?
Code of Federal Regulations, 2014 CFR
2014-07-01
... Section 585.437 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF Lease and Grant...; life (including human and wildlife); property; the marine, coastal, or human environment; or sites...
30 CFR 585.437 - When can my lease or grant be canceled?
Code of Federal Regulations, 2012 CFR
2012-07-01
... Section 585.437 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF Lease and Grant...; life (including human and wildlife); property; the marine, coastal, or human environment; or sites...
30 CFR 585.601 - When am I required to submit my plans to BOEM?
Code of Federal Regulations, 2013 CFR
2013-07-01
...? 585.601 Section 585.601 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF... significant new information becomes available after you complete your site assessment activities or you revise...
30 CFR 585.601 - When am I required to submit my plans to BOEM?
Code of Federal Regulations, 2012 CFR
2012-07-01
...? 585.601 Section 585.601 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER CONTINENTAL SHELF... significant new information becomes available after you complete your site assessment activities or you revise...
Quantifying the Hurricane Risk to Offshore Wind Power (Invited)
NASA Astrophysics Data System (ADS)
Apt, J.; Rose, S.; Jaramillo, P.; Small, M.
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. Whether that risk will grow as a result of climate change is uncertain. Recent years have seen an increase in hurricane activity in the Atlantic basin (1) and, all else being equal, warmer sea surface temperatures can be expected to lead to increased storm intensity. We have developed a method to estimate the catastrophe risk to offshore wind power using simulated hurricanes (2). In Texas, the most vulnerable region we studied, 10% of offshore wind power could be offline simultaneously due to hurricane damage with a 100-year return period and 6% could be destroyed in any 10-year period. 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. 1. Iris Grossmann and M. Granger Morgan, "Tropical Cyclones, Climate Change, and Scientific Uncertainty: What do we know, what does it mean, and what should be done?," Climatic Change, 108, pp 543-579, 2011. 2. Carnegie Mellon Electricity Industry Center Working Paper CEIC-13-07, http://wpweb2.tepper.cmu.edu/electricity/papers/ceic-13-07.asp This work was supported in part by the EPA STAR fellowship program, a grant from the Alfred P. Sloan Foundation and EPRI to the Carnegie Mellon Electricity Industry Center, and by the Doris Duke Charitable Foundation, the R.K. Mellon Foundation and the Heinz Endowments for support of the RenewElec program at Carnegie Mellon University. This research was also supported in part by the Climate and Energy Decision Making (CEDM) center created through a cooperative agreement between the National Science Foundation (SES-0949710) and Carnegie Mellon University.
Warner, John C.; List, Jeffrey H.; Schwab, William C.; Voulgaris, George; Armstrong, Brandy N.; Marshall, N
2014-01-01
Locations along the inner-continental shelf offshore of Fire Island, NY, are characterized by a series of shoreface connected ridges (SFCRs). These sand ridges have approximate dimensions of 10 km in length, 3 km spacing, up to ~8 m ridge to trough relief, and are oriented obliquely at approximately 30 degrees clockwise from the coastline. Stability analysis from previous studies explains how sand ridges such as these could be formed and maintained by storm-driven flows directed alongshore with a key maintenance mechanism of offshore deflected flows over ridge crests and onshore in the troughs. We examine these processes both with a limited set of idealized numerical simulations and analysis of observational data. Model results confirm that along-shore flows over the SFCRs exhibit offshore veering of currents over the ridge crests and onshore-directed flows in the troughs, and demonstrate the opposite circulation pattern for a reverse wind. To further investigate these maintenance processes, oceanographic instruments were deployed at seven sites on the SFCRs offshore of Fire Island to measure water levels, ocean currents, waves, suspended-sediment concentrations, and bottom stresses from January to April 2012. Data analysis reveals that during storms with winds from the northeast the processes of offshore deflection of currents over ridge crests and onshore in the troughs were observed, and during storm events with winds from the southwest a reverse flow pattern over the ridges occurred. Computations of suspended-sediment fluxes identify periods that are consistent with SFCR maintenance mechanisms. Alongshore winds from the northeast drove fluxes offshore on the ridge crest and onshore in the trough that would tend to promote ridge maintenance. However, alongshore winds from the southwest drove opposite circulations. The wind fields are related to different storm types that occur in the region (low pressure systems, cold fronts, and warm fronts). From the limited data set we identify that low pressure systems drive sediment fluxes that tend to promote stability and maintain the SFCRs, while cold front type storms appear to drive circulations that are in the opposite sense and may not be a supporting mechanism for ridge maintenance.
NASA Astrophysics Data System (ADS)
Lin, J. Y.; Tsia, C. H.; Cheng, W. B.; Chin, S. J.; Lin, S. S.; Liang, C. W.
2015-12-01
The Nakamura's method, which calculates the ratios between horizontal and vertical component spectra of seismic signals (H/V), is widely used in the inland area. However, few related estimations were performed for the offshore area and little knowledge for the marine sediments were obtained. From 2013 to 2015, three passive ocean bottom seismometer (OBS) experiments were conducted in gas hydrate-rich area offshore SW Taiwan in the aim of acquiring information related to the physical properties of seafloor sediments. The H/V of the seafloor sediments in the three areas were estimated by using the ambient noise and seismic signal recorded by OBSs. The resonance frequency of each site was estimated from the main peak of H/V distribution and a range between 5 and 10 Hz were obtained. Based on the empirical law, this resonance frequency range should correspond to a sediment thickness of approximately several to ten of meters. This estimation is consistent with the thickness of the sedimentary cover imaged by chirp sonar survey, suggesting that the site response of seafloor is dominantly controlled by the unconsolidated sedimentary layer on the top of the sea bed. Remarkably, the H/V ratios obtained in our study area are much larger than that calculated for the inland areas. The magnification can reach as high as 50 to more than 100. This observation infers that the sea water movement might emphasize the horizontal motion of the marine sediments, which is crucial for the slope stability assessment. Moreover, for most stations located in the active margin, no distinct peak is observed for the H/V pattern calculated during earthquakes. However, in the passive margin, the H/V peak calculated from ambient noise and earthquakes is mostly identical. This phenomenon may suggest that relatively unclear sedimentary boundary exist in the active margin environment. Estimating H/V spectral ratios of data recorded by the OBSs deployed in the southwest Taiwan offshore area offers a general understanding of the preferential vibration modes of seafloor sediment systems. By comparing the resonance characteristics of each site and the chirp sonar profiles, we hope to provide precious information for the designing of marine structures such as oil drilling and production platforms.
NASA Astrophysics Data System (ADS)
Ren, Luchuan
2015-04-01
A Global Sensitivity Analysis Method on Maximum Tsunami Wave Heights to Potential Seismic Source Parameters Luchuan Ren, Jianwei Tian, Mingli Hong Institute of Disaster Prevention, Sanhe, Heibei Province, 065201, P.R. China It is obvious that the uncertainties of the maximum tsunami wave heights in offshore area are partly from uncertainties of the potential seismic tsunami source parameters. A global sensitivity analysis method on the maximum tsunami wave heights to the potential seismic source parameters is put forward in this paper. The tsunami wave heights are calculated by COMCOT ( the Cornell Multi-grid Coupled Tsunami Model), on the assumption that an earthquake with magnitude MW8.0 occurred at the northern fault segment along the Manila Trench and triggered a tsunami in the South China Sea. We select the simulated results of maximum tsunami wave heights at specific sites in offshore area to verify the validity of the method proposed in this paper. For ranking importance order of the uncertainties of potential seismic source parameters (the earthquake's magnitude, the focal depth, the strike angle, dip angle and slip angle etc..) in generating uncertainties of the maximum tsunami wave heights, we chose Morris method to analyze the sensitivity of the maximum tsunami wave heights to the aforementioned parameters, and give several qualitative descriptions of nonlinear or linear effects of them on the maximum tsunami wave heights. We quantitatively analyze the sensitivity of the maximum tsunami wave heights to these parameters and the interaction effects among these parameters on the maximum tsunami wave heights by means of the extended FAST method afterward. The results shows that the maximum tsunami wave heights are very sensitive to the earthquake magnitude, followed successively by the epicenter location, the strike angle and dip angle, the interactions effect between the sensitive parameters are very obvious at specific site in offshore area, and there exist differences in importance order in generating uncertainties of the maximum tsunami wave heights for same group parameters at different specific sites in offshore area. These results are helpful to deeply understand the relationship between the tsunami wave heights and the seismic tsunami source parameters. Keywords: Global sensitivity analysis; Tsunami wave height; Potential seismic tsunami source parameter; Morris method; Extended FAST method
Dispersal of fine sediment in nearshore coastal waters
Warrick, Jonathan A.
2013-01-01
Fine sediment (silt and clay) plays an important role in the physical, ecological, and environmental conditions of coastal systems, yet little is known about the dispersal and fate of fine sediment across coastal margin settings outside of river mouths. Here I provide simple physical scaling and detailed monitoring of a beach nourishment project near Imperial Beach, California, with a high portion of fines (40% silt and clay by weight). These results provide insights into the pathways and residence times of fine sediment transport across a wave-dominated coastal margin. Monitoring of the project used physical, optical, acoustic, and remote sensing techniques to track the fine portion of the nourishment sediment. The initial transport of fine sediment from the beach was influenced strongly by longshore currents of the surf zone that were established in response to the approach angles of the waves. The mean residence time of fine sediment in the surf zone—once it was suspended—was approximately 1 hour, and rapid decreases in surf zone fine sediment concentrations along the beach resulted from mixing and offshore transport in turbid rip heads. For example, during a day with oblique wave directions and surf zone longshore currents of approximately 25 cm/s, the offshore losses of fine sediment in rips resulted in a 95% reduction in alongshore surf zone fine sediment flux within 1 km of the nourishment site. However, because of the direct placement of nourishment sediment on the beach, fine suspended-sediment concentrations in the swash zone remained elevated for several days after nourishment, while fine sediment was winnowed from the beach. Once offshore of the surf zone, fine sediment settled downward in the water column and was observed to transport along and across the inner shelf. Vertically sheared currents influenced the directions and rates of fine sediment transport on the shelf. Sedimentation of fine sediment was greatest on the seafloor directly offshore of the nourishment site. However, a mass balance of sediment suggests that the majority of the fine sediment moved far away (over 2 km) from the nourishment site or to water depths greater than 10 m, where fine sediment represents a substantial portion of the bed material. Thus, the fate of fine sediment in nearshore waters was influenced strongly by wave conditions, surf zone and rip current transport, and the vertical density and flow conditions of coastal waters.
Effects of sea state on offshore wind resourcing in Florida
NASA Astrophysics Data System (ADS)
Collier, Cristina
Offshore resource assessment relies on estimating wind speeds at turbine hub height using observations typically made at substantially lower height. The methods used to adjust from observed wind speeds to hub height can impact resource estimation. The importance of directional sea state is examined, both as seasonal averages and as a function of the diurnal cycle. A General Electric 3.6 MW offshore turbine is used as a model for a power production. Including sea state increases or decreases seasonally averaged power production by roughly 1%, which is found to be an economically significant change. These changes occur because the sea state modifies the wind shear (vector wind difference between the buoy height and the moving surface) and therefore the extrapolation from the observation to hub height is affected. These seemingly small differences in capacity can alter profits by millions of dollars depending upon the size of the farm and fluctuations in price per kWh throughout the year. A 2% change in capacity factor can lead to a 10 million dollar difference from total kWh produced from a wind farm of 100 3.6MW turbines. These economic impacts can be a deciding factor in determining whether a resource is viable for development. Modification of power output due to sea states are shown for seasonal and diurnal time scales. Three regions are examined herein: West Florida, East Florida, and Nantucket Sound. The average capacity after sea state is included suggests areas around Florida could provide substantial amounts of wind power throughout three-fourths of the calendar year. At certain times of day winter average produced capacity factors in West Florida can be up to 45% more than in summer when sea state is included. Nantucket Sound capacity factors are calculated for comparison to a region near a planned United States offshore wind farm. This study provides evidence to suggest including sea state in offshore wind resource assessment causes economically significant differences for offshore wind power siting.
NASA Astrophysics Data System (ADS)
Trent, J. D.
2013-12-01
OMEGA is an acronym for Offshore Membrane Enclosure for Growing Algae. The OMEGA system consists of photobioreactors (PBRs) made of flexible, inexpensive clear plastic tubes attached to floating docks, anchored offshore in naturally or artificially protected bays [1]. The system uses domestic wastewater and CO2 from coastal facilities to provide water, nutrients, and carbon for algae cultivation [2]. The surrounding seawater maintains the temperature inside the PBRs and prevents the cultivated (freshwater) algae from becoming invasive species in the marine environment (i.e., if a PBR module accidentally leaks, the freshwater algae that grow in wastewater cannot survive in the marine environment). The salt gradient between seawater and wastewater is used for forward osmosis (FO) to concentrate nutrients and facilitate algae harvesting [3]. Both the algae and FO clean the wastewater, removing nutrients as well as pharmaceuticals and personal-care products [4]. The offshore infrastructure provides a large surface area for solar-photovoltaic arrays and access to offshore wind or wave generators. The infrastructure can also support shellfish, finfish, or seaweed aquaculture. The economics of the OMEGA system are supported by a combination of biofuels production, wastewater treatment, alternative energy generation, and aquaculture. By using wastewater and operating offshore from coastal cities, OMEGA can be located close to wastewater and CO2 sources and it can avoid competing with agriculture for water, fertilizer, and land [5]. By combining biofuels production with wastewater treatment and aquaculture, the OMEGA system provides both products and services, which increase its economic feasibility. While the offshore location has engineering challenges and concerns about the impact and control of biofouling [6], large OMEGA structure will be floating marine habitats and will create protected 'no-fishing' zones that could increase local biodiversity and fishery productivity. Potential test sites for the next phase of OMEGA (1-hectare integrated system) will be discussed.
Cahyarini, Sri Yudawati; Zinke, Jens; Troelstra, Simon; Suharsono; Aldrian, Edvin; Hoeksema, B W
2016-09-30
The ability of massive Porites corals to faithfully record temperature is assessed. Porites corals from Kepulauan Seribu were sampled from one inshore and one offshore site and analyzed for their Sr/Ca variation. The results show that Sr/Ca of the offshore coral tracked SST, while Sr/Ca variation of the inshore coral tracked ambient air temperature. In particular, the inshore SST variation is related to air temperature anomalies of the urban center of Jakarta. The latter we relate to air-sea interactions modifying inshore SST associated with the land-sea breeze mechanism and/or monsoonal circulation. The correlation pattern of monthly coral Sr/Ca with the Niño3.4 index and SEIO-SST reveals that corals in the Seribu islands region respond differently to remote forcing. An opposite response is observed for inshore and offshore corals in response to El Niño onset, yet similar to El Niño mature phase (December to February). SEIO SSTs co-vary strongly with SST and air temperature variability across the Seribu island reef complex. The results of this study clearly indicate that locations of coral proxy record in Indonesia need to be chosen carefully in order to identify the seasonal climate response to local and remote climate and anthropogenic forcing. Copyright © 2016 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Pritchard, Mark; Weller, Robert A.
2005-03-01
During July-August 2001, oceanographic variability on the New England inner continental shelf was investigated with an emphasis on temporal scales shorter than tidal periods. Mooring and ship survey data showed that subtidal variation of inner shelf stratification was in response to regional Ekman upwelling and downwelling wind driven dynamics. High-frequency variability in the vertical structure of the water column at an offshore mooring site was linked to the baroclinic internal tide and the onshore propagation of nonlinear solitary waves of depression. Temperature, salinity, and velocity data measured at an inshore mooring detected a bottom bore that formed on the flood phase of the tide. During the ebb tide, a second bottom discontinuity and series of nonlinear internal waves of elevation (IWOE) formed when the water column became for a time under hydraulic control. A surface manifestation of these internal wave crests was also observed in aircraft remote sensing imagery. The coupling of IWOE formation to the offshore solitary waves packets was investigated through internal wave breaking criterion derived in earlier laboratory studies. Results suggested that the offshore solitons shoaled on the sloping shelf, and transformed from waves of depression to waves of elevation. The coupling of inshore bore formation to the offshore solitary waves and the possible impact of these periodic features on mixing on the inner shelf region are discussed.
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.
Skeate, Eleanor R; Perrow, Martin R; Gilroy, James J
2012-04-01
Scroby Sands offshore wind farm was built close to a haul-out and breeding site for harbour seal, a species of conservation concern. An aerial survey programme conducted during a five-year period spanning wind farm construction, revealed a significant post-construction decline in haul-out counts. Multivariate model selection suggested that the decline was not related to the environmental factors considered, nor did it mirror wider population trends. Although cause and effect could not be unequivocally established, the theoretical basis of hearing in pinnipeds and previous studies suggested that extreme noise (to 257 dB re 1 μ Pa(pp) @ 1m) generated by pile-driving of turbine bases led to displacement of seals. A lack of full recovery of harbour seal during the study was also linked to their sensitivity to vessel activity and/or rapid colonisation of competing grey seal. Any impact of offshore wind farm development upon pinnipeds would be much reduced without pile-driving. Copyright © 2012 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Dixon, T. H.; Xie, S.; Malservisi, R.; Lembke, C.; Iannaccone, G.; Law, J.; Rodgers, M.; Russell, R.; Voss, N. K.
2017-12-01
A GPS-buoy system has been built and is currently undergoing test to measure precise 3D sea floor motion in the shallow (less than 200 m) continental shelf environment. Offshore deformation is undersampled in most subduction zones. In Cascadia, the shallow shelf environment constitutes roughly 20%-25% of the offshore area between the coastline and the trench. In the system being tested, the GPS receiver at the top of the buoy is connected to the sea floor through a rigid structure supported by a float. A similar design has been used by INGV (Italy) to measure vertical deformation on the sea floor near the Campi Flegrei caldera. Synthetic analysis shows that by adding a 3-axis digital compass to measure heading and tilt, along with kinematic GPS measurements, position of the anchor can be recovered to an accuracy of several centimeters or better, depending on water depth and GPS baseline length. Synthetic resolution tests show that our ability to detect shallow slow slip events on subduction plate boundaries can be greatly improved by adding offshore GPS-buoy sites.
NASA Astrophysics Data System (ADS)
Margiotta, A.
2014-04-01
KM3NeT is a deep-sea research infrastructure being constructed in the Mediterranean Sea. It will be installed at three sites: KM3NeT-Fr, offshore Toulon, France, KM3NeT-It, offshore Portopalo di Capo Passero, Sicily (Italy) and KM3NeT-Gr, offshore Pylos, Peloponnese, Greece. It will host the next generation Cherenkov neutrino telescope and nodes for a deep sea multidisciplinary observatory, providing oceanographers, marine biologists, and geophysicists with real time measurements. The neutrino telescope will search for Galactic and extra-Galactic sources of neutrinos, complementing IceCube in its field of view. The detector will have a modular structure and consists of six building blocks, each including about one hundred Detection Units (DUs). Each DU will be equipped with 18 multi-PMT digital optical modules. The first phase of construction has started and shore and deep-sea infrastructures hosting the future KM3NeT detector are being prepared in France near Toulon and in Italy, near Capo Passero in Sicily. The technological solutions for KM3NeT and the expected performance of the detector are presented and discussed.
Deepwater Horizon Situation Report #5
DOE Office of Scientific and Technical Information (OSTI.GOV)
None
2010-06-10
At approximately 11:00 pm EDT April 20, 2010 an explosion occurred aboard the Deepwater Horizon mobile offshore drilling unit (MODU) located 52 miles Southeast of Venice, LA and 130 miles southeast of New Orleans, LA. The MODU was drilling an exploratory well and was not producing oil at the time of the incident. The Deepwater Horizon MODU sank 1,500 feet northwest of the well site. Detailed information on response and recovery operations can be found at: http://www.deepwaterhorizonresponse.com/go/site/2931/
Turf algae-mediated coral damage in coastal reefs of Belize, Central America.
Wild, Christian; Jantzen, Carin; Kremb, Stephan Georg
2014-01-01
Many coral reefs in the Caribbean experienced substantial changes in their benthic community composition during the last decades. This often resulted in phase shifts from scleractinian coral dominance to that by other benthic invertebrate or algae. However, knowledge about how the related role of coral-algae contacts may negatively affect corals is scarce. Therefore, benthic community composition, abundance of algae grazers, and the abundance and character of coral-algae contacts were assessed in situ at 13 Belizean reef sites distributed along a distance gradient to the Belizean mainland (12-70 km): Mesoamerican Barrier Reef (inshore), Turneffe Atoll (inner and outer midshore), and Lighthouse Reef (offshore). In situ surveys revealed significantly higher benthic cover by scleractinian corals at the remote Lighthouse Reef (26-29%) when compared to the other sites (4-19%). The abundance of herbivorous fish and the sea urchin Diadema antillarum significantly increased towards the offshore reef sites, while the occurrence of direct coral-algae contacts consequently increased significantly with decreasing distance to shore. About 60% of these algae contacts were harmful (exhibiting coral tissue damage, pigmentation change, or overgrowth) for corals (mainly genera Orbicella and Agaricia), particularly when filamentous turf algae were involved. These findings provide support to the hypothesis that (turf) algae-mediated coral damage occurs in Belizean coastal, near-shore coral reefs.
Strategies for obtaining obsidian in pre-European contact era New Zealand.
McCoy, Mark D; Carpenter, Jonathan
2014-01-01
Archaeological evidence of people's choices regarding how they supply themselves with obsidian through direct access and different types of exchanges gives us insight in to mobility, social networks, and property rights in the distant past. Here we use collections of obsidian artefacts that date to a period of endemic warfare among Maori during New Zealand's Late Period (1500-1769 A.D.) to determine what strategies people engaged in to obtain obsidian, namely (1) collecting raw material directly from a natural source, (2) informal trade and exchange, and (3) formal trade and exchange. These deposits represent a good cross-section of Late Period archaeology, including primary working of raw material at a natural source (Helena Bay), undefended sites where people discarded rubbish and worked obsidian (Bream Head), and a heavily fortified site (Mt. Wellington). We find that most of the obsidian described here was likely obtained directly from natural sources, especially those located on off-shore islands within about 60-70 km of sites. A smaller amount comes from blocks of material transported from an off-shore island a greater distance away, called Mayor Island, in a formal trade and exchange network. This study demonstrates the value of conducting tandem lithic technology and geochemical sourcing studies to understand how people create and maintain social networks during periods of warfare.
NASA Astrophysics Data System (ADS)
Edwards, Ewan W. J.; Quinn, Lucy R.; Wakefield, Ewan D.; Miller, Peter I.; Thompson, Paul M.
2013-12-01
The seas above mid-ocean ridges are biodiversity hotspots in an otherwise largely oligotrophic environment, but the nature and extent of linkage between these offshore regimes and coastal ecosystems remains uncertain. Using a combination of GPS and geolocation tracking data, we show that a male fulmar, breeding on the Scottish coast, foraged over areas of persistent thermal fronts along the Charlie-Gibbs Fracture Zone (CGFZ) of the Mid-Atlantic Ridge during the incubation period. The bird travelled over 6200 km in 14.9 days. First-passage time analysis identified seven areas of restricted search, four on the shelf and three in the vicinity of the Mid-Atlantic Ridge. Previous studies of incubation foraging trip durations at this site suggest that a trip of this duration is unusual, and further work is required to assess the extent to which different individuals use these offshore resources. Nevertheless, these data highlight the potential importance of high sea areas beyond the limits of national jurisdiction when considering the management and conservation of seabirds breeding in NW Europe, and raises the potential for even greater linkage between the CGFZ and seabirds breeding colonies in other regions.
NASA Astrophysics Data System (ADS)
Lingga, Marwan Mossa
A strong trend of returning to nuclear power is evident in different places in the world. Forty-five countries are planning to add nuclear power to their grids and more than 66 nuclear power plants are under construction. Nuclear power plants that generate electricity and steam need to improve safety to become more acceptable to governments and the public. One novel practical solution to increase nuclear power plants' safety factor is to build them away from urban areas, such as offshore or underground. To date, Land-Based siting is the dominant option for siting all commercial operational nuclear power plants. However, the literature reveals several options for building nuclear power plants in safer sitings than Land-Based sitings. The alternatives are several and each has advantages and disadvantages, and it is difficult to distinguish among them and choose the best for a specific project. In this research, we recall the old idea of using the alternatives of offshore and underground sitings for new nuclear power plants and propose a tool to help in choosing the best siting technology. This research involved the development of a decision model for evaluating several potential nuclear power plant siting technologies, both those that are currently available and future ones. The decision model was developed based on the Hierarchical Decision Modeling (HDM) methodology. The model considers five major dimensions, social, technical, economic, environmental, and political (STEEP), and their related criteria and sub-criteria. The model was designed and developed by the author, and its elements' validation and evaluation were done by a large number of experts in the field of nuclear energy. The decision model was applied in evaluating five potential siting technologies and ranked the Natural Island as the best in comparison to Land-Based, Floating Plant, Artificial Island, and Semi-Embedded plant.
Mangroves are essential fish habitats acting as shelters and nurseries, but the relative contribution of mangrove resources to fish diets relies on site-specific context and fish life history stage. Stable isotope (δ13C, δ15N) and gut-content analyses were used to investigate siz...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-13
... DEPARTMENT OF THE INTERIOR Bureau of Ocean Energy Management [Docket No. BOEM-2012-0090... North Carolina AGENCY: Bureau of Ocean Energy Management (BOEM), Interior. ACTION: Notice of Intent To..., offshore wind energy developers, and the public in the Department of the Interior's (DOI) ``Smart from the...
30 CFR 285.613 - How will MMS process my SAP?
Code of Federal Regulations, 2010 CFR
2010-07-01
... 30 Mineral Resources 2 2010-07-01 2010-07-01 false How will MMS process my SAP? 285.613 Section 285.613 Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE... Requirements Contents of the Site Assessment Plan § 285.613 How will MMS process my SAP? (a) The MMS will...
Federal Register 2010, 2011, 2012, 2013, 2014
2011-02-09
... Interior's (DOI) ``Smart from the Start'' wind energy initiative, to identify areas for wind energy leasing... November 23, 2010, Secretary of the Interior Ken Salazar announced the ``Smart from the Start'' renewable... the ``Smart from the Start'' initiative can be found at http://www.boemre.gov/offshore/RenewableEnergy...
Trefry, John H; Neff, Jerry M
2018-06-19
Impacts from oil exploration, development and production in the Beaufort Sea, Alaska, are assessed using concentrations of metals in sediments collected during 2014-15, combined with a large dataset for 1985-2006. Concentrations of 7 (1980 s) or 17 (1999-2015) metals in 423 surface sediments from 134 stations, plus 563 samples from 30 cores were highly variable, primarily as a function of sediment granulometry with naturally greater metal concentrations in fine-grained, Al-rich sediment. Metals versus Al correlation plots were used to normalize metal concentrations and identify values significantly above background. Barium, Cr, Cu, Hg and Pb concentrations were above background, but variable, within 250 m of some offshore sites where drilling occurred between 1981-2001; these areas totaled <6 km 2 of 11,000 km 2 in the total lease area. Random and fixed sampling along the coastal Beaufort Sea from 1985-2015 yielded 40 positive anomalies for metals in surface sediments (∼0.8% of 5,082 data points). About 85% of the anomalies were from developed areas. Half the anomalies were for the five metals found enhanced near drilling sites. No metals concentrations, except As, exceeded accepted sediment quality criteria. Interannual shifts in metals values for surface sediments at inner shelf sites were common and linked to storm-induced transitions in granulometry; however, metal/Al ratios were uniform during these shifts. Sediment cores generally recorded centuries of background values, except for As, Fe and Mn. These three metals were naturally enriched in sediments from deeper water (>100 m) via diagenetic remobilization at sediment depths of 5-15 cm, upward diffusion, and precipitation in surface oxic layers. Minimal evidence for anthropogenic inputs of metals, except near some exploratory drilling sites, is consistent with extraction of most oil from land or barrier islands in the Alaskan Arctic and restricted offshore activity to date. This article is protected by copyright. All rights reserved. This article is protected by copyright. All rights reserved.
NASA Astrophysics Data System (ADS)
Wang, W. R.; Wei, K. Y.; Mii, H. S.; Lin, Y. S.; Huang, J. J.; Wang, P. L.; Lin, A. T.
2015-12-01
Release of large amounts of methane from marine gas hydrate reservoirs has been considered as a possible trigger of climate change, which can be recorded by the variation of carbon isotopes (δ13C) of the benthic foraminifera. In modern analogs, previous studies have suggested that δ13C becomes more negative when influenced by methane seeps. However, values of δ13C of benthic foraminifera might vary with different species and sedimentary settings in different regions. Seismic profiles in offshore southwestern Taiwan show the existence of Bottom Simulating Reflector (BSR) in the region, indicative of gas hydrate reservoirs. Various methane seepages have been found, and they are suspected to be related to the gas hydrates buried underneath. A better understanding of the δ13C signals of benthic foraminifera near the methane seepages can further clarify the origin of the methane and to evaluate it as a proxy of methane release for the geologic past. We have analyzed δ13C of benthic foraminifera Uvigerina proboscidea (150-250 mm) in the topmost 15 cm sediments in five marine cores (OR1-1092-WFWC-1, OR1-1092-WFWC-4, OR1-1092-WFWC-6, OR3-1806-C5-2 and OR3-1806-C10) collected from the Four-Way Closure Ridge in offshore southwestern Taiwan (water depth from 1330 to 1580 m). Our results show that δ13C values of U. proboscidea range from -0.98‰ to -6.21‰ (VPDB) for core OR3-1806-C5-2, which is considered as a seeps-influenced site. On the other hand, δ13C values of U. proboscidea from the background sites range from -0.40‰ to -1.00‰. The difference between the methane seep-affected and the background sites is in the range of 0.00‰ to 5.01‰, comparable to those documented in previous studies in other areas. The significant negative excursion in carbon isotopes in the seep site foraminifera is likely caused by incorporation of light inorganic carbon generated by methanotrophy in the system.
Laroche, Olivier; Wood, Susanna A; Tremblay, Louis A; Ellis, Joanne I; Lear, Gavin; Pochon, Xavier
2018-02-01
Standardized ecosystem-based monitoring surveys are critical for providing information on marine ecosystem health. Environmental DNA/RNA (eDNA/eRNA) metabarcoding may facilitate such surveys by quickly and effectively characterizing multi-trophic levels. In this study, we assessed the suitability of eDNA/eRNA metabarcoding to evaluate changes in benthic assemblages of bacteria, Foraminifera and other eukaryotes along transects at three offshore oil and gas (O&G) drilling and production sites, and compared these to morphologically characterized macro-faunal assemblages. Bacterial communities were the most responsive to O&G activities, followed by Foraminifera, and macro-fauna (the latter assessed by morphology). The molecular approach enabled detection of hydrocarbon degrading taxa such as the bacteria Alcanivorax and Microbulbifer at petroleum impacted stations. Most identified indicator taxa, notably among macro-fauna, were highly specific to site conditions. Based on our results we suggest that eDNA/eRNA metabarcoding can be used as a stand-alone method for biodiversity assessment or as a complement to morphology-based monitoring approaches. Copyright © 2017 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Moridis, G. J.; Reagan, M. T.; Queiruga, A. F.
2017-12-01
We analyze the gas production potential of recently discovered offshore hydrate deposits at the NGHP-02-09-A sSite in the Krishna-Godawari Basin of India, and the corresponding geomechanical system response during short- and long-term production. Using the most current data on the flow and geomechanical properties of the hydrate-bearing media and of the overburden, as well as information on the system boundaries, we investigate (a) the production rates of gas (CH4) and of water, their relative magnitudes and the reservoir thermal behavior in an effort to assess the viability of these deposits as energy sources, as well as (b) the potential subsidence and the effect of changing pressure and stress regimes on the porosity and permeability (and, consequently, on production). Additionally, we conduct a thorough sensitivity analysis in order to determine (a) the properties and conditions that control and dominate the system behavior, and (b) the range of the possible system response to production.
Cleary, D F R; Polónia, A R M; Renema, W; Hoeksema, B W; Rachello-Dolmen, P G; Moolenbeek, R G; Budiyanto, A; Yahmantoro; Tuti, Y; Giyanto; Draisma, S G A; Prud'homme van Reine, W F; Hariyanto, R; Gittenberger, A; Rikoh, M S; de Voogd, N J
2016-09-30
Substrate cover, water quality parameters and assemblages of corals, fishes, sponges, echinoderms, ascidians, molluscs, benthic foraminifera and macroalgae were sampled across a pronounced environmental gradient in the Jakarta Bay-Thousand Islands reef complex. Inshore sites mainly consisted of sand, rubble and turf algae with elevated temperature, dissolved oxygen, pH and chlorophyll concentrations and depauperate assemblages of all taxa. Live coral cover was very low inshore and mainly consisted of sparse massive coral heads and a few encrusting species. Faunal assemblages were more speciose and compositionally distinct mid- and offshore compared to inshore. There were, however, small-scale differences among taxa. Certain midshore sites, for example, housed assemblages resembling those typical of the inshore environment but this differed depending on the taxon. Substrate, water quality and spatial variables together explained from 31% (molluscs) to 72% (foraminifera) of the variation in composition. In general, satellite-derived parameters outperformed locally measured parameters. Copyright © 2016 Elsevier Ltd. All rights reserved.
Suspected Offshore Chalcolithic/Early Bronze Age Tsunamigenic Sediments: Jisr al Zarka, Israel
NASA Astrophysics Data System (ADS)
Tiulienieva, N.; Braun, Y.; Katz, T.; Goodman-Tchernov, B. N.; Suchkov, I.
2017-12-01
Offshore tsunami deposits are a potentially important sedimentological archive for past tsunamis. They have been identified offshore of Israel using granulometric, geoarchaeological, and micropaleontological indicators. Recent advances in tsunami sedimentological research have put forth a series of new proxies that may be useful tools for tsunami deposit identification. The well-studied offshore deposits of Israel provide a unique opportunity to test some of these proxies because they present good distinction between tsunami and non-tsunami deposits and they can be associated with a rich historical record and archaeological artifacts. In this study, a 219 cm long sediment core, retrieved from a 15.3 m water depth, situated in about 5 km to the north from well studied shallow shelf, offshore Caesarea. Based on the previously used criteria three layers in the new core were identified as tsunami-generated. Two of these correlated to previously described tsunami events in Caesarea; 749 AD and 1500 BC. The third layer gave the time frame from 5.6 to 6 ka BP, making this event the oldest identified in the Eastern Mediterranean to date. Identified unusual layers were attributed to tsunami-generated sedimentary sequences, based on both visually recognizable indicators and the results of laboratory analyses. FT-IR, XRD, and XRF analysis were also applied. The results of this study allow to make following conclusions: (1) visual tsunami indicators in the studied core are similar to those in Caesarea, but lack archaeological debris; (2) while distinct deviation of granulometric coefficients (mean, median, standard deviation, skewness, kurtosis) correlated to tsunami layers, the additional proxies of deposition rate and mollusk assemblage excluded one deviated layer from tsunamigenic-designation; (3) the results of XRF, FT-IR, XRD showed that they are not useful as independent methods at this study site.
NASA Astrophysics Data System (ADS)
Soler-Bientz, Rolando; Watson, Simon
2016-09-01
In the UK, there is an interest in the expected offshore wind resource given ambitious national plans to expand offshore capacity. There is also an increasing interest in alternative datasets to evaluate wind seasonal and inter-annual cycles which can be very useful in the initial stages of the design of wind farms in order to identify prospective areas where local measurements can then be applied to determine small-scale variations in the marine wind climate. In this paper we analyse both MERRA2 reanalysis data and measured offshore mast data to determine patterns in wind speed variation and how they change as a function of the distance from the coast. We also identify an empirical expression to estimate wind speed based on the distance from the coast. From the analysis, it was found that the variations of the seasonal cycles seem to be almost independent of the distance to the nearest shore and that they are an order of magnitude larger than the variations of the diurnal cycles. It was concluded that the diurnal variations decreased to less than a half for places located more than 100km from the nearest shore and that the data from the MERRA2 reanalysis grid points give an under-prediction of the average values of wind speed for both the diurnal and seasonal cycles. Finally, even though the two offshore masts were almost the same nearest distance from the coast and were geographically relatively close, they exhibited significantly different behaviour in terms of the strength of their diurnal and seasonal cycles which may be due to the distance from the coast for the prevailing wind direction being quite different for the two sites.
Mesophotic coral ecosystems under anthropogenic stress: a case study at Ponce, Puerto Rico
NASA Astrophysics Data System (ADS)
Appeldoorn, Richard; Ballantine, David; Bejarano, Ivonne; Carlo, Milton; Nemeth, Michael; Otero, Ernesto; Pagan, Francisco; Ruiz, Hector; Schizas, Nikolaos; Sherman, Clark; Weil, Ernesto
2016-03-01
Mesophotic coral ecosystems (MCEs) were compared between La Parguera and Ponce, off the south coast of Puerto Rico. In contrast to La Parguera, Ponce has a narrow insular shelf and hosts several river outlets, a commercial port, a regional sewage treatment plant with associated deep water outfall, and three deep dredge disposal sites. Off Ponce, MCEs receive higher (16×) rates of sedimentation than off La Parguera, a less impacted site. The most impacted sites were located offshore of Cayo Ratones and are in or down-current and in close proximity to one of the dredge disposal sites. There, MCEs are characterized by a steep, irregular, rocky slope with a cover of fine-grained, dark brown sediment, which increases with depth. At shallower depths, scattered rocky outcroppings are colonized by sponges, black corals and algae. The sediment cover contains two to three times the terrigenous content and a significantly higher percentage of the fine-grained fraction than off La Parguera. Thirteen remotely operated vehicle (ROV) dives east and west of Ponce showed that the deepest depth at which corals were observed increased with distance from Cayo Ratones and did not approach depths observed off La Parguera except at the eastern-most (up-current) site, Caja de Muertos, which was also significantly further offshore. Benthic communities off Caja de Muertos were comparable to those at La Parguera, while off Cayo Ratones, there were no mesophotic corals and sparse development of other benthic macrobiota except sponges. Management authorities should include MCEs when assessing potential impacts from anthropogenic activities and take the necessary steps to reduce local threats.
NASA Astrophysics Data System (ADS)
Gallagher, S. J.; McCaffrey, J.; Wallace, M. W.; Keep, M.; Fulthorpe, C.; Bogus, K.; McHugh, C.
2017-12-01
Mass-transport processes on continental margins may have catastrophic consequences, causing tsunamis, major rock falls and avalanches and can destroy offshore hydrocarbon installations. Mass-transport deposits (MTD's) with volumes 17 to >162 km3 are common along the northwest margin of Australia. One of the largest is the Gorgon slide which is offshore from Barrow Island with a minimum volume of 250 km3. Age estimates for slides on the Northwest Shelf are variable and range from Miocene to Recent (Gorgon MTD), late Pliocene to Recent (Thebe/Bonaventure MTD's) and Pleistocene to Recent. This age uncertainty is related to a lack of cored sections through these slides and relies on pre-existing ages and correlations from poorly dated sections (usually industry well sections with minimal samples in the upper 500 m) distal from the MTD's. Therefore, the age, origin and history of these MTD's is not well known. A recent International Ocean Discovery Program Expedition (IODP Expedition 356) to the region obtained a series of continuous cores from the upper 600m to 1.1 km of the Northern Carnarvon and Roebuck Basins. Four sites were cored adjacent to hydrocarbon wells; West Tryal Rocks-2 (Site U1461), Fisher-1 (Site U1462), Picard-1 (Site U1463) and Minilya-1 (Site U1464). Site U1461 yielded 100% core recovery through the Gorgon Slide. Preliminary data from this section suggests that it is relatively young (<1 Ma) with ongoing activity from 0.5 Ma continuing to today. We suggest neotectonism combined with the onset of high amplitude glacio-eustatic cycles may have been triggering factors for this slide.
NASA Astrophysics Data System (ADS)
Bijl, Peter; Boterblom, Wilrieke H.; Sangiorgi, Francesca; Hartman, Julian D.; Peterse, Francien
2017-04-01
Although a lot of research has been conducted to characterize the onset of Antarctic glaciation at the Eocene-Oligocene transition, little is known about the subsequent evolution and fluctuations of the size of the Antarctic Ice Sheet (AIS). The discrepancy between the conclusions of Foster and Rohling (2013) (insensitive global cryosphere between 400-650 ppmv CO2) and variations in benthic foraminiferal δ18O records (0.5-1 ‰) illustrate the uncertainty in particularly the East AIS variability during the Oligocene and Miocene. Increasing awareness of the importance of oceanographic conditions on ice sheet melt emphasize the need to directly infer ice sheet volume fluctuations from sedimentary archives close to the Antarctic margin. In this study, dinoflagellate cyst (dinocyst) assemblages, dinocyst-based biostratigraphy and TEX86 from Deep Sea Drilling Project Site 269, offshore the Wilkes Land Margin (WLM), were used to reconstruct the paleoenvironment and paleoceanographic setting during the Oligocene and Miocene. Preliminary results are indicative of open ocean conditions, Southern Ocean fronts and high productivity waters. Furthermore, biomarker species were found, which are useful for stratigraphic dating. Research conducted at the continental rise of the WLM (Site U1356), by Bijl et al. (in prep.), has allowed for the calibration of dinocysts events of the Oligocene-Miocene Southern Ocean to the international time scale. Comparing the results of Site 269 to Site U1356 can thus provide an age constraint for this record. Correlating paleoceanographic changes between sites can provide insights into the variability of the EAIS during the Oligocene and Miocene, and will contribute to improving predictions of future changes in the Antarctic ice sheet.
O’Brien, Michael; Lyubchich, Vyacheslav; Roberts, Jason J.; Halpin, Patrick N.; Rice, Aaron N.; Bailey, Helen
2017-01-01
Offshore windfarms provide renewable energy, but activities during the construction phase can affect marine mammals. To understand how the construction of an offshore windfarm in the Maryland Wind Energy Area (WEA) off Maryland, USA, might impact harbour porpoises (Phocoena phocoena), it is essential to determine their poorly understood year-round distribution. Although habitat-based models can help predict the occurrence of species in areas with limited or no sampling, they require validation to determine the accuracy of the predictions. Incorporating more than 18 months of harbour porpoise detection data from passive acoustic monitoring, generalized auto-regressive moving average and generalized additive models were used to investigate harbour porpoise occurrence within and around the Maryland WEA in relation to temporal and environmental variables. Acoustic detection metrics were compared to habitat-based density estimates derived from aerial and boat-based sightings to validate the model predictions. Harbour porpoises occurred significantly more frequently during January to May, and foraged significantly more often in the evenings to early mornings at sites within and outside the Maryland WEA. Harbour porpoise occurrence peaked at sea surface temperatures of 5°C and chlorophyll a concentrations of 4.5 to 7.4 mg m-3. The acoustic detections were significantly correlated with the predicted densities, except at the most inshore site. This study provides insight into previously unknown fine-scale spatial and temporal patterns in distribution of harbour porpoises offshore of Maryland. The results can be used to help inform future monitoring and mitigate the impacts of windfarm construction and other human activities. PMID:28467455
Wingfield, Jessica E; O'Brien, Michael; Lyubchich, Vyacheslav; Roberts, Jason J; Halpin, Patrick N; Rice, Aaron N; Bailey, Helen
2017-01-01
Offshore windfarms provide renewable energy, but activities during the construction phase can affect marine mammals. To understand how the construction of an offshore windfarm in the Maryland Wind Energy Area (WEA) off Maryland, USA, might impact harbour porpoises (Phocoena phocoena), it is essential to determine their poorly understood year-round distribution. Although habitat-based models can help predict the occurrence of species in areas with limited or no sampling, they require validation to determine the accuracy of the predictions. Incorporating more than 18 months of harbour porpoise detection data from passive acoustic monitoring, generalized auto-regressive moving average and generalized additive models were used to investigate harbour porpoise occurrence within and around the Maryland WEA in relation to temporal and environmental variables. Acoustic detection metrics were compared to habitat-based density estimates derived from aerial and boat-based sightings to validate the model predictions. Harbour porpoises occurred significantly more frequently during January to May, and foraged significantly more often in the evenings to early mornings at sites within and outside the Maryland WEA. Harbour porpoise occurrence peaked at sea surface temperatures of 5°C and chlorophyll a concentrations of 4.5 to 7.4 mg m-3. The acoustic detections were significantly correlated with the predicted densities, except at the most inshore site. This study provides insight into previously unknown fine-scale spatial and temporal patterns in distribution of harbour porpoises offshore of Maryland. The results can be used to help inform future monitoring and mitigate the impacts of windfarm construction and other human activities.
NASA Astrophysics Data System (ADS)
Draisma, Stefano G. A.; Prud'homme van Reine, Willem F.; Herandarudewi, Sekar M. C.; Hoeksema, Bert W.
2018-01-01
The Jakarta Bay - Thousand Islands reef complex extends to more than 80 km in northwest direction from the major conurbation Jakarta (Indonesia) along a pronounced inshore to offshore environmental gradient. The present study aims to determine to what extent environmental factors can explain the composition of macroalgal communities on the reefs off Jakarta. Therefore, the presence-absence of 67 macroalgal taxa was recorded for 27 sampling sites along the inshore-offshore disturbance gradient and analysed with substrate variables and water quality variables. The macroalgal richness pattern matches the pattern of other reef taxa. The 27 sites could be assigned to one of four geographical zones with 85% certainty based on their macroalgal taxon assemblages. These four zones (i.e., Jakarta Bay and, respectively, South, Central, and North Thousand Islands) had significantly different macroalgal assemblages, except for the North and South zones. Along the nearshore gradient there was a greater shift in taxon composition than within the central Thousand Islands. The patterns of ten habitat and water quality variables resembled the macroalgal diversity patterns by 56%. All ten variables together explained 69% of the variation in macroalgal composition. Shelf depth, % sand cover, gelbstoff/detrital material, chlorophyll a concentration, seawater surface temperature, and % dead coral cover were the best predictors of seaweed flora composition. Furthermore, 44 macroalgal species represented new records for the area. The present study provides important baseline data of macroalgae in the area for comparison in future biodiversity assessments in the area and elsewhere in the region.
Cranmer, Alexana; Smetzer, Jennifer R; Welch, Linda; Baker, Erin
2017-05-15
Quantifying and managing the potential adverse wildlife impacts of offshore wind energy is critical for developing offshore wind energy in a sustainable and timely manner, but poses a significant challenge, particularly for small marine birds that are difficult to monitor. We developed a discrete-time Markov model of seabird movement around a colony site parameterized by automated radio telemetry data from common terns (Sterna hirundo) and Arctic terns (S. paradisaea), and derived impact functions that estimate the probability of collision fatality as a function of the distance and bearing of wind turbines from a colony. Our purpose was to develop and demonstrate a new, flexible tool that can be used for specific management and wind-energy planning applications when adequate data are available, rather than inform wind-energy development at this site. We demonstrate how the tool can be used 1) in marine spatial planning exercises to quantitatively identify setback distances under development scenarios given a risk threshold, 2) to examine the ecological and technical trade-offs of development alternatives to facilitate negotiation between objectives, and 3) in the U.S. National Environmental Policy Act (NEPA) process to estimate collision fatality under alternative scenarios. We discuss model limitations and data needs, and highlight opportunities for future model extension and development. We present a highly flexible tool for wind energy planning that can be easily extended to other central place foragers and data sources, and can be updated and improved as new monitoring data arises. Copyright © 2017 Elsevier Ltd. All rights reserved.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Vinick, Charles; Riccobono, Antonino, MS; Messing, Charles G., Ph.D.
Dehlsen Associates, LLC was awarded a grant by the United States Department of Energy (DOE) Golden Field Office for a project titled 'Siting Study Framework and Survey Methodology for Marine and Hydrokinetic Energy Project in Offshore Southeast Florida,' corresponding to DOE Grant Award Number DE-EE0002655 resulting from DOE funding Opportunity Announcement Number DE-FOA-0000069 for Topic Area 2, and it is referred to herein as 'the project.' The purpose of the project was to enhance the certainty of the survey requirements and regulatory review processes for the purpose of reducing the time, efforts, and costs associated with initial siting efforts ofmore » marine and hydrokinetic energy conversion facilities that may be proposed in the Atlantic Ocean offshore Southeast Florida. To secure early input from agencies, protocols were developed for collecting baseline geophysical information and benthic habitat data that can be used by project developers and regulators to make decisions early in the process of determining project location (i.e., the siting process) that avoid or minimize adverse impacts to sensitive marine benthic habitat. It is presumed that such an approach will help facilitate the licensing process for hydrokinetic and other ocean renewable energy projects within the study area and will assist in clarifying the baseline environmental data requirements described in the U.S. Department of the Interior Bureau of Ocean Energy Management, Regulation and Enforcement (formerly Minerals Management Service) final regulations on offshore renewable energy (30 Code of Federal Regulations 285, published April 29, 2009). Because projects generally seek to avoid or minimize impacts to sensitive marine habitats, it was not the intent of this project to investigate areas that did not appear suitable for the siting of ocean renewable energy projects. Rather, a two-tiered approach was designed with the first step consisting of gaining overall insight about seabed conditions offshore southeastern Florida by conducting a geophysical survey of pre-selected areas with subsequent post-processing and expert data interpretation by geophysicists and experienced marine biologists knowledgeable about the general project area. The second step sought to validate the benthic habitat types interpreted from the geophysical data by conducting benthic video and photographic field surveys of selected habitat types. The goal of this step was to determine the degree of correlation between the habitat types interpreted from the geophysical data and what actually exists on the seafloor based on the benthic video survey logs. This step included spot-checking selected habitat types rather than comprehensive evaluation of the entire area covered by the geophysical survey. It is important to note that non-invasive survey methods were used as part of this study and no devices of any kind were either temporarily or permanently attached to the seabed as part of the work conducted under this project.« less
Potential climatic impacts and reliability of large-scale offshore wind farms
NASA Astrophysics Data System (ADS)
Wang, Chien; Prinn, Ronald G.
2011-04-01
The vast availability of wind power has fueled substantial interest in this renewable energy source as a potential near-zero greenhouse gas emission technology for meeting future world energy needs while addressing the climate change issue. However, in order to provide even a fraction of the estimated future energy needs, a large-scale deployment of wind turbines (several million) is required. The consequent environmental impacts, and the inherent reliability of such a large-scale usage of intermittent wind power would have to be carefully assessed, in addition to the need to lower the high current unit wind power costs. Our previous study (Wang and Prinn 2010 Atmos. Chem. Phys. 10 2053) using a three-dimensional climate model suggested that a large deployment of wind turbines over land to meet about 10% of predicted world energy needs in 2100 could lead to a significant temperature increase in the lower atmosphere over the installed regions. A global-scale perturbation to the general circulation patterns as well as to the cloud and precipitation distribution was also predicted. In the later study reported here, we conducted a set of six additional model simulations using an improved climate model to further address the potential environmental and intermittency issues of large-scale deployment of offshore wind turbines for differing installation areas and spatial densities. In contrast to the previous land installation results, the offshore wind turbine installations are found to cause a surface cooling over the installed offshore regions. This cooling is due principally to the enhanced latent heat flux from the sea surface to lower atmosphere, driven by an increase in turbulent mixing caused by the wind turbines which was not entirely offset by the concurrent reduction of mean wind kinetic energy. We found that the perturbation of the large-scale deployment of offshore wind turbines to the global climate is relatively small compared to the case of land-based installations. However, the intermittency caused by the significant seasonal wind variations over several major offshore sites is substantial, and demands further options to ensure the reliability of large-scale offshore wind power. The method that we used to simulate the offshore wind turbine effect on the lower atmosphere involved simply increasing the ocean surface drag coefficient. While this method is consistent with several detailed fine-scale simulations of wind turbines, it still needs further study to ensure its validity. New field observations of actual wind turbine arrays are definitely required to provide ultimate validation of the model predictions presented here.
Analysis and elimination method of the effects of cables on LVRT testing for offshore wind turbines
NASA Astrophysics Data System (ADS)
Jiang, Zimin; Liu, Xiaohao; Li, Changgang; Liu, Yutian
2018-02-01
The current state, characteristics and necessity of the low voltage ride through (LVRT) on-site testing for grid-connected offshore wind turbines are introduced firstly. Then the effects of submarine cables on the LVRT testing are analysed based on the equivalent circuit of the testing system. A scheme for eliminating the effects of cables on the proposed LVRT testing method is presented. The specified voltage dips are guaranteed to be in compliance with the testing standards by adjusting the ratio between the current limiting impedance and short circuit impedance according to the steady voltage relationship derived from the equivalent circuit. Finally, simulation results demonstrate that the voltage dips at the high voltage side of wind turbine transformer satisfy the requirements of testing standards.
Santiago, Igor U; Molisani, Mauricio M; Nudi, Adriana H; Scofield, Artur L; Wagener, Angela de L R; Limaverde Filho, Aricelso M
2016-02-15
Concentrations of PAHs and metals were obtained from mussels collected in beaches, coastal island and estuary of the Macaé coast, the main operational basin for offshore oil exploration in Brazil. This survey provides reference levels for scenarios of increasing exploration, as well as for other areas of the coast undergoing urbanization to support exploration. As expected, urban areas such as the Macaé river estuary presented high concentrations of PAHs, although unsuspected sites such the island also presented signs of contamination. PAH in mussels originated from pyrolytic and petrogenic sources. Metals were typical of non-contaminated coastal environments, although Cr concentrations were above Brazilian Reference Levels. Copyright © 2015 Elsevier Ltd. All rights reserved.
STS-32 Earth observation of the western Coral Sea and the Great Barrier Reef
NASA Technical Reports Server (NTRS)
1990-01-01
STS-32 Earth observation taken onboard Columbia, Orbiter Vehicle (OV) 102, is of the western Coral Sea and the Great Barrier Reef. The scene shows phytoplankton or algal bloom in the northwest Coral Sea. The western Coral Sea and the Great Barrier Reef waters offshore Queensland, Australia are the sites of some of the larger concentrations or 'blooms' of phytoplankton and algae in the open ocean. In the instance illustrated here, the leading edge of a probable concentration of algae or phytoplankton is seen as a light irregular line and sheen between the offshore Great Barrier Reef and the Queensland coast. Previous phytoplankton concentrations in this area have been reported by ships at sea as having formed floating mats as thick as two meters.
Federal Register 2010, 2011, 2012, 2013, 2014
2010-02-04
... suspended by wave action near the bottom, and are moved by bottom currents or directly as bedload. Tidal, wind and wave forces contribute to generating bottom currents, which act in relation to the sediment... littoral zone, limit wave effects due to mounding, and keep material from reentering the navigation channel...
30 CFR 285.610 - What must I include in my SAP?
Code of Federal Regulations, 2010 CFR
2010-07-01
... 30 Mineral Resources 2 2010-07-01 2010-07-01 false What must I include in my SAP? 285.610 Section 285.610 Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE... Requirements Contents of the Site Assessment Plan § 285.610 What must I include in my SAP? Your SAP must...
Federal Register 2010, 2011, 2012, 2013, 2014
2013-06-05
... Significant Impact. SUMMARY: BOEM has prepared a revised environmental assessment (EA) considering the... (WEA) on the OCS offshore Rhode Island (RI) and Massachusetts (MA). The revised EA also considers the... identified WEA. As a result of the analysis in the revised EA, BOEM issued a Finding of No Significant Impact...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-11-02
... environmental review, on those leases) in an identified Wind Energy Area (WEA) on the OCS offshore Massachusetts... EA for review and to solicit public comments on the EA. BOEM will conduct public information meetings... the meeting locations and times, as well as the EA, can be found online at http://www.boem.gov...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-07-02
... cubic yards of beach-quality sediment from an offshore borrow source, and deposit the material along... dredging operations and discharge the sand on the beach via submerged pipeline. The applicant's proposed borrow areas include sites identified as having beach quality material in the U.S. Army Corps of...
Changing vessel routes could significantly reduce the cost of future offshore wind projects.
Samoteskul, Kateryna; Firestone, Jeremy; Corbett, James; Callahan, John
2014-08-01
With the recent emphasis on offshore wind energy Coastal and Marine Spatial Planning (CMSP) has become one of the main frameworks used to plan and manage the increasingly complex web of ocean and coastal uses. As wind development becomes more prevalent, existing users of the ocean space, such as commercial shippers, will be compelled to share their historically open-access waters with these projects. Here, we demonstrate the utility of using cost-effectiveness analysis (CEA) to support siting decisions within a CMSP framework. In this study, we assume that large-scale offshore wind development will take place in the US Mid-Atlantic within the next decades. We then evaluate whether building projects nearshore or far from shore would be more cost-effective. Building projects nearshore is assumed to require rerouting of the commercial vessel traffic traveling between the US Mid-Atlantic ports by an average of 18.5 km per trip. We focus on less than 1500 transits by large deep-draft vessels. We estimate that over 29 years of the study, commercial shippers would incur an additional $0.2 billion (in 2012$) in direct and indirect costs. Building wind projects closer to shore where vessels used to transit would generate approximately $13.4 billion (in 2012$) in savings. Considering the large cost savings, modifying areas where vessels transit needs to be included in the portfolio of policies used to support the growth of the offshore wind industry in the US. Copyright © 2014 Elsevier Ltd. All rights reserved.
Forcing and variability of nonstationary rip currents
Long, Joseph W.; H.T. Özkan-Haller,
2016-01-01
Surface wave transformation and the resulting nearshore circulation along a section of coast with strong alongshore bathymetric gradients outside the surf zone are modeled for a consecutive 4 week time period. The modeled hydrodynamics are compared to in situ measurements of waves and currents collected during the Nearshore Canyon Experiment and indicate that for the entire range of observed conditions, the model performance is similar to other studies along this stretch of coast. Strong alongshore wave height gradients generate rip currents that are observed by remote sensing data and predicted qualitatively well by the numerical model. Previous studies at this site have used idealized scenarios to link the rip current locations to undulations in the offshore bathymetry but do not explain the dichotomy between permanent offshore bathymetric features and intermittent rip current development. Model results from the month‐long simulation are used to track the formation and location of rip currents using hourly statistics, and results show that the direction of the incoming wave energy strongly controls whether rip currents form. In particular, most of the offshore wave spectra were bimodal and we find that the ratio of energy contained in each mode dictates rip current development, and the alongshore rip current position is controlled by the incident wave period. Additionally, model simulations performed with and without updating the nearshore morphology yield no significant change in the accuracy of the predicted surf zone hydrodyanmics indicating that the large‐scale offshore features (e.g., submarine canyon) predominately control the nearshore wave‐circulation system.
Environmental Impact of Offshore Gas Activities on the Benthic Environment: A Case Study
NASA Astrophysics Data System (ADS)
Punzo, E.; Gomiero, A.; Tassetti, A. N.; Strafella, P.; Santelli, A.; Salvalaggio, V.; Spagnolo, A.; Scarcella, G.; De Biasi, A. M.; Kozinkova, L.; Fabi, G.
2017-08-01
Multidisciplinary monitoring of the impact of offshore gas platforms on northern and central Adriatic marine ecosystems has been conducted since 1998. Beginning in 2006, 4-5 year investigations spanning the period before, during, and after rig installation have explored the effects of its construction and presence on macrozoobenthic communities, sediment, water quality, pollutant bioaccumulation, and fish assemblages. In this study, sediment samples collected at increasing distance from an offshore gas platform before, during and after its construction were subjected to chemical analysis and assessment of benthic communities. Ecological indices were calculated to evaluate the ecological status of the area. Ecotoxicological analysis of sediment was performed to establish whether pollutants are transferred to biota. The study applied a before-after control-impact design to assess the effects of rig construction and presence and provide reference data on the possible impacts of any further expansion of the gas extraction industry in the already heavily exploited Adriatic Sea. Only some of the metals investigated (barium, chromium, cadmium, and zinc) showed a different spatial and/or temporal distribution that may be platform-related. In the early phases, the sediment concentrations of polycyclic aromatic hydrocarbons were below the detection limit at all sites; they then became detectable, but without significant spatial differences. The present findings suggest that the environmental effects of offshore gas platforms may be difficult to quantify, interpret, and generalize, because they are influenced by numerous, often local, abiotic, and biotic variables in different and unpredictable ways.
Environmental Impact of Offshore Gas Activities on the Benthic Environment: A Case Study.
Punzo, E; Gomiero, A; Tassetti, A N; Strafella, P; Santelli, A; Salvalaggio, V; Spagnolo, A; Scarcella, G; De Biasi, A M; Kozinkova, L; Fabi, G
2017-08-01
Multidisciplinary monitoring of the impact of offshore gas platforms on northern and central Adriatic marine ecosystems has been conducted since 1998. Beginning in 2006, 4-5 year investigations spanning the period before, during, and after rig installation have explored the effects of its construction and presence on macrozoobenthic communities, sediment, water quality, pollutant bioaccumulation, and fish assemblages. In this study, sediment samples collected at increasing distance from an offshore gas platform before, during and after its construction were subjected to chemical analysis and assessment of benthic communities. Ecological indices were calculated to evaluate the ecological status of the area. Ecotoxicological analysis of sediment was performed to establish whether pollutants are transferred to biota. The study applied a before-after control-impact design to assess the effects of rig construction and presence and provide reference data on the possible impacts of any further expansion of the gas extraction industry in the already heavily exploited Adriatic Sea. Only some of the metals investigated (barium, chromium, cadmium, and zinc) showed a different spatial and/or temporal distribution that may be platform-related. In the early phases, the sediment concentrations of polycyclic aromatic hydrocarbons were below the detection limit at all sites; they then became detectable, but without significant spatial differences. The present findings suggest that the environmental effects of offshore gas platforms may be difficult to quantify, interpret, and generalize, because they are influenced by numerous, often local, abiotic, and biotic variables in different and unpredictable ways.
Assessment of Wind Datasets for Estimating Offshore Wind Energy along the Central California Coast
NASA Astrophysics Data System (ADS)
Wang, Y. H.; Walter, R. K.; Ruttenberg, B.; White, C.
2017-12-01
Offshore renewable energy along the central California coastline has gained significant interest in recent years. We present a comprehensive analysis of near-surface wind datasets available in this region to facilitate future estimates of wind power generation potential. The analyses are based on local NDBC buoys, satellite-based measurements (QuickSCAT and CCMP V2.0), reanalysis products (NARR and MERRA), and a regional climate model (WRF). There are substantial differences in the diurnal signal during different months among the various products (i.e., satellite-based, reanalysis, and modeled) relative to the local buoys. Moreover, the datasets tended to underestimate wind speed under light wind conditions and overestimate under strong wind conditions. In addition to point-to-point comparisons against local buoys, the spatial variations of bias and error in both the reanalysis products and WRF model data in this region were compared against satellite-based measurements. NARR's bias and root-mean-square-error were generally small in the study domain and decreased with distance from coastlines. Although its smaller spatial resolution is likely to be insufficient to reveal local effects, the small bias and error in near-surface winds, as well as the availability of wind data at the proposed turbine hub heights, suggests that NARR is an ideal candidate for use in offshore wind energy production estimates along the central California coast. The framework utilized here could be applied in other site-specific regions where offshore renewable energy is being considered.
European questions related to satelite power systems
DOE Office of Scientific and Technical Information (OSTI.GOV)
Kassing, D.
1983-01-01
A number of problems which have been identified in recent European studies related to satellite power systems are addressed. Based on energy demand and supply projections for Europe, developed by the International Institute for Applied Systems Analysis, the potential of power satellites in a future energy mix is discussed. A few major constraints are presented which may restrict power transmission to European receiving sites, e.g., orbital limitations, siting problems of the ground station, and economic and institutional issues. Conceptual designs for the structure of ground receiving stations located offshore near the European coastlines are described.
Nemo:. a Project for a KM3 Underwater Detector for Astrophysical Neutrinos in the Mediterranean Sea
NASA Astrophysics Data System (ADS)
Amore, I.; Aiello, S.; Ambriola, M.; Ameli, F.; Anghinolfi, M.; Anzalone, A.; Barbarino, G.; Barbarito, E.; Battaglieri, M.; Bellotti, R.; Beverini, N.; Bonori, M.; Bouhadef, B.; Brescia, M.; Cacopardo, G.; Cafagna, F.; Capone, A.; Caponetto, L.; Castorina, E.; Ceres, A.; Chiarusi, T.; Circella, M.; Cocimano, R.; Coniglione, R.; Cordelli, M.; Costa, M.; Cuneo, S.; D'Amico, A.; de Bonis, G.; de Marzo, C.; de Rosa, G.; de Vita, R.; Distefano, C.; Falchini, E.; Fiorello, C.; Flaminio, V.; Fratini, K.; Gabrielli, A.; Galeotti, S.; Gandolfi, E.; Giacomelli, G.; Giorgi, F.; Grimaldi, A.; Habel, R.; Leonora, E.; Lonardo, A.; Longo, G.; Lo Presti, D.; Lucarelli, F.; Maccioni, E.; Margiotta, A.; Martini, A.; Masullo, R.; Megna, R.; Migneco, E.; Mongelli, M.; Montaruli, T.; Morganti, M.; Musumeci, M. S.; Nicolau, C. A.; Orlando, A.; Osipenko, M.; Osteria, G.; Papaleo, R.; Pappalardo, V.; Petta, C.; Piattelli, P.; Raia, G.; Randazzo, N.; Reito, S.; Ricco, G.; Riccobene, G.; Ripani, M.; Rovelli, A.; Ruppi, M.; Russo, G. V.; Russo, S.; Sapienza, P.; Sedita, M.; Shirokov, E.; Simeone, F.; Sipala, V.; Spurio, M.; Taiuti, M.; Terreni, G.; Trasatti, L.; Urso, S.; Valente, V.; Vicini, P.
The status of the project is described: the activity on long term characterization of water optical and oceanographic parameters at the Capo Passero site candidate for the Mediterranean km3 neutrino telescope; the feasibility study; the physics performances and underwater technology for the km3; the activity on NEMO Phase 1, a technological demonstrator that has been deployed at 2000 m depth 25 km offshore Catania; the realization of an underwater infrastructure at 3500 m depth at the candidate site (NEMO Phase 2).
Strategies for Obtaining Obsidian in Pre-European Contact Era New Zealand
McCoy, Mark D.; Carpenter, Jonathan
2014-01-01
Archaeological evidence of people's choices regarding how they supply themselves with obsidian through direct access and different types of exchanges gives us insight in to mobility, social networks, and property rights in the distant past. Here we use collections of obsidian artefacts that date to a period of endemic warfare among Maori during New Zealand's Late Period (1500–1769 A.D.) to determine what strategies people engaged in to obtain obsidian, namely (1) collecting raw material directly from a natural source, (2) informal trade and exchange, and (3) formal trade and exchange. These deposits represent a good cross-section of Late Period archaeology, including primary working of raw material at a natural source (Helena Bay), undefended sites where people discarded rubbish and worked obsidian (Bream Head), and a heavily fortified site (Mt. Wellington). We find that most of the obsidian described here was likely obtained directly from natural sources, especially those located on off-shore islands within about 60–70 km of sites. A smaller amount comes from blocks of material transported from an off-shore island a greater distance away, called Mayor Island, in a formal trade and exchange network. This study demonstrates the value of conducting tandem lithic technology and geochemical sourcing studies to understand how people create and maintain social networks during periods of warfare. PMID:24416213
NASA Astrophysics Data System (ADS)
Weijtens, Wout; Noppe, Nymfa; Verbelen, Tim; Iliopoulos, Alexandros; Devriendt, Christof
2016-09-01
The present contribution is part of the ongoing development of a fatigue assessment strategy driven purely on in-situ measurements on operational wind turbines. The primary objective is to estimate the remaining life time of existing wind farms and individual turbines by instrumenting part of the farm with a load monitoring setup. This load monitoring setup allows to measure interface loads and local stress histories. This contribution will briefly discuss how these load measurements can be translated into fatigue assessment of the instrumented turbine. However, due to different conditions at the wind farm, such as turbulence, differences in water depth and foundation design this turbine will not be fully representable for all turbines in the farm. In this paper we will use the load measurements on two offshore wind turbines in the Northwind offshore wind farm to discuss fatigue progression in an operational wind farm. By calculating the damage equivalent loads on the two turbines the fatigue progression is quantified for every 10 minute interval and can be analyzed against turbulence and site conditions. In future work these results will be used to predict the fatigue life progression in the entire farm.
Jensen, Derek D.; Price, Timothy A.; Nadeau, Daniel F.; ...
2017-12-15
Data collected during a multiyear, wind-resource assessment over a multi-land-use coastal environment in Belize are used to study the development and decay of wind and turbulence through the morning and evening transitions. Observations were made on three tall masts, forming an inland transect of approximately 5 km. The wind distribution is found to be bimodal and governed by synoptic scales, with onshore and offshore flow regimes. The behavior between the coastal and inland sites is found to be very similar when the flow is directed offshore; for onshore flow, stark differences occur. The mean wind speed at the coastal sitemore » is approximately 20% greater than the most inland site and is nearly constant throughout the diurnal cycle. Furthermore, for both flow regimes, the influence of the land–sea breeze circulation is inconsequential relative to the large-scale synoptic forcing. Composite time series are used to study the evolution of sensible heat flux and turbulence kinetic energy (TKE) throughout the morning and evening transitions. The TKE budget reveals that at the coastal site mechanical production of TKE is much more important than buoyant production. This allows for the unexpected case in which TKE increases through the ET despite the decrease of buoyant TKE production. Multiresolution flux decomposition is used to further study this phenomenon as well as the evolution of the sensible heat flux at differing time scales. We present an idealized schematic to illustrate the timing and structure of the morning and evening transitions for an inland site and a coastal site that are subjected to similar synoptic forcing.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Jensen, Derek D.; Price, Timothy A.; Nadeau, Daniel F.
Data collected during a multiyear, wind-resource assessment over a multi-land-use coastal environment in Belize are used to study the development and decay of wind and turbulence through the morning and evening transitions. Observations were made on three tall masts, forming an inland transect of approximately 5 km. The wind distribution is found to be bimodal and governed by synoptic scales, with onshore and offshore flow regimes. The behavior between the coastal and inland sites is found to be very similar when the flow is directed offshore; for onshore flow, stark differences occur. The mean wind speed at the coastal sitemore » is approximately 20% greater than the most inland site and is nearly constant throughout the diurnal cycle. Furthermore, for both flow regimes, the influence of the land–sea breeze circulation is inconsequential relative to the large-scale synoptic forcing. Composite time series are used to study the evolution of sensible heat flux and turbulence kinetic energy (TKE) throughout the morning and evening transitions. The TKE budget reveals that at the coastal site mechanical production of TKE is much more important than buoyant production. This allows for the unexpected case in which TKE increases through the ET despite the decrease of buoyant TKE production. Multiresolution flux decomposition is used to further study this phenomenon as well as the evolution of the sensible heat flux at differing time scales. We present an idealized schematic to illustrate the timing and structure of the morning and evening transitions for an inland site and a coastal site that are subjected to similar synoptic forcing.« less
NASA Astrophysics Data System (ADS)
Volpe, M.; Selva, J.; Tonini, R.; Romano, F.; Lorito, S.; Brizuela, B.; Argyroudis, S.; Salzano, E.; Piatanesi, A.
2016-12-01
Seismic Probabilistic Tsunami Hazard Analysis (SPTHA) is a methodology to assess the exceedance probability for different thresholds of tsunami hazard intensity, at a specific site or region in a given time period, due to a seismic source. A large amount of high-resolution inundation simulations is typically required for taking into account the full variability of potential seismic sources and their slip distributions. Starting from regional SPTHA offshore results, the computational cost can be reduced by considering for inundation calculations only a subset of `important' scenarios. We here use a method based on an event tree for the treatment of the seismic source aleatory variability; a cluster analysis on the offshore results to define the important sources; epistemic uncertainty treatment through an ensemble modeling approach. We consider two target sites in the Mediterranean (Milazzo, Italy, and Thessaloniki, Greece) where coastal (non nuclear) critical infrastructures (CIs) are located. After performing a regional SPTHA covering the whole Mediterranean, for each target site, few hundreds of representative scenarios are filtered out of all the potential seismic sources and the tsunami inundation is explicitly modeled, obtaining a site-specific SPTHA, with a complete characterization of the tsunami hazard in terms of flow depth and velocity time histories. Moreover, we also explore the variability of SPTHA at the target site accounting for coseismic deformation (i.e. uplift or subsidence) due to near field sources located in very shallow water. The results are suitable and will be applied for subsequent multi-hazard risk analysis for the CIs. These applications have been developed in the framework of the Italian Flagship Project RITMARE, EC FP7 ASTARTE (Grant agreement 603839) and STREST (Grant agreement 603389) projects, and of the INGV-DPC Agreement.
Scientific results of the Second Gas Hydrate Drilling Expedition in the Ulleung Basin (UBGH2)
Ryu, Byong-Jae; Collett, Timothy S.; Riedel, Michael; Kim, Gil-Young; Chun, Jong-Hwa; Bahk, Jang-Jun; Lee, Joo Yong; Kim, Ji-Hoon; Yoo, Dong-Geun
2013-01-01
As a part of Korean National Gas Hydrate Program, the Second Ulleung Basin Gas Hydrate Drilling Expedition (UBGH2) was conducted from 9 July to 30 September, 2010 in the Ulleung Basin, East Sea, offshore Korea using the D/V Fugro Synergy. The UBGH2 was performed to understand the distribution of gas hydrates as required for a resource assessment and to find potential candidate sites suitable for a future offshore production test, especially targeting gas hydrate-bearing sand bodies in the basin. The UBGH2 sites were distributed across most of the basin and were selected to target mainly sand-rich turbidite deposits. The 84-day long expedition consisted of two phases. The first phase included logging-while-drilling/measurements-while-drilling (LWD/MWD) operations at 13 sites. During the second phase, sediment cores were collected from 18 holes at 10 of the 13 LWD/MWD sites. Wireline logging (WL) and vertical seismic profile (VSP) data were also acquired after coring operations at two of these 10 sites. In addition, seafloor visual observation, methane sensing, as well as push-coring and sampling using a Remotely Operated Vehicle (ROV) were conducted during both phases of the expedition. Recovered gas hydrates occurred either as pore-filling medium associated with discrete turbidite sand layers, or as fracture-filling veins and nodules in muddy sediments. Gas analyses indicated that the methane within the sampled gas hydrates is primarily of biogenic origin. This paper provides a summary of the operational and scientific results of the UBGH2 expedition as described in 24 papers that make up this special issue of the Journal of Marine and Petroleum Geology.
NASA Astrophysics Data System (ADS)
Wilcock, W. S. D.; Schmidt, D. A.; Vidale, J. E.; Harrington, M.; Bodin, P.; Cram, G.; Delaney, J. R.; Gonzalez, F. I.; Kelley, D. S.; LeVeque, R. J.; Manalang, D.; McGuire, C.; Roland, E. C.; Tilley, J.; Vogl, C. J.; Stoermer, M.
2016-12-01
The Cascadia subduction zone hosts catastrophic earthquakes every few hundred years. On land, there are extensive geophysical networks available to monitor the subduction zone, but since the locked portion of the plate boundary lies mostly offshore, these networks are ideally complemented by seafloor observations. Such considerations helped motivate the development of scientific cabled observatories that cross the subduction zone at two sites off Vancouver Island and one off central Oregon, but these have a limited spatial footprint along the strike of the subduction zone. The Pacific Northwest Seismic Network is leading a collaborative effort to implement an earthquake early warning system in the Washington and Oregon using data streams from land networks as well as the few existing offshore instruments. For subduction zone earthquakes that initiate offshore, this system will provide a warning. However, the availability of real time offshore instrumentation along the entire subduction zone would improve its reliability and accuracy, add up to 15 s to the warning time, and ensure an early warning for coastal communities near the epicenter. Furthermore, real-time networks of seafloor pressure sensors above the subduction zone would enable monitoring and contribute to accurate predictions of the incoming tsunami. There is also strong scientific motivation for offshore monitoring. We lack a complete knowledge of the plate convergence rate and direction. Measurements of steady deformation and observations of transient processes such as fluid pulsing, microseismic cycles, tremor and slow-slip are necessary for assessing the dimensions of the locked zone and its along-strike segmentation. Long-term monitoring will also provide baseline observations that can be used to detect and evaluate changes in the subduction environment. There are significant engineering challenges to be solved to ensure the system is sufficiently reliable and maintainable. It must provide continuous monitoring over its operational life in the harsh ocean environment and at least parts of the system must continue to operate following a megathrust event. These requirements for robustness must be balanced with the desire for a flexible design that can accommodate new scientific instrumentation over the life of the project.
NASA Astrophysics Data System (ADS)
Zhao, Bin; Yao, Peng; Bianchi, Thomas S.; Xu, Yahong; Liu, Hui; Mi, Tiezhu; Zhang, Xiao-Hua; Liu, Jiwen; Yu, Zhigang
2017-08-01
Large-river delta-front estuaries (LDEs) and their adjacent shelf margins are sites of dynamic diagenetic processes that play a significant role in coastal biogeochemical cycling. In this study, we used dissolved inorganic carbon (DIC), redox sensitive elements (Fe2 + and Mn2 +), dissolved inorganic nitrogen (DIN) nutrients (NH4+, NO3-, and NO2-), major cations and anions (K+, Ca2 +, Mg2 +, SO42 -, and Cl-) in bottom-water and sediment pore-waters, to investigate the early chemical diagenesis and authigenic mineral formation in mobile-mud deposits of the Changjiang Estuary and adjacent inner shelf of the East China Sea (ECS). Vertical profiles of DIC and NH4+ in pore-waters had similar trends at most sites, showing a significant increase with depth near the Changjiang Estuary and being relatively constant at offshore sites. Higher pore-water DIC and NH4+ concentrations were observed in nearshore sites in winter, which were likely attributed to exposure of deeper deposits by winter coastal erosion. Nitrification was observed at most sites, and AOB (ammonia-oxidizing bacteria) played a leading role in ammonia oxidation in the study areas. The nitrification-denitrification was likely important in contributing to the loss of DIN in offshore sites during summer. Large inputs of organic carbon (OC) and terrestrial materials from Changjiang River resulted in intense sulfate reduction and Fe and Mn reduction in nearshore sites. Lower C/N and C/S ratios coupled with an apparent decrease in pore-water Ca2 + and Mg2+ concentrations with depth near the Changjiang Estuary, which indicated that authigenic carbonate formation occurs in these sediments. Decreases in K+ and Mg2 + with depth reflected that reverse weathering was an important process of authigenic mineral formation in these sediments. We conclude that adsorption process, seasonal erosion-redeposition, and summer hypoxic conditions of bottom-waters may play an important role in early diagenesis processes and remineralization of SOC in the Changjiang LDE.
NASA Astrophysics Data System (ADS)
Li, C. Y. R.; Parker, O.; Tzortziou, M.
2017-12-01
Our research sought to use ground-based and satellite products to study the spatiotemporal variability of NO2 and O3 in urban and coastal South Korea. Our data set was derived from direct-sun irradiance measurements of TCNO2 and TCO3 using Pandora spectrometers located at 8 ground sites and 1 boat-mounted sensor, as well as satellite observations from the Ozone Monitoring Instrument (OMI) on the Aura satellite. Our analysis focuses on the dates of the KORUSA campaign, which took place between May 18, 2016 through June 2, 2016, and provided our off-shore measurements. The Pandora instrument offered us continuous coverage of the local area, providing a detailed understanding of NO2 and O3 temporal variability. Ground stations allowed us to compare small-scale diurnal variability in urban and near-urban environments, while the Pandora mounted on the Onnuri research vessel permitted us to gain valuable insight into off-shore behavior of trace gases. By overlaying and comparing these measurements with TCO3/TCNO2 products from the Aura-OMI sensor, we were able to form a relatively complete picture of trace gas behavior above, and off-shore from, the Korean Peninsula. Our data was then subjected to statistical and GIS (Geographic Information System) analysis, quantifying and mapping (respectively) the spatial and temporal variability of total column amounts of NO2 and O3 along the Korean Peninsula. Results are shown for the eight sites where different Pandora instruments were used. There was a notable difference in TCNO2 variability which correlates with population and land use.
1983-07-01
occurred within 40 miles of’ the site. Most of these earthquakes appear to be related to activity on the Elsinore, Agua Caliente, and offshore faults. The...device would be required by the Sweetwater Authority to prevent contamination of potable water lines. TELEGRAPH CANYON CREEK - - Recommended Plant List A
A first application of marine-controlled source method on gas-hydrate study off SW Taiwan
NASA Astrophysics Data System (ADS)
Chiang, C.; Hsu, S.; Chen, C.; Evans, R. L.
2011-12-01
Bottom simulating reflector (BSR), high methane flux, shallow sulfide/methane interface, fluid gushed from the seafloor, self-carbonate within sediment, methane reef, and self-biome are widely distributed in the offshore of the southwestern Taiwan. These geophysical and geochemistry signatures imply a high gas hydrate reservoir area. However, the upper bound of the gas hydrate and shallow section of the sediment are still unclear. This study shows the results of our first marine controlled-source electromagnetic survey in 2010 and provides the information of shallow sediment around the offshore of southwestern Taiwan. Three target areas were conducted: the southeast of Small Ryukyu Islands (seepage, G96), west of Yung-An Ridge (YAR) and northwest of Good Weather Ridge (GWR). In total, fourteen survey lines have been carried out, and the total survey length is about 72 km. Our preliminary result shows that the resistivity/porosity anomalies within pockmarks and seepages correspond to the features from the sub-bottom profilers. The range of porosity change is 4 % in G96 and YAR sites, while in the GWR site there is up to 8 % of porosity change and implies a high gas hydrate potential area.
Seasonal Patterns in Eastern Equine Encephalitis Virus Antibody in Songbirds in Southern Maine.
Elias, Susan P; Keenan, Patrick; Kenney, Joan L; Morris, Sara R; Covino, Kristen M; Robinson, Sara; Foss, Kimberly A; Rand, Peter W; Lubelczyk, Charles; Lacombe, Eleanor H; Mutebi, John-Paul; Evers, David; Smith, Robert P
2017-05-01
The intent of this study was to assess passerine eastern equine encephalitis virus (EEEv) seroprevalence during the breeding season in southern Maine by testing songbird species identified in the literature as amplifying hosts of this virus. In 2013 and 2014, we collected serum samples from songbirds at a mainland site and an offshore island migratory stopover site, and screened samples for EEEv antibodies using plaque reduction neutralization tests. We compared seasonal changes in EEEv antibody seroprevalence in young (hatched in year of capture) and adult birds at the mainland site, and also compared early season seroprevalence in mainland versus offshore adult birds. EEEv seroprevalence did not differ significantly between years at either site. During the early season (May), EEEv antibody seroprevalence was substantially lower (9.6%) in the island migrant adults than in mainland adults (42.9%), 2013-2014. On the mainland, EEEv antibody seroprevalence in young birds increased from 12.9% in midseason (June-August) to 45.6% in late season (September/October), 2013-2014. Seroprevalence in adult birds did not differ between seasons (48.8% vs. 53.3%). EEEv activity in Maine has increased in the past decade as measured by increased virus detection in mosquitoes and veterinary cases. High EEEv seroprevalence in young birds-as compared to that of young birds in other studies-corresponded with two consecutive active EEEv years in Maine. We suggest that young, locally hatched songbirds be sampled as a part of long-term EEEv surveillance, and provide a list of suggested species to sample, including EEEv "superspreaders."
STS-32 Earth observation of the western Coral Sea and the Great Barrier Reef
1990-01-20
STS032-520-014 (9-20 Jan. 1990) --- STS-32 astronauts took this 70mm scene showing phytoplankton oralgal bloom in the northwest Coral Sea. The Western Coral Sea and the Great Barrier Reef waters offshore Queensland, Australia are the sites of some of the larger concentrations or "blooms" of phytoplankton and algae in the open ocean. In the instance illustrated here, the leading edge of a probable concentration of algae or phytoplankton is seen as a light irregular line and sheen between the offshore Great Barrier Reef and the Queensland coast. Previous phytoplankton concentrations in this area have been reported by ships at sea as having formed floating mats as thick as two meters. This picture was used by the STS-32 astronauts at their Jan. 30, 1990 post-flight press conference.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Daley, C.; Johnson, R.G.; Thomson, J.C.
1981-07-01
The usefulness of Seasat-A SASS and altimeter measurements is reviewed. Five oceanic areas were selected: the Gulf of Alaska, central and western north Atlantic, eastern north Pacific, southern Indian Ocean, and the North Sea. Both Seasat-aided and conventional analyses were used in offshore hindcast and optimum ship routing situations. Where conventional observations are relatively dense, Seasat wind and wave data have greater impact in determining the shape of major map features than in positioning the features. In data sparse areas, Seasat data permit greater definition of surface features as well as their precise location. The use of Seasat data inmore » optimum ship routing is quantified by means of comparative studies in the Gulf of Alaska.« less
Observation of high-resolution wind fields and offshore wind turbine wakes using TerraSAR-X imagery
NASA Astrophysics Data System (ADS)
Gies, Tobias; Jacobsen, Sven; Lehner, Susanne; Pleskachevsky, Andrey
2014-05-01
1. Introduction Numerous large-scale offshore wind farms have been built in European waters and play an important role in providing renewable energy. Therefore, knowledge of behavior of wakes, induced by large wind turbines and their impact on wind power output is important. The spatial variation of offshore wind turbine wake is very complex, depending on wind speed, wind direction, ambient atmospheric turbulence and atmospheric stability. In this study we demonstrate the application of X-band TerraSAR-X (TS-X) data with high spatial resolution for studies on wind turbine wakes in the near and far field of the offshore wind farm Alpha Ventus, located in the North Sea. Two cases which different weather conditions and different wake pattern as observed in the TS-X image are presented. 2. Methods The space-borne synthetic aperture radar (SAR) is a unique sensor that provides two-dimensional information on the ocean surface. Due to their high resolution, daylight and weather independency and global coverage, SARs are particularly suitable for many ocean and coastal applications. SAR images reveal wind variations on small scales and thus represent a valuable means in detailed wind-field analysis. The general principle of imaging turbine wakes is that the reduced wind speed downstream of offshore wind farms modulates the sea surface roughness, which in turn changes the Normalized Radar Cross Section (NRCS, denoted by σ0) in the SAR image and makes the wake visible. In this study we present two cases at the offshore wind farm Alpha Ventus to investigate turbine-induced wakes and the retrieved sea surface wind field. Using the wind streaks, visible in the TS-X image and the shadow behind the offshore wind farm, induced by turbine wake, the sea surface wind direction is derived and subsequently the sea surface wind speed is calculated using the latest generation of wind field algorithm XMOD2. 3. Case study alpha ventus Alpha Ventus is located approximately 45 km from the coast of Borkum, Germany, and consists of twelve 5-Megawatt wind power turbines. The retrieved results are validated by comparing with QuikSCAT measurements, the results of the German Weather Service (DWD) atmospheric model and in-situ measurements of wind speed and wind direction, obtained from the research platform FiNO1, installed 400 m west of Alpha Ventus. 4. Conclusion In the presented case study we quantify the wake characteristics of wake length, wake width, maximum velocity de?cit, wake merging and wake meandering. We show that SAR has the capability to map the sea surface two-dimensionally in high spatial resolution which provides a unique opportunity to observe spatial characteristics of offshore wind turbine wakes. The SAR derived information can support offshore wind farming with respect to optimal siting and design and help to estimate their effects on the environment.
Merchant, Nathan D; Pirotta, Enrico; Barton, Tim R; Thompson, Paul M
2016-01-01
We review recent work that developed new techniques for underwater noise assessment that integrate acoustic monitoring with automatic identification system (AIS) shipping data and time-lapse video, meteorological, and tidal data. Two sites were studied within the Moray Firth Special Area of Conservation (SAC) for bottlenose dolphins, where increased shipping traffic is expected from construction of offshore wind farms outside the SAC. Noise exposure varied markedly between the sites, and natural and anthropogenic contributions were characterized using multiple data sources. At one site, AIS-operating vessels accounted for total cumulative sound exposure (0.1-10 kHz), suggesting that noise modeling using the AIS would be feasible.
NASA Astrophysics Data System (ADS)
O'Dea, A.; Haller, M. C.
2013-12-01
As concerns over the use of fossil fuels increase, more and more effort is being put into the search for renewable and reliable sources of energy. Developments in ocean technologies have made the extraction of wave energy a promising alternative. Commercial exploitation of wave energy would require the deployment of arrays of Wave Energy Converters (WECs) that include several to hundreds of individual devices. Interactions between WECs and ocean waves result in both near-field and far-field changes in the incident wave field, including a significant decrease in wave height and a redirection of waves in the lee of the array, referred to as the wave shadow. Nearshore wave height and direction are directly related to the wave radiation stresses that drive longshore currents, rip currents and nearshore sediment transport, which suggests that significant far-field changes in the wave field due to WEC arrays could have an impact on littoral processes. The goal of this study is to investigate the changes in nearshore wave conditions and radiation stress forcing as a result of an offshore array of point-absorber type WECs using a nested SWAN model, and to determine how array size, configuration, spacing and distance from shore influence these changes. The two sites of interest are the Northwest National Marine Renewable Energy Center (NNMREC) test sites off the coast of Newport Oregon, the North Energy Test Site (NETS) and the South Energy Test Site (SETS). NETS and SETS are permitted wave energy test sites located approximately 4 km and 10 km offshore, respectively. Twenty array configurations are simulated, including 5, 10, 25, 50 and 100 devices in two and three staggered rows in both closely spaced (three times the WEC diameter) and widely spaced (ten times the WEC diameter) arrays. Daily offshore wave spectra are obtained from a regional WAVEWATCH III hindcast for 2011, which are then propagated across the continental shelf using SWAN. Arrays are represented in SWAN through the external modification of the wave spectra at the device locations, based on a new experimentally determined Power Transfer Function established in an earlier WEC-array laboratory study. Changes in nearshore forcing conditions for each array size and configuration are compared in order to determine the scale of the far-field effects of WEC arrays and which array sizes and configurations could have the most significant impacts on coastal processes.
NASA Astrophysics Data System (ADS)
Worthington, L. L.; Gulick, S. P.; Ridgway, K. R.; Jaeger, J. M.; Cowan, E. A.; Slagle, A. L.; Forwick, M.
2013-12-01
The offshore St. Elias fold-thrust belt records the complex interaction between collisional tectonics and glacial climate variability, providing insight for models of orogenesis and the evolution of glacial depocenters. Ongoing collision of the Yakutat (YAK) microplate with North America (NA) has driven orogenesis of the St. Elias Mountains and the advance of the offshore deformation front to the southeast. Glacial erosion and deposition have provided sediment that constructed the upper continental shelf, much of which has been reincorporated into the orogenic wedge through offshore faulting and folding. We integrate core and downhole logging data from IODP Expedition 341 (Sites U1420 and U1421) drilled on the Yakutat shelf and slope with high-resolution and regional seismic profiles to investigate the coupled structural and stratigraphic evolution of the St. Elias margin. Site U1420 lies on the Yakutat shelf within the Bering Trough, a shelf-crossing trough that is within primary depocenter for Bering Glacier sediments. The sub-seafloor architecture of the Bering Trough region is defined by a regional unconformity that marks the first glacial advance to the shelf edge. Below the unconformity, the shelf is constructed by multiple aggradational packages that are likely a series of pro-glacial outer shelf/slope fans. Two faults underlie the glacial packages and have been rendered inactive as the depositional environment has evolved, while faulting elsewhere on the shelf has initiated. Site U1421 lies on the current continental slope, within the backlimb of an active thrust that forms part of the modern YAK-NA deformation front. At each of these sites, we recovered glacigenic diamict (at depths up to ~1015 m at Site U1420), all of which is younger than 0.781 Ma. Preliminary age models for the Bering Trough region indicate that the entire outer shelf and shelf edge environment have been built since the Mid-Pleistocene Transition (MPT), and is possibly even younger. In stark contrast to previous interpretations, the shelf environment, in addition to the proximal deep-sea fan system, appears to be a primary glacial depocenter since the MPT, with an average accumulation rate >1.3 mm/yr. Additionally, initiation of active deformation away from the Bering Trough depocenter likely occurred since ~1 Ma. These observations suggest that possible tectonic reorganization due to mass redistribution by glacial processes occurs at time scales on the order of 100kyr-1Myr. It follows that the St. Elias orogenic system may be more sensitive to glacial-interglacial cycles than previously recognized.
LeBlanc, Lawrence A.; Schroeder, Roy A.; Orlando, James L.; Kuivila, Kathyrn M.
2004-01-01
A study of pesticide distribution and transport within the Salton Sea Basin, California, was conducted from September 2001 to October 2002. Sampling for the study was done along transects for the three major rivers that flow into the Salton Sea Basin: the New and Alamo Rivers at the southern end of the basin and the Whitewater River at the northern end. Three stations were established on each river: an outlet station approximately 1 mile upstream of the river discharge, a near-shore station in the river delta, and off-shore station in the Salton Sea. Water and suspended and bed sediments were collected at each station in October 2001, March-April 2002, and September 2002, coinciding with peak pesticide applications in the fall and spring. Fourteen current-use pesticides were detected in the water column. Concentrations of dissolved pesticides typically decreased from the outlets to the sea in all three rivers, consistent with the off-shore transport of pesticides from the rivers to the sea. Dissolved concentrations ranged from the limits of detection to 151 nanograms per liter (ng/L); however, diazinon, eptam (EPTC), and malathion were detected at much higher concentrations (940?3,830 ng/L) at the New and Alamo River outlet and near-shore stations. Concentrations of carbaryl, dacthal, diazinon, and eptam were higher during the two fall sampling periods, whereas concentrations of atrazine, carbofuran, and trifluralin were higher during the spring. Current-use pesticides also were detected on suspended and bed sediments in concentrations ranging from method detection limits to 106 ng/g (nanograms per gram). Chlorpyrifos, dacthal, eptam, trifluralin, and DDE were the most frequently detected pesticides on sediments from all three rivers. The number and concentrations of pesticides associated with suspended sediments frequently were similar for the river outlet and near-shore sites, consistent with the downstream transport of sediment-associated pesticides out of the rivers. Seasonal trends in pesticide concentration were similar to those for dissolved concentrations in fall 2001 and spring 2002, but not in fall 2002. Generally, the pesticides detected in the suspended sediments were the same pesticides detected in the bed sediments, and concentrations were similar, especially at the Alamo River outlet site in spring 2002 and fall 2002. Pesticides generally were not detected in sediments from the off-shore sites; however, the samples from these sites also had greater incidences of matrix interference during analysis. Sediment-associated pesticide concentrations were above equilibrium in water, suggesting a bound fraction of sediment-associated pesticides that are resistant to desorption. Concentrations of trace elements and other inorganic constituents in suspended sediments collected during the fall 2001 followed expected trends with dilution of river-derived minerals owing to highly organic autochthonous production within the Salton Sea Basin. However, calculation of enrichment ratios provided evidence for the bioconcentration of several trace elements, notably selenium in the off-shore biota.
Bird interactions with offshore oil and gas platforms: review of impacts and monitoring techniques.
Ronconi, Robert A; Allard, Karel A; Taylor, Philip D
2015-01-01
Thousands of oil and gas platforms are currently operating in offshore waters globally, and this industry is expected to expand in coming decades. Although the potential environmental impacts of offshore oil and gas activities are widely recognized, there is limited understanding of their impacts on migratory and resident birds. A literature review identified 24 studies and reports of bird-platform interactions, most being qualitative and half having been peer-reviewed. The most frequently observed effect, for seabirds and landbirds, is attraction and sometimes collisions associated with lights and flares; episodic events have caused the deaths of hundreds or even thousands of birds. Though typically unpredictable, anecdotally, it is known that poor weather, such as fog, precipitation and low cloud cover, can exacerbate the effect of nocturnal attraction to lights, especially when coincidental with bird migrations. Other effects include provision of foraging and roosting opportunities, increased exposure to oil and hazardous environments, increased exposure to predators, or repulsion from feeding sites. Current approaches to monitoring birds at offshore platforms have focused on observer-based methods which can offer species-level bird identification, quantify seasonal patterns of relative abundance and distribution, and document avian mortality events and underlying factors. Observer-based monitoring is time-intensive, limited in spatial and temporal coverage, and suffers without clear protocols and when not conducted by trained, independent observers. These difficulties are exacerbated because deleterious bird-platform interaction is episodic and likely requires the coincidence of multiple factors (e.g., darkness, cloud, fog, rain conditions, occurrence of birds in vicinity). Collectively, these considerations suggest a need to implement supplemental systems for monitoring bird activities around offshore platforms. Instrument-based approaches, such as radar, cameras, acoustic recordings, and telemetry, hold promise for continuous monitoring. Recommendations are provided for a rigorous and comprehensive monitoring approach within an adaptive management framework. Copyright © 2014 Elsevier Ltd. All rights reserved.
An improved global wind resource estimate for integrated assessment models
Eurek, Kelly; Sullivan, Patrick; Gleason, Michael; ...
2017-11-25
This study summarizes initial steps to improving the robustness and accuracy of global renewable resource and techno-economic assessments for use in integrated assessment models. We outline a method to construct country-level wind resource supply curves, delineated by resource quality and other parameters. Using mesoscale reanalysis data, we generate estimates for wind quality, both terrestrial and offshore, across the globe. Because not all land or water area is suitable for development, appropriate database layers provide exclusions to reduce the total resource to its technical potential. We expand upon estimates from related studies by: using a globally consistent data source of uniquelymore » detailed wind speed characterizations; assuming a non-constant coefficient of performance for adjusting power curves for altitude; categorizing the distance from resource sites to the electric power grid; and characterizing offshore exclusions on the basis of sea ice concentrations. The product, then, is technical potential by country, classified by resource quality as determined by net capacity factor. Additional classifications dimensions are available, including distance to transmission networks for terrestrial wind and distance to shore and water depth for offshore. We estimate the total global wind generation potential of 560 PWh for terrestrial wind with 90% of resource classified as low-to-mid quality, and 315 PWh for offshore wind with 67% classified as mid-to-high quality. These estimates are based on 3.5 MW composite wind turbines with 90 m hub heights, 0.95 availability, 90% array efficiency, and 5 MW/km 2 deployment density in non-excluded areas. We compare the underlying technical assumption and results with other global assessments.« less
An improved global wind resource estimate for integrated assessment models
DOE Office of Scientific and Technical Information (OSTI.GOV)
Eurek, Kelly; Sullivan, Patrick; Gleason, Michael
This study summarizes initial steps to improving the robustness and accuracy of global renewable resource and techno-economic assessments for use in integrated assessment models. We outline a method to construct country-level wind resource supply curves, delineated by resource quality and other parameters. Using mesoscale reanalysis data, we generate estimates for wind quality, both terrestrial and offshore, across the globe. Because not all land or water area is suitable for development, appropriate database layers provide exclusions to reduce the total resource to its technical potential. We expand upon estimates from related studies by: using a globally consistent data source of uniquelymore » detailed wind speed characterizations; assuming a non-constant coefficient of performance for adjusting power curves for altitude; categorizing the distance from resource sites to the electric power grid; and characterizing offshore exclusions on the basis of sea ice concentrations. The product, then, is technical potential by country, classified by resource quality as determined by net capacity factor. Additional classifications dimensions are available, including distance to transmission networks for terrestrial wind and distance to shore and water depth for offshore. We estimate the total global wind generation potential of 560 PWh for terrestrial wind with 90% of resource classified as low-to-mid quality, and 315 PWh for offshore wind with 67% classified as mid-to-high quality. These estimates are based on 3.5 MW composite wind turbines with 90 m hub heights, 0.95 availability, 90% array efficiency, and 5 MW/km 2 deployment density in non-excluded areas. We compare the underlying technical assumption and results with other global assessments.« less
Defying geometric similarity: Shape centralization in male UK offshore workers.
Stewart, Arthur D; Ledingham, Robert J; Furnace, Graham; Williams, Hector; Nevill, Alan M
2017-05-06
Applying geometric similarity predictions of body dimensions to specific occupational groups has the potential to reveal useful ergonomic and health implications. This study assessed a representative sample of the male UK offshore workforce, and examined how body dimensions from sites typifying musculoskeletal development or fat accumulation, differed from predicted values. A cross sectional sample was obtained across seven weight categories using quota sampling, to match the wider workforce. In total, 588 UK offshore workers, 84 from each of seven weight categories, were measured for stature, mass and underwent 3D body scans which yielded 22 dimensional measurements. Each measurement was modeled using a body-mass power law (adjusting for age), to derive its exponent, which was compared against that predicted from geometric similarity. Mass scaled to stature 1.73 (CI: 1.44-2.02). Arm and leg volume increased by mass 0.8 , and torso volume increased by mass 1.1 in contrast to mass 1.0 predicted by geometric similarity. Neck girth increased by mass 0.33 as expected, while torso girth and depth dimensions increased by mass 0.53-0.72 , all substantially greater than assumed by geometric similarity. After controlling for age, offshore workers experience spectacular "super-centralization" of body shape, with greatest gains in abdominal depth and girth dimensions in areas of fat accumulation, and relative dimensional loss in limbs. These findings are consistent with the antecedents of sarcopenic obesity, and should be flagged as a health concern for this workforce, and for future targeted research and lifestyle interventions. © 2016 Wiley Periodicals, Inc.
National Offshore Wind Energy Grid Interconnection Study
DOE Office of Scientific and Technical Information (OSTI.GOV)
Daniel, John P.; Liu, Shu; Ibanez, Eduardo
2014-07-30
The National Offshore Wind Energy Grid Interconnection Study (NOWEGIS) considers the availability and potential impacts of interconnecting large amounts of offshore wind energy into the transmission system of the lower 48 contiguous United States. A total of 54GW of offshore wind was assumed to be the target for the analyses conducted. A variety of issues are considered including: the anticipated staging of offshore wind; the offshore wind resource availability; offshore wind energy power production profiles; offshore wind variability; present and potential technologies for collection and delivery of offshore wind energy to the onshore grid; potential impacts to existing utility systemsmore » most likely to receive large amounts of offshore wind; and regulatory influences on offshore wind development. The technologies considered the reliability of various high-voltage ac (HVAC) and high-voltage dc (HVDC) technology options and configurations. The utility system impacts of GW-scale integration of offshore wind are considered from an operational steady-state perspective and from a regional and national production cost perspective.« less
NASA Astrophysics Data System (ADS)
García-Hermosa, Isabel; Abcha, Nizar; Brossard, Jérôme; Bennis, Anne-Claire; Ezersky, Alexander; Gross, Marcus; Iglesias, Gregorio; Magar, Vanesa; Miles, Jon; Mouazé, Dominique; Perret, Gaële; Pinon, Grégory; Rivier, Aurélie; Rogan, Charlie; Simmonds, David
2015-04-01
Offshore wind technology is currently the most widespread and advanced source of marine renewable energy. Offshore wind farms populate waters through the North Sea and the English Channel. The UK and French governments devised deadlines to achieve percentages of electricity from renewable sources by 2020, these deadlines and the direct translation of land based wind farm technology to the offshore environment resulted in the rapid expansion of the offshore wind energy. New wind farms have been designed with a larger number of masts and are moving from shallow offshore banks to deeper waters and in order to produce more power the diameters of monopoles masts are becoming larger to support larger turbines. The three-partner EU INTERREG funded project OFELIA (http://www.interreg-ofelia.eu/) aims to establish a cross-channel (between the UK and France) research collaboration to improve understanding of the environmental impacts of offshore wind farm foundations. The objective of the present study is to characterise changes in the hydrodynamics and sea bed in the vicinity of an offshore wind farm mast and in the wake area under wave and wave-current conditions corresponding to events in the French wind farm site of Courseulles-sur-mer (offshore of Lower Normandy, in the English Channel). Experiments were carried out in two laboratory facilities: a wave flume of 35 m long, 0.9 m wide and 1.2 m in depth with regular and irregular waves (García-Hermosa et al., 2014); and a wave and current flume of 17 m long, 0.5 m wide and 0.4 m depth with regular waves, currents from 180° to the waves and a mobile bed (Gunnoo et al., 2014). Flow velocity measurements were taken with an Acoustic Dopple Velocimeter (ADV) at various points around the cylinder and Particle Image Velocitmetry (PIV) techniques were applied to larger areas upstream and downstream of the cylinder. During the assessment of waves and currents' effects on the bed evolution were assessed using a laser and camera system photographing the bed (Marin & Ezersky, 2007, and Jarno-Druaux et al., 2004). Velocity fields, and flow structures around the cylinder at low KC numbers (KC~1) were characterised and parameters such as vorticity, turbulent kinetic energy and bed shear stresses derived where possible. During the experiments vortex structures with a horizontal axis were observed in the vicinity of the cylinder and the bed even at low KC. The Keulegan-Carpenter number (KC) is defined as: KC = UmT- D, where Um is the bottom orbital velocity, T the peak period and D the pile diameter. As part of the project, the findings from the experiments fed into a regional numerical modelling (Rivier et al., 2014) to improve parametrisation of the representation of the within-cell processes (local to the mast). References García-Hermosa, M. I., Brossard, J., Cohen, Z., Perret, G. (2014). Experimental characterisation of wave induced flow fields due to an offshore wind farm mast. First International Conference on Renewable Energies Offshore (RENEW) Lisbon, Portugal. November 2014. Gunnoo, H., Abcha, N., Mouazé, D., Ezersky, A., García-Hermosa, M. I. (2014). Laboratory simulation of resonance amplification of the hydrodynamic fields in the vicinity of wind farm masts. Proceedings of the First International Conference on Renewable Energies Offshore (RENEW) Lisbon, Portugal. November 2014. Jarno-Druaux, A., Brossard, J., Marin, F. (2004). Dynamical evolution of ripples in a wave channel, European Journal of Mechanics B/Fluids 23: 695-708. Marin, F. and Ezersky, A. B. (2007). Formation dynamics of sand bedforms under solitons and bound states of solitons in a wave flume used in resonant mode. European Journal of Mechanics - B/Fluids, Elsevier, 2008, 27 (3), pp.251-267. Rivier, A., Bennis, A.-C., Pinon, G., Gross, M., Magar, V. (2014). Regional numerical modelling of offshore monopile wind turbine impacts on hydrodynamics and sediment transport. Proceeding of the 1st International Conference on Renewable Energies Offshore (RENEW) Lisbon, Portugal. November 2014.
NASA Astrophysics Data System (ADS)
Thiesen, J.; Gulstad, L.; Ristic, I.; Maric, T.
2010-09-01
Summit: The wind power predictability is often a forgotten decision and planning factor for most major wind parks, both onshore and offshore. The results of the predictability are presented after having examined a number of European offshore and offshore parks power predictability by using three(3) mesoscale model IRIE_GFS and IRIE_EC and WRF. Full description: It is well known that the potential wind production is changing with latitude and complexity in terrain, but how big are the changes in the predictability and the economic impacts on a project? The concept of meteorological predictability has hitherto to some degree been neglected as a risk factor in the design, construction and operation of wind power plants. Wind power plants are generally built in places where the wind resources are high, but these are often also sites where the predictability of the wind and other weather parameters is comparatively low. This presentation addresses the question of whether higher predictability can outweigh lower average wind speeds with regard to the overall economy of a wind power project. Low predictability also tends to reduce the value of the energy produced. If it is difficult to forecast the wind on a site, it will also be difficult to predict the power production. This, in turn, leads to increased balance costs and a less reduced carbon emission from the renewable source. By investigating the output from three(3) mesoscale models IRIE and WRF, using ECMWF and GFS as boundary data over a forecasting period of 3 months for 25 offshore and onshore wind parks in Europe, the predictability are mapped. Three operational mesoscale models with two different boundary data have been chosen in order to eliminate the uncertainty with one mesoscale model. All mesoscale models are running in a 10 km horizontal resolution. The model output are converted into "day a head" wind turbine generation forecasts by using a well proven advanced physical wind power model. The power models are using a number of weather parameters like wind speed in different heights, friction velocity and DTHV. The 25 wind sites are scattered around in Europe and contains 4 offshore parks and 21 onshore parks in various terrain complexity. The "day a head" forecasts are compared with production data and predictability for the period February 2010-April 2010 are given in Mean Absolute Errors (MAE) and Root Mean Squared Errors (RMSE). The power predictability results are mapped for each turbine giving a clear picture of the predictability in Europe. . Finally a economic analysis are shown for each wind parks in different regimes of predictability will be compared with regard to the balance costs that result from errors in the wind power prediction. Analysis shows that it may very well be profitable to place wind parks in regions of lower, but more predictable wind ressource. Authors: Ivan Ristic, CTO Weather2Umberlla D.O.O Tomislav Maric, Meteorologist at Global Flow Solutions Vestas Wind Technology R&D Line Gulstad, Manager Global Flow Solutions Vestas Wind Technology R&D Jesper Thiesen, CEO ConWx ApS
Thomas, David G.
1976-01-01
The subject invention is directed to a floating platform for supporting nuclear reactors and the like at selected offshore sites. The platform is provided with a stabilizer mechanism which significantly reduces the effects of wave action upon the platform and which comprises a pair of relatively small floats attached by rigid booms to the platform at locations spaced therefrom for reducing wave pitch, acceleration, and the resonance period of the wave.
NASA Astrophysics Data System (ADS)
Ruggieri, Nicoletta; Kaiser, Jérôme; Arz, Helge W.; Hefter, Jens; Siegel, Herbert; Mollenhauer, Gesine; Lamy, Frank
2014-05-01
A series of molecular organic markers were determined in surface sediments from the Gulf of Genoa (Ligurian Sea) in order to evaluate their potential for palaeo-environmental reconstructions. The interest for the Gulf of Genoa lies in its contrasting coastal and central areas in terms of terrestrial input, oligotrophy, primary production and surface temperature gradient. Moreover, the Gulf of Genoa contains a large potential for climate reconstruction as it is one of the four major Mediterranean centres for cyclogenesis and the ultra high sedimentation rates on the shelf make this area suitable for high resolution environmental reconstruction. Initial results from sediment cores in the coastal area indeed reveal the potential for Holocene environmental reconstruction on up to decadal timescales (see Poster "Reconstruction of late Holocene flooding events in the Gulf of Genoa, Ligurian Sea" by Lamy et al.). During R/V Poseidon cruise P413 (May 2011), ca. 60 sediment cores were taken along the Ligurian shelf, continental slope, and in the basin between off Livorno and the French border. Results based on surface sediments suggest that some biomarker-based proxies are well-suited to reconstruct sea surface temperature (SST), the input of terrestrial organic material (TOM), and marine primary productivity (PP). The estimated UK'37 SST reflects very closely the autumnal mean satellite-based SST distribution, while TEXH86 SSTs correspond to summer SST at offshore sites and to winter SST for the nearshore sites. Using both SST proxies together may thus allow reconstructing past seasonality changes. Proxies for TOM input (terrestrial n-alkane and n-alkanol concentrations, BIT index) have higher values close to the major river mouths and decrease offshore suggesting that these may be used as proxy for the variability in TOM input by runoff. Interestingly, high n-alkane average chain length in the most offshore sites may result from aeolian input from northern Africa. Finally, high concentrations of crenarchaeol and isoprenoid GDGTs in the open basin illustrate the preference of Thaumarchaeota for oligotrophic waters. This study represents a major prerequisite for the future application of lipid biomarkers on sediment cores from the Gulf of Genoa.
Riethmeister, V; Bültmann, U; De Boer, M R; Gordijn, M; Brouwer, S
2018-05-16
To better understand sleep quality and sleepiness problems offshore, we examined courses of sleep quality and sleepiness in full 2-weeks on/2-weeks off offshore day shift rotations by comparing pre-offshore (1 week), offshore (2 weeks) and post-offshore (1 week) work periods. A longitudinal observational study was conducted among N=42 offshore workers. Sleep quality was measured subjectively with two daily questions and objectively with actigraphy, measuring: time in bed (TIB), total sleep time (TST), sleep latency (SL) and sleep efficiency percentage (SE%). Sleepiness was measured twice a day (morning and evening) with the Karolinska Sleepiness Scale. Changes in sleep and sleepiness parameters during the pre/post and offshore work periods were investigated using (generalized) linear mixed models. In the pre-offshore work period, courses of SE% significantly decreased (p=.038). During offshore work periods, the courses of evening sleepiness scores significantly increased (p<.001) and significantly decreased during post-offshore work periods (p=.004). During offshore work periods, TIB (p<.001) and TST (p<.001) were significantly shorter, SE% was significantly higher (p=.002), perceived sleep quality was significantly lower (p<.001) and level of rest after wake was significantly worse (p<.001) than during the pre- and post-offshore work periods. Morning sleepiness was significantly higher during offshore work periods (p=.015) and evening sleepiness was significantly higher in the post-offshore work period (p=.005) compared to the other periods. No significant changes in SL were observed. Courses of sleep quality and sleepiness parameters significantly changed during full 2-weeks on/2-weeks off offshore day shift rotation periods. These changes should be considered in offshore fatigue risk management programmes.
Gale, Robert W.; Tanner, Michael J.; Love, Milton S.; Nishimoto, Mary M.; Schroeder, Donna M.
2012-01-01
To determine the environmental consequences of decommissioning offshore oil platforms on local and regional fish populations, contaminant loads in reproducing adults were investigated at seven platform sites and adjacent, natural sites. Specimens of three species (Pacific sanddab, Citharichthys sordidus; kelp rockfish, Sebastes atrovirens; and kelp bass, Paralabrax clathratus) residing at platforms and representing the regional background within the Santa Barbara Channel and within the San Pedro Basin were collected. Some of the most important contaminant classes related to oil operations are polycyclic aromatic hydrocarbons (PAHs) because of their potential toxicity and carcinogenicity. However, acute exposure cannot be related directly to PAH tissue concentrations because of rapid metabolism of the parent chemicals in fish; therefore, PAH metabolites in bile were measured, targeting free hydroxylated PAHs (OH-PAHs) liberated by enzymatic hydrolysis of the bound PAH glucuronides and sulfates. An ion-pairing method was developed for confirmatory analysis that targeted PAH glucuronides and sulfates. Concentrations of hydroxylated PAHs in all samples (76 fish from platforms and 64 fish from natural sites) were low, ranging from less than the limits of detection (5 to 120 nanograms per milliliter bile; 0.03 to 42 nanograms per milligram protein) to a maximum of 320 nanograms per milliliter bile (32 nanograms per milligram protein). A previously proposed dosimeter of PAH exposure in fish, 1-hydroxypyrene, was not detected at any platform site. Low concentrations of 1-hydroxypyrene were detected in 3 of 12 kelp rockfish collected from a natural reef site off Santa Barbara. The most prevalent OH-PAH, 2-hydroxyfluorene, was detected at low concentrations in seven fish of various species; of these, four were from two of the seven platform sites. The greatest concentrations of 2-hydroxyfluorene were found in three fish of various species from Platform Holly and were only about threefold above low, yet quantifiable, concentrations found in three fish from Horseshoe Reef, East Anacapa Island, and Coche Point natural sites; the mean concentrations among all sampling sites were not measurably different.
Seismic imaging of the Formosa Ridge cold seep site offshore of southwestern Taiwan
NASA Astrophysics Data System (ADS)
Hsu, Ho-Han; Liu, Char-Shine; Morita, Sumito; Tu, Shu-Lin; Lin, Saulwood; Machiyama, Hideaki; Azuma, Wataru; Ku, Chia-Yen; Chen, Song-Chuen
2017-12-01
Multi-scale reflection seismic data, from deep-penetration to high-resolution, have been analyzed and integrated with near-surface geophysical and geochemical data to investigate the structures and gas hydrate system of the Formosa Ridge offshore of southwestern Taiwan. In 2007, dense and large chemosynthetic communities were discovered on top of the Formosa Ridge at water depth of 1125 m by the ROV Hyper-Dolphin. A continuous and strong BSR has been observed on seismic profiles from 300 to 500 ms two-way-travel-time below the seafloor of this ridge. Sedimentary strata of the Formosa Ridge are generally flat lying which suggests that this ridge was formed by submarine erosion processes of down-slope canyon development. In addition, some sediment waves and mass wasting features are present on the ridge. Beneath the cold seep site, a vertical blanking zone, or seismic chimney, is clearly observed on seismic profiles, and it is interpreted to be a fluid conduit. A thick low velocity zone beneath BSR suggests the presence of a gas reservoir there. This "gas reservoir" is shallower than the surrounding canyon floors along the ridge; therefore as warm methane-rich fluids inside the ridge migrate upward, sulfate carried by cold sea water can flow into the fluid system from both flanks of the ridge. This process may drive a fluid circulation system and the active cold seep site which emits both hydrogen sulfide and methane to feed the chemosynthetic communities.
Gusts and shear within hurricane eyewalls can exceed offshore wind turbine design standards
NASA Astrophysics Data System (ADS)
Worsnop, Rochelle P.; Lundquist, Julie K.; Bryan, George H.; Damiani, Rick; Musial, Walt
2017-06-01
Offshore wind energy development is underway in the U.S., with proposed sites located in hurricane-prone regions. Turbine design criteria outlined by the International Electrotechnical Commission do not encompass the extreme wind speeds and directional shifts of hurricanes stronger than category 2. We examine a hurricane's turbulent eyewall using large-eddy simulations with Cloud Model 1. Gusts and mean wind speeds near the eyewall of a category 5 hurricane exceed the current Class I turbine design threshold of 50 m s-1 mean wind and 70 m s-1 gusts. Largest gust factors occur at the eye-eyewall interface. Further, shifts in wind direction suggest that turbines must rotate or yaw faster than current practice. Although current design standards omit mention of wind direction change across the rotor layer, large values (15-50°) suggest that veer should be considered.
Gusts and shear within hurricane eyewalls can exceed offshore wind turbine design standards
Worsnop, Rochelle P.; Lundquist, Julie K.; Bryan, George H.; ...
2017-05-30
Here, offshore wind energy development is underway in the U.S., with proposed sites located in hurricane-prone regions. Turbine design criteria outlined by the International Electrotechnical Commission do not encompass the extreme wind speeds and directional shifts of hurricanes stronger than category 2. We examine a hurricane's turbulent eyewall using large-eddy simulations with Cloud Model 1. Gusts and mean wind speeds near the eyewall of a category 5 hurricane exceed the current Class I turbine design threshold of 50 m s –1 mean wind and 70 m s –1 gusts. Largest gust factors occur at the eye-eyewall interface. Further, shifts inmore » wind direction suggest that turbines must rotate or yaw faster than current practice. Although current design standards omit mention of wind direction change across the rotor layer, large values (15–50°) suggest that veer should be considered.« less
Gusts and shear within hurricane eyewalls can exceed offshore wind turbine design standards
DOE Office of Scientific and Technical Information (OSTI.GOV)
Worsnop, Rochelle P.; Lundquist, Julie K.; Bryan, George H.
Here, offshore wind energy development is underway in the U.S., with proposed sites located in hurricane-prone regions. Turbine design criteria outlined by the International Electrotechnical Commission do not encompass the extreme wind speeds and directional shifts of hurricanes stronger than category 2. We examine a hurricane's turbulent eyewall using large-eddy simulations with Cloud Model 1. Gusts and mean wind speeds near the eyewall of a category 5 hurricane exceed the current Class I turbine design threshold of 50 m s –1 mean wind and 70 m s –1 gusts. Largest gust factors occur at the eye-eyewall interface. Further, shifts inmore » wind direction suggest that turbines must rotate or yaw faster than current practice. Although current design standards omit mention of wind direction change across the rotor layer, large values (15–50°) suggest that veer should be considered.« less
Observations of gas hydrates in marine sediments, offshore northern California
Brooks, J.M.; Field, M.E.; Kennicutt, M.C.
1991-01-01
Biogenic gas hydrates were recovered in shallow cores (< 6 m deep) from the Eel River basin in offshore northern California between 40??38??? and 40??56???N. The gas hydrates contained primarily methane (??13C = -57.6 to -69.1???) and occurred as dispersed crystals, small (2-20 mm) nodules, and layered bands within the sediment. These hydrates, recovered in sediment at water depths between 510 and 642 m, coincide nearly, but not exactly, with areas showing bottom-simulating reflectors (BSRs) on seismic-reflection records. This study confirms indirect geophysical and geologic observations that gas hydrates are present north of the Mendocino Fracture Zone in sediment of the Eel River basin but probably are absent to the south in the Point Arena basin. This discovery extends the confirmed sites of gas hydrates in the eastern Pacific region beyond the Peruvian and Central American margins to the northern California margin. ?? 1991.
Mustain, N.; Griggs, G.; Barnard, P.L.
2007-01-01
The beaches of the Santa Barbara Littoral Cell, which are narrow as a result of either natural and/or anthropogenic factors, may benefit from nourishment. Sand compatibility is fundamental to beach nourishment success and grain size is the parameter often used to evaluate equivalence. Only after understanding which sand sizes naturally compose beaches in a specific cell, especially the smallest size that remains on the beach, can the potential compatibility of source areas, such as offshore borrow sites, be accurately assessed. This study examines sediments on the beach and in the nearshore (5-20m depth) for the entire Santa Barbara Littoral Cell east of Point Conception. A digital bed sediment camera, the Eyeball??, and spatial autocorrelation technique were used to determine sediment grain size. Here we report on whether nearshore sediments are comparable and compatible with beach sands of the Santa Barbara Littoral Cell. ?? 2007 ASCE.
Pioneering offshore excellence
DOE Office of Scientific and Technical Information (OSTI.GOV)
Kent, R.P.; Grattan, L.
1996-11-01
Hibernia Management and Development Company Ltd. (HMDC) was formed in 1990 by a consortium of oil companies to develop their interests in the Hibernia and Avalon reservoirs offshore Newfoundland in a safe and environmentally responsible manner. The reservoirs are located 315km ESE of St. John`s in the North Atlantic. The water depth is about 80m. The entire Hibernia field is estimated to contain more than three billion barrels of oil in place and the owners development plan area is estimated to contain two billion barrels. Recoverable reserves are estimated to be approximately 615 million barrels. The Hibernia reservoir, the principlemore » reservoir, is located at an average depth of 3,700m. HMDC is building a large concrete gravity based structure (GBS) that which will support the platform drilling and processing facilities and living quarters for 280 personnel. In 1997 the platform will be towed to the production site and production will commence late 1997. Oil will be exported by a 2 km long pipeline to an offshore loading system. Dynamically positioned tankers will then take the oil to market. Average daily production is expected to plateau between 125,000 and 135,000 BOPD. It will be the first major development on the east coast of Canada and is located in an area that is prone to pack ice and icebergs.« less
Light, I M; Gibson, M G
1987-01-01
Weight (W), height (H), and skinfold thicknesses at biceps, triceps, subscapular, and suprailiac sites were measured in a United Kingdom offshore workforce. Weight and height were used to calculate W/H relations. The percentage body fat was estimated from skinfold thicknesses and the correlations of adiposity with the various W/H relations were evaluated. The significant increase in percentage body fat (%BF) with increasing age resulted in the development of age group specific regression equations relating %BF to the indices of W/H1.5 and W/H2 (body mass index or Quetelet index). Little difference regarding the qualities of these two indices were detected in terms of poor correlation with height and strong correlation with weight. Thus either may be used with similar levels of confidence. Comparison with other studies, however, would be more easily accomplished if W/H2 were used. In the absence of skinfold thickness measurements the W/H2 could readily be implemented during a routine medical and applied for the estimation of %BF in the offshore population provided that the appropriate regression equation were used and that the limitations of the technique are recognised. Percentage values for W, H, W/H relations, and %BF by age group are provided for comparison with other population studies. PMID:3828245
Light, I M; Gibson, M G
1987-03-01
Weight (W), height (H), and skinfold thicknesses at biceps, triceps, subscapular, and suprailiac sites were measured in a United Kingdom offshore workforce. Weight and height were used to calculate W/H relations. The percentage body fat was estimated from skinfold thicknesses and the correlations of adiposity with the various W/H relations were evaluated. The significant increase in percentage body fat (%BF) with increasing age resulted in the development of age group specific regression equations relating %BF to the indices of W/H1.5 and W/H2 (body mass index or Quetelet index). Little difference regarding the qualities of these two indices were detected in terms of poor correlation with height and strong correlation with weight. Thus either may be used with similar levels of confidence. Comparison with other studies, however, would be more easily accomplished if W/H2 were used. In the absence of skinfold thickness measurements the W/H2 could readily be implemented during a routine medical and applied for the estimation of %BF in the offshore population provided that the appropriate regression equation were used and that the limitations of the technique are recognised. Percentage values for W, H, W/H relations, and %BF by age group are provided for comparison with other population studies.
Outfall siting with dye-buoy remote sensing of coastal circulation
NASA Technical Reports Server (NTRS)
Munday, J. C., Jr.; Welch, C. S.; Gordon, H. H.
1978-01-01
A dye-buoy remote sensing technique has been applied to estuarine siting problems that involve fine-scale circulation. Small hard cakes of sodium fluorescein and polyvinyl alcohol, in anchored buoys and low-windage current followers, dissolve to produce dye marks resolvable in 1:60,000 scale color and color infrared imagery. Lagrangian current vectors are determined from sequential photo coverage. Careful buoy placement reveals surface currents and submergence near fronts and convergence zones. The technique has been used in siting two sewage outfalls in Hampton Roads, Virginia: In case one, the outfall region during flood tide gathered floating materials in a convergence zone, which then acted as a secondary source during ebb; for better dispersion during ebb, the proposed outfall site was moved further offshore. In case two, flow during late flood was found to divide, with one half passing over shellfish beds; the proposed outfall site was consequently moved to keep effluent in the other half.
Microbiological monitoring of marine recreational waters in southern California.
Schiff, K C; Weisberg, S B; Dorsey, J H
2001-01-01
An inventory was conducted to assess the number, type, spatial distribution, and costs of microbiological monitoring programs in southern California marine waters from Point Conception to the US/Mexico International Border. The location of each sampling site was determined using global positioning system (GPS), and estimates of geographic coverage were determined using geographic information system (GIS) techniques. Twenty-one programs conducted 87,007 tests annually at 576 sites in the study area. The largest number of sites was sampled in Orange County, whereas the largest number of analyses was performed in Los Angeles County because monitoring programs in this area focused on daily monitoring. Fifteen of the 21 programs were managed by National Pollutant Discharge Elimination System (NPDES) permitted sewage effluent dischargers who sampled both offshore and shoreline waters and typically tested for three indicator bacteria (total coliform, fecal coliform, and enterococcus). Their combined efforts comprised 82% of all of the microbiological indicator analyses conducted on an annual basis. Five of the remaining monitoring organizations were public health agencies, which typically focus their efforts on testing only total coliforms. Laboratory methodology also varied considerably, with NPDES permittees predominantly utilizing membrane filtration while public health agencies generally used multiple tube fermentation or premanufactured test kits. Nearly three quarters of all the effort expended in southern California occurred along the shoreline as opposed to offshore locations. Two thirds of this shoreline effort was focused on high-use sandy beaches and in proximity to perennial fresh-water outlets (storm drains and creeks). Most sampling occurred at a set of fixed sites that were revisited frequently, but only represented about 7% of the total shoreline. We estimated that roughly $3 million is spent annually on monitoring bathing water quality in southern California, exceeding that spent in any other part of the country.
Hypoxia is increasing in the coastal zone of the Baltic Sea.
Conley, Daniel J; Carstensen, Jacob; Aigars, Juris; Axe, Philip; Bonsdorff, Erik; Eremina, Tatjana; Haahti, Britt-Marie; Humborg, Christoph; Jonsson, Per; Kotta, Jonne; Lännegren, Christer; Larsson, Ulf; Maximov, Alexey; Medina, Miguel Rodriguez; Lysiak-Pastuszak, Elzbieta; Remeikaité-Nikiené, Nijolé; Walve, Jakob; Wilhelms, Sunhild; Zillén, Lovisa
2011-08-15
Hypoxia is a well-described phenomenon in the offshore waters of the Baltic Sea with both the spatial extent and intensity of hypoxia known to have increased due to anthropogenic eutrophication, however, an unknown amount of hypoxia is present in the coastal zone. Here we report on the widespread unprecedented occurrence of hypoxia across the coastal zone of the Baltic Sea. We have identified 115 sites that have experienced hypoxia during the period 1955-2009 increasing the global total to ca. 500 sites, with the Baltic Sea coastal zone containing over 20% of all known sites worldwide. Most sites experienced episodic hypoxia, which is a precursor to development of seasonal hypoxia. The Baltic Sea coastal zone displays an alarming trend with hypoxia steadily increasing with time since the 1950s effecting nutrient biogeochemical processes, ecosystem services, and coastal habitat.
NASA Astrophysics Data System (ADS)
Azzellino, Arianna; Contestabile, Pasquale; Lanfredi, Caterina; Vicinanza, Diego
2010-05-01
The exploitation of renewable energy resources is fast becoming a key objective in many countries. Countries with coastlines have particularly valuable renewable energy resources in the form of tides, currents, waves and offshore wind. Due to the visual impact of siting large numbers of energy generating devices (eg. wind turbines) in terrestrial landscapes, considerable attention is now being directed towards coastal waters. Due to their environmental sensitivity, the selection of the most adequate location for these systems is a critical factor. Multi-criteria analysis allows to consider a wide variety of key characteristics (e.g. water depth, distance to shore, distance to the electric grid in land, geology, environmental impact) that may be converted into a numerical index of suitability for different WEC devices to different locations. So identifying the best alternative between an offshore or a onshore device may be specifically treated as a multicriteria problem. Special enphasisi should be given in the multicriteria analysis to the environmental impact issues. The wave energy prospective in the Italian seas is relatively low if compared to the other European countries faced to the ocean. Based on the wave climate, the Alghero site, (NW Sardinia, Italy) is one of the most interesting sites for the wave energy perspective (about 10 kW/m). Alghero site is characterized by a high level of marine biodiversity. In 2002 the area northern to Alghero harbour (Capo Caccia-Isola Piana) was established a Marine Protected Area (MPA). It could be discussed for this site how to choose between the onshore/offshore WEC alternative. An offshore device like Wave Dragon (http://www.wavedragon.net/) installed at -65m depth (width=300m and length=170 m) may approximately produce about 3.6 GWh/y with a total cost of about 9,000,000 €. On the other hand, an onshore device like SSG (http://waveenergy.no/), employed as crown wall for a vertical breakwater to enlarge the present harbour protection, and installed at -10m depth (length=300 m) may produce about 2.7 GWh/y with a total costs of about 12,000,000 €, where only the 50% of the amount are the costs of the SSG device. Obviously the environmental impact of the two solutions is quite different. Aim of this study is to provide a multicriteria decision support framework to evaluate the best WEC typology and location in the perspective of the environmental cost-benefit analysis. The general environmental aspects generated by wave power projects will be described. Colonisation patterns and biofouling will be discussed with particular reference to changes of the seabed and alterations due to new substrates. In addition, impacts for fish, fishery and marine mammals will be also considered. We suggest that wave power projects should be evaluated also on the basis of their environmental impacts in the perspective of the Strategic Environmental Assessment (SEA) analysis, as implemented by the European Commission (SEA Directive 2001/42/EC). The early incorporation of the environmental aspects involved in the evaluation of wave power projects will give the opportunity for early mitigations or design modifications, most likely making wave projects more acceptable in the long run and more suitable for the marine environment.
Report to Congress on Sustainable Ranges, 2013
2013-04-01
to renewable energy, particularly wind turbines offshore. DoD and BOEM have assessed over 2,000 lease blocks on the Atlantic Outer Continental Shelf... wind turbines off-range affects the accuracy and reliability of radar systems used on the range. An emerging challenge on ranges is the increased...adversely affect range operations. Concerns are site-specific but often include wind turbine impacts to radar, the impact of excessive lighting on
NASA Astrophysics Data System (ADS)
Valencia, A.; Ladah, L. B.
2016-02-01
High-frequency internal waves and the internal tide have been shown to have strong effects on nearshore ecology and productivity along the Mexican coastline over the past decade of the FLOO (Fluxes Linking the Offshore and the Onshore) project. I will review examples of these effects, ranging from the long term importance of internal wave supply-side ecology of invertebrate larvae to the coast and their post-settlement fate after competition and predation, to nutrient provision at small temporal and spatial scales for different species of macroalgae, to food provision for mussels and corals from various sites along the Mexican Pacific. Internal waves may also alleviate coral bleaching events in areas of strong internal tidal forcing. Temperate, subtropical and tropical sites will be discussed. Solitons, high-frequency internal waves and the internal tide have all been shown to have a stronger and faster than predicted effect on nearshore ecology and productivity, and may be more ecologically important than upwelling for transport of scalars and coastal productivity in certain areas of the Mexican Pacific. Implications of these results will be discussed and speculation of their importance in a future ocean climate will be presented.
Reubens, Jan T; Pasotti, Francesca; Degraer, Steven; Vincx, Magda
2013-09-01
Because offshore wind energy development is fast growing in Europe it is important to investigate the changes in the marine environment and how these may influence local biodiversity and ecosystem functioning. One of the species affected by these ecosystem changes is Atlantic cod (Gadus morhua), a heavily exploited, commercially important fish species. In this research we investigated the residency, site fidelity and habitat use of Atlantic cod on a temporal scale at windmill artificial reefs in the Belgian part of the North Sea. Acoustic telemetry was used and the Vemco VR2W position system was deployed to quantify the movement behaviour. In total, 22 Atlantic cod were tagged and monitored for up to one year. Many fish were present near the artificial reefs during summer and autumn, and demonstrated strong residency and high individual detection rates. When present within the study area, Atlantic cod also showed distinct habitat selectivity. We identified aggregation near the artificial hard substrates of the wind turbines. In addition, a clear seasonal pattern in presence was observed. The high number of fish present in summer and autumn alternated with a period of very low densities during the winter period. Copyright © 2013 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Lu, Hailong; Moudrakovski, Igor; Riedel, Michael; Spence, George; Dutrisac, Regent; Ripmeester, John; Wright, Fred; Dallimore, Scott
2005-10-01
Gas hydrate samples recovered from a cold vent field offshore Vancouver Island were studied in detail both by macroscopic observations and instrumental methods (powder X-ray diffraction method (PXRD), nuclear magnetic resonance (NMR), and Raman spectroscopy). It was found that gas hydrates were massive from 2.64 to 2.94 m below seafloor (mbsf), elongated, nodular and tabular from 4.60 to 4.81 mbsf, and vein-like from 5.48 to 5.68 mbsf, showing a trend of decreasing hydrate content with increasing depth. All samples were determined to be structure I hydrate from PXRD, NMR, and Raman spectroscopies. The hydration numbers were estimated to be 6.1 ± 0.2 on average as determined from the methane distribution over the cage sites from NMR and Raman analytical results. Estimates of conversion levels indicated that ˜78% of the water in the massive samples was hydrate, down to a low value of ˜0.4% for the pore hydrate samples. The results are compared with measurements on synthetic hydrates and samples recovered from below the permafrost on the Mallik site. Differences in methane content and lattice parameters for synthetic and natural samples are relatively minor. Additional work is needed to address the presence of minor gas components and the heterogeneity of natural hydrate samples.
NASA Astrophysics Data System (ADS)
Buck, B. H.; Krause, G.; Michler-Cieluch, T.; Brenner, M.; Buchholz, C. M.; Busch, J. A.; Fisch, R.; Geisen, M.; Zielinski, O.
2008-09-01
Along the German North Sea coast, the observed high spatial competition of stakeholders has encouraged the idea of integrating open ocean aquaculture in conjunction with offshore wind farms beyond the 12 miles zone. The article provides an overview on the current state of transdisciplinary research on a potential implementation of such a multifunctional use concept on a showcase basis, covering biological, technical, economic and social/policy aspects as well as private-public partnerships and the relevant institutional bodies. We show that the cultivation of seaweeds and blue mussels is biologically and technically feasible in a high-energy environment using modified cultivation strategies. The point of departure of our multi-use concept was that the solid groundings of wind turbines could serve as attachment points for the aquaculture installations and become the key to the successful commercial cultivation of any offshore aquatic organism. However, spaces in between the turbines are also attractive for farming projects, since public access is restricted and thus the cultivation site protected from outside influences. An economic analysis of different operation scenarios indicates that the market price and the annual settlement success of juvenile mussels are the main factors that determine the breakeven point. Social and policy science research reveals that the integration of relevant actors into the development of a multi-use concept for a wind farm-mariculture interaction is a complex and controversial issue. Combining knowledge and experience of wind farm planners as well as mussel fishermen and mariculturists within the framework of national and EU policies is probably the most important component for designing and developing an effective offshore co-management regime to limit the consumption of ocean space.
An integrated assessment for wind energy in Lake Michigan coastal counties.
Nordman, Erik; VanderMolen, Jon; Gajewski, Betty; Isely, Paul; Fan, Yue; Koches, John; Damm, Sara; Ferguson, Aaron; Schoolmaster, Claire
2015-04-01
The benefits and challenges of onshore and offshore wind energy development were assessed for a 4-county area of coastal Michigan. Economic, social, environmental, and spatial dimensions were considered. The coastal counties have suitable wind resources for energy development, which could contribute toward Michigan's 10% renewable energy standard. Wind energy is cost-effective with contract prices less than the benchmark energy price of a new coal-fired power plant. Constructing a 100 MW wind farm could have a $54.7 million economic impact. A patchwork of township-level zoning ordinances regulates wind energy siting. Voluntary collaborations among adjacent townships standardizing the ordinances could reduce regulatory complexity. A Delphi Inquiry on offshore wind energy in Lake Michigan elicited considerable agreement on its challenges, but little agreement on the benefits to coastal communities. Offshore turbines could be acceptable to the participants if they reduced pollution, benefited coastal communities, involved substantial public participation, and had minimal impact on property values and tourism. The US Coast Guard will take a risk-based approach to evaluating individual offshore developments and has no plans to issue blanket restrictions around the wind farms. Models showed that using wind energy to reach the remainder of the 10% renewable energy standard could reduce SO2 , NOx , and CO2 pollution by 4% to 7%. Turbines are highly likely to impact the area's navigational and defense radar systems but planning and technological upgrades can reduce the impact. The integrated assessment shows that responsible wind energy development can enhance the quality of life by reducing air pollution and associated health problems and enhancing economic development. Policies could reduce the negative impacts to local communities while preserving the benefits to the broader region. © 2015 SETAC.
An Improved Global Wind Resource Estimate for Integrated Assessment Models: Preprint
DOE Office of Scientific and Technical Information (OSTI.GOV)
Eurek, Kelly; Sullivan, Patrick; Gleason, Michael
This paper summarizes initial steps to improving the robustness and accuracy of global renewable resource and techno-economic assessments for use in integrated assessment models. We outline a method to construct country-level wind resource supply curves, delineated by resource quality and other parameters. Using mesoscale reanalysis data, we generate estimates for wind quality, both terrestrial and offshore, across the globe. Because not all land or water area is suitable for development, appropriate database layers provide exclusions to reduce the total resource to its technical potential. We expand upon estimates from related studies by: using a globally consistent data source of uniquelymore » detailed wind speed characterizations; assuming a non-constant coefficient of performance for adjusting power curves for altitude; categorizing the distance from resource sites to the electric power grid; and characterizing offshore exclusions on the basis of sea ice concentrations. The product, then, is technical potential by country, classified by resource quality as determined by net capacity factor. Additional classifications dimensions are available, including distance to transmission networks for terrestrial wind and distance to shore and water depth for offshore. We estimate the total global wind generation potential of 560 PWh for terrestrial wind with 90% of resource classified as low-to-mid quality, and 315 PWh for offshore wind with 67% classified as mid-to-high quality. These estimates are based on 3.5 MW composite wind turbines with 90 m hub heights, 0.95 availability, 90% array efficiency, and 5 MW/km2 deployment density in non-excluded areas. We compare the underlying technical assumption and results with other global assessments.« less
Scenario analysis for techno-economic model development of U.S. offshore wind support structures
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
Environmental Records from Great Barrier Reef Corals: Inshore versus Offshore Drivers
Walther, Benjamin D.; Kingsford, Michael J.; McCulloch, Malcolm T.
2013-01-01
The biogenic structures of stationary organisms can be effective recorders of environmental fluctuations. These proxy records of environmental change are preserved as geochemical signals in the carbonate skeletons of scleractinian corals and are useful for reconstructions of temporal and spatial fluctuations in the physical and chemical environments of coral reef ecosystems, including The Great Barrier Reef (GBR). We compared multi-year monitoring of water temperature and dissolved elements with analyses of chemical proxies recorded in Porites coral skeletons to identify the divergent mechanisms driving environmental variation at inshore versus offshore reefs. At inshore reefs, water Ba/Ca increased with the onset of monsoonal rains each year, indicating a dominant control of flooding on inshore ambient chemistry. Inshore multi-decadal records of coral Ba/Ca were also highly periodic in response to flood-driven pulses of terrigenous material. In contrast, an offshore reef at the edge of the continental shelf was subject to annual upwelling of waters that were presumed to be richer in Ba during summer months. Regular pulses of deep cold water were delivered to the reef as indicated by in situ temperature loggers and coral Ba/Ca. Our results indicate that although much of the GBR is subject to periodic environmental fluctuations, the mechanisms driving variation depend on proximity to the coast. Inshore reefs are primarily influenced by variable freshwater delivery and terrigenous erosion of catchments, while offshore reefs are dominated by seasonal and inter-annual variations in oceanographic conditions that influence the propensity for upwelling. The careful choice of sites can help distinguish between the various factors that promote Ba uptake in corals and therefore increase the utility of corals as monitors of spatial and temporal variation in environmental conditions. PMID:24204743
Offshore Wind Energy Resource Assessment for Alaska
DOE Office of Scientific and Technical Information (OSTI.GOV)
Doubrawa Moreira, Paula; Scott, George N.; Musial, Walter D.
This report quantifies Alaska's offshore wind resource capacity while focusing on its unique nature. It is a supplement to the existing U.S. Offshore Wind Resource Assessment, which evaluated the offshore wind resource for all other U.S. states. Together, these reports provide the foundation for the nation's offshore wind value proposition. Both studies were developed by the National Renewable Energy Laboratory. The analysis presented herein represents the first quantitative evidence of the offshore wind energy potential of Alaska. The technical offshore wind resource area in Alaska is larger than the technical offshore resource area of all other coastal U.S. states combined.more » Despite the abundant wind resource available, significant challenges inhibit large-scale offshore wind deployment in Alaska, such as the remoteness of the resource, its distance from load centers, and the wealth of land available for onshore wind development. Throughout this report, the energy landscape of Alaska is reviewed and a resource assessment analysis is performed in terms of gross and technical offshore capacity and energy potential.« less
Final Report Feasibility Study for the California Wave Energy Test Center (CalWavesm)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Blakeslee, Samuel Norman; Toman, William I.; Williams, Richard B.
The California Wave Energy Test Center (CalWave) Feasibility Study project was funded over multiple phases by the Department of Energy to perform an interdisciplinary feasibility assessment to analyze the engineering, permitting, and stakeholder requirements to establish an open water, fully energetic, grid connected, wave energy test center off the coast of California for the purposes of advancing U.S. wave energy research, development, and testing capabilities. Work under this grant included wave energy resource characterization, grid impact and interconnection requirements, port infrastructure and maritime industry capability/suitability to accommodate the industry at research, demonstration and commercial scale, and macro and micro sitingmore » considerations. CalWave Phase I performed a macro-siting and down-selection process focusing on two potential test sites in California: Humboldt Bay and Vandenberg Air Force Base. This work resulted in the Vandenberg Air Force Base site being chosen as the most favorable site based on a peer reviewed criteria matrix. CalWave Phase II focused on four siting location alternatives along the Vandenberg Air Force Base coastline and culminated with a final siting down-selection. Key outcomes from this work include completion of preliminary engineering and systems integration work, a robust turnkey cost estimate, shoreside and subsea hazards assessment, storm wave analysis, lessons learned reports from several maritime disciplines, test center benchmarking as compared to existing international test sites, analysis of existing applicable environmental literature, the completion of a preliminary regulatory, permitting and licensing roadmap, robust interaction and engagement with state and federal regulatory agency personnel and local stakeholders, and the population of a Draft Federal Energy Regulatory Commission (FERC) Preliminary Application Document (PAD). Analysis of existing offshore oil and gas infrastructure was also performed to assess the potential value and re-use scenarios of offshore platform infrastructure and associated subsea power cables and shoreside substations. The CalWave project team was well balanced and was comprised of experts from industry, academia, state and federal regulatory agencies. The result of the CalWave feasibility study finds that the CalWave Test Center has the potential to provide the most viable path to commercialization for wave energy in the United States.« less
Federal Register 2010, 2011, 2012, 2013, 2014
2012-11-23
... Equipment, Training and Drills Onboard Offshore Facilities and Mobile Offshore Drilling Units (MODUs... lifesaving and fire-fighting equipment, training and drills on board offshore facilities and MODUs operating... guidance concerning lifesaving and fire-fighting equipment, training, and drills onboard manned offshore...
One year of vertical wind profiles measurements at a Mediterranean coastal site of South Italy
NASA Astrophysics Data System (ADS)
Calidonna, Claudia Roberta; Avolio, Elenio; Federico, Stefano; Gullì, Daniel; Lo Feudo, Teresa; Sempreviva, Anna Maria
2015-04-01
In order to develop wind farms projects is challenging to site them on coastal areas both onshore and offshore as suitable sites. Developing projects need high quality databases under a wide range of atmospheric conditions or high resolution models that could resolve the effect of the coastal discontinuity in the surface properties. New parametrizations are important and high quality databases are also needed for formulating them. Ground-based remote sensing devices such as lidars have been shown to be functional for studying the evolution of the vertical wind structure coastal atmospheric boundary layer both on- and offshore. Here, we present results from a year of vertical wind profiles, wind speed and direction, monitoring programme at a site located in the Italian Calabria Region, Central Mediterranean, 600m from the Thyrrenian coastline, where a Lidar Doppler, ZephIr (ZephIr ltd) has been operative since July 2013. The lidar monitors wind speed and direction from 10m up to 300m at 10 vertical levels with an average of 10 minutes and it is supported by a metmast providing: Atmospheric Pressure, Solar Radiation, Precipitation, Relative Humidity, Temperature,Wind Speed and Direction at 10m. We present the characterization of wind profiles during one year period according to the time of the day to transition periods night/day/night classified relating the local scale, breeze scale, to the large scale conditions. The dataset is also functional for techniques for short-term prediction of wind for the renewable energy integration in the distribution grids. The site infrastructure is funded within the Project "Infrastructure of High Technology for Environmental and Climate Monitoring" (I-AMICA) (PONa3_00363) by the Italian National Operative Program (PON 2007-2013) and European Regional Development Fund. Real-time data are show on http://www.i-amica.it/i-amica/?page_id=1122.
Fair shares: a preliminary framework and case analyzing the ethics of offshoring.
Gordon, Cameron; Zimmerman, Alan
2010-06-01
Much has been written about the offshoring phenomenon from an economic efficiency perspective. Most authors have attempted to measure the net economic effects of the strategy and many purport to show that "in the long run" that benefits will outweigh the costs. There is also a relatively large literature on implementation which describes the best way to manage the offshoring process. But what is the morality of offshoring? What is its "rightness" or "wrongness?" Little analysis of the ethics of offshoring has been completed thus far. This paper develops a preliminary framework for analyzing the ethics of offshoring and then applies this framework to basic case study of offshoring in the U.S. The paper following discusses the definition of offshoring; shifts to the basic philosophical grounding of the ethical concepts; develops a template for conducting an ethics analysis of offshoring; applies this template using basic data for offshoring in the United States; and conducts a preliminary ethical analysis of the phenomenon in that country, using a form of utilitarianism as an analytical baseline. The paper concludes with suggestions for further research.
Falls, W. Fred; Ransom, Camille; Landmeyer, James E.; Reuber, Eric J.; Edwards, Lucy E.
2005-01-01
To assess the hydrogeology, water quality, and the potential for saltwater intrusion in the offshore Upper Floridan aquifer, a scientific investigation was conducted near Tybee Island, Georgia, and Hilton Head Island, South Carolina. Four temporary wells were drilled at 7, 8, 10, and 15 miles to the northeast of Tybee Island, and one temporary well was drilled in Calibogue Sound west of Hilton Head Island. The Upper Floridan aquifer at the offshore and Calibogue sites includes the unconsolidated calcareous quartz sand, calcareous quartz sandstone, and sandy limestone of the Oligocene Lazaretto Creek and Tiger Leap Formations, and the limestone of the late Eocene Ocala Limestone and middle Avon Park Formation. At the 7-, 10-, and 15-mile sites, the upper confining unit between the Upper Floridan and surficial aquifers correlates to the Miocene Marks Head Formation. Paleochannel incisions have completely removed the upper confining unit at the Calibogue site and all but a 0.8-foot-thick interval of the confining unit at the 8-mile site, raising concern about the potential for saltwater intrusion through the paleochannel-fill sediments at these two sites. The paleochannel incisions at the Calibogue and 8-mile sites are filled with fine- and coarse-grained sediments, respectively. The hydrogeologic setting and the vertical hydraulic gradients at the 7- and 10-mile sites favored the absence of saltwater intrusion during predevelopment. After decades of onshore water use in Georgia and South Carolina, the 0-foot contour in the regional cone of depression of the Upper Floridan aquifer is estimated to have been at the general location of the 7- and 10-mile sites by the mid-1950s and at or past the 15-mile site by the 1980s. The upward vertical hydraulic gradient reversed, but the presence of more than 17 feet of upper confining unit impeded the downward movement of saltwater from the surficial aquifer to the Upper Floridan aquifer at the 7- and 10-mile sites. At the 10-mile site, the chloride concentration in the Upper Floridan borehole-water sample and the pore-water samples from the Oligocene and Eocene strata support the conclusion of no noticeable modern saltwater intrusion in the Upper Floridan aquifer. The chloride concentration of 370 milligrams per liter in the borehole-water sample at the 7-mile site from the Upper Floridan aquifer at 78 to 135 feet below North American Vertical Datum of 1988 is considerably higher than the chloride concentration of 25 milligrams per liter measured at the 10-mile site. The higher concentration probably is the result of downward leakage of saltwater through the confining unit at the 7-mile site or could reflect downward leakage of saltwater through an even thinner layer of the upper confining unit beneath the paleochannel to the northeast and lateral movement (encroachment) from the paleochannel to the 7-mile site. Carbon-14 concentrations at both sites, however, are low and indicate that most of the water is relict fresh ground water. The hydrogeology at the 15-mile site includes 17 feet of the upper confining unit. The chloride concentration in the Upper Floridan aquifer is 6,800 milligrams per liter. The setting for the Upper Floridan aquifer beneath the 15-mile site is interpreted as a transitional mixing zone between relict freshwater and relict saltwater. At the Calibogue site, 35 feet of fine-grained paleochannel-fill sediments overlies the Oligocene strata of the Upper Floridan aquifer. The vertical hydraulic conductivity of the paleochannel fill at this site is similar to the upper confining unit and effectively replaces the missing upper confining unit. Chloride concentrations and low carbon-14 and tritium concentrations in borehole water from the Upper Floridan aquifer, and low chloride concentrations in pore water from the upper confining unit indicate relict freshwater confined in the Upper Floridan aquifer at the Calibogue site. The coarse-grained paleochannel-f
NASA Astrophysics Data System (ADS)
Culter, J. K.
2006-12-01
The west Florida continental shelf is nearly as large as peninsular Florida and embraces a vast mosaic of marine habitats. The dominant shelf habitats have been described and studied to some degree. However, the offshore submerged sinkhole and spring features (blue holes) have not been scientifically described or studied, with the exception of one site called the Mudhole, a saltwater spring off Ft. Myers Beach. These features are relatively small habitats by standards of aerial coverage, but are probably more common than previously thought. These habitats are very unique shelf features, a reef in reverse, representing island habitats on the Florida shelf. This study was initiated in summer 2005 to describe the biota associated with the offshore blue hole features of this region and search for new sites. Eleven sites off the west central Florida coast have been verified and data has been collected at eight locations, all greater than 30 miles offshore. Most blue holes exhibit similar structural features, which divide the biota into zones. Pelagic species, such as amberjack, occupy the water column above the holes and reef species populate the rim. All of the sites investigated harbor one or more goliath grouper (Epinephelus itajara) and most of the features have resident nurse sharks (Ginglymostoma cirratum). Pelagic sharks periodically visit the sites and sea turtles are frequently observed at or near the holes. Whale sharks (Rhincodon typus) also seem to have an affinity for these features. The reef fauna that occupy the rim rapidly decline in abundance and diversity deeper into the holes with the deepest fauna being calcareous tube dwelling polychaetes that grow down to the edges of the hydrogen sulfide layer. There is pronounced temperature stratification within all holes. All of the sites investigated to date are relatively deep, by standards of recreational scuba diving, and divers utilized open circuit trimix to conduct the investigations. The key components of the documentation of the features included; vertical video transects, still photography, collections of biota, placement of recording thermographs and conductivity meters, collection of bottom sediment and rocks. During the course of the investigation a previously unknown cave feature over 45 meters in height and 76 meters in bottom diameter was discovered and dubbed Megadome. The cave is connected to the Gulf by a circular shaft approximately 0.75 meters in diameter and 11 meters in length. Instrumentation placed at Megadome revealed lunar tidal period water exchange, possible freshwater outflow and water movement in response to hurricanes. The upper portion of the cave contains a fouling community of sponges worms, tunicates and other organisms. A sink hole off the mouth of Tampa Bay was shown to contain a saltwater spring, venting at 72 m (235 fsw). Research is continuing. This research has been supported by a grant from NOAA, Ocean Exploration Program and Mote Marine Laboratory.
Surviving Coral Bleaching Events: Porites Growth Anomalies on the Great Barrier Reef
Cantin, Neal E.; Lough, Janice M.
2014-01-01
Mass coral bleaching affected large parts of the Great Barrier Reef (GBR) in 1998 and 2002. In this study, we assessed if signatures of these major thermal stress events were recorded in the growth characteristics of massive Porites colonies. In 2005 a suite of short (<50 cm) cores were collected from apparently healthy, surviving Porites colonies, from reefs in the central GBR (18–19°S) that have documented observations of widespread bleaching. Sites included inshore (Nelly Bay, Pandora Reef), annually affected by freshwater flood events, midshelf (Rib Reef), only occasionally affected by freshwater floods and offshore (Myrmidon Reef) locations primarily exposed to open ocean conditions. Annual growth characteristics (extension, density and calcification) were measured in 144 cores from 79 coral colonies and analysed over the common 24-year period, 1980–2003. Visual examination of the annual density bands revealed growth hiatuses associated with the bleaching years in the form of abrupt decreases in annual linear extension rates, high density stress bands and partial mortality. The 1998 mass-bleaching event reduced Porites calcification by 13 and 18% on the two inshore locations for 4 years, followed by recovery to baseline calcification rates in 2002. Evidence of partial mortality was apparent in 10% of the offshore colonies in 2002; however no significant effects of the bleaching events were evident in the calcification rates at the mid shelf and offshore sites. These results highlight the spatial variation of mass bleaching events and that all reef locations within the GBR were not equally stressed by the 1998 and 2002 mass bleaching events, as some models tend to suggest, which enabled recovery of calcification on the GBR within 4 years. The dynamics in annual calcification rates and recovery displayed here should be used to improve model outputs that project how coral calcification will respond to ongoing warming of the tropical oceans. PMID:24586377
NASA Astrophysics Data System (ADS)
Guachamin Acero, Wilson; Gao, Zhen; Moan, Torgeir
2017-09-01
Current installation costs of offshore wind turbines (OWTs) are high and profit margins in the offshore wind energy sector are low, it is thus necessary to develop installation methods that are more efficient and practical. This paper presents a numerical study (based on a global response analysis of marine operations) of a novel procedure for installing the tower and Rotor Nacelle Assemblies (RNAs) on bottom-fixed foundations of OWTs. The installation procedure is based on the inverted pendulum principle. A cargo barge is used to transport the OWT assembly in a horizontal position to the site, and a medium-size Heavy Lift Vessel (HLV) is then employed to lift and up-end the OWT assembly using a special upending frame. The main advantage of this novel procedure is that the need for a huge HLV (in terms of lifting height and capacity) is eliminated. This novel method requires that the cargo barge is in the leeward side of the HLV (which can be positioned with the best heading) during the entire installation. This is to benefit from shielding effects of the HLV on the motions of the cargo barge, so the foundations need to be installed with a specific heading based on wave direction statistics of the site and a typical installation season. Following a systematic approach based on numerical simulations of actual operations, potential critical installation activities, corresponding critical events, and limiting (response) parameters are identified. In addition, operational limits for some of the limiting parameters are established in terms of allowable limits of sea states. Following a preliminary assessment of these operational limits, the duration of the entire operation, the equipment used, and weather- and water depth-sensitivity, this novel procedure is demonstrated to be viable.
Surviving coral bleaching events: porites growth anomalies on the Great Barrier Reef.
Cantin, Neal E; Lough, Janice M
2014-01-01
Mass coral bleaching affected large parts of the Great Barrier Reef (GBR) in 1998 and 2002. In this study, we assessed if signatures of these major thermal stress events were recorded in the growth characteristics of massive Porites colonies. In 2005 a suite of short (<50 cm) cores were collected from apparently healthy, surviving Porites colonies, from reefs in the central GBR (18-19°S) that have documented observations of widespread bleaching. Sites included inshore (Nelly Bay, Pandora Reef), annually affected by freshwater flood events, midshelf (Rib Reef), only occasionally affected by freshwater floods and offshore (Myrmidon Reef) locations primarily exposed to open ocean conditions. Annual growth characteristics (extension, density and calcification) were measured in 144 cores from 79 coral colonies and analysed over the common 24-year period, 1980-2003. Visual examination of the annual density bands revealed growth hiatuses associated with the bleaching years in the form of abrupt decreases in annual linear extension rates, high density stress bands and partial mortality. The 1998 mass-bleaching event reduced Porites calcification by 13 and 18% on the two inshore locations for 4 years, followed by recovery to baseline calcification rates in 2002. Evidence of partial mortality was apparent in 10% of the offshore colonies in 2002; however no significant effects of the bleaching events were evident in the calcification rates at the mid shelf and offshore sites. These results highlight the spatial variation of mass bleaching events and that all reef locations within the GBR were not equally stressed by the 1998 and 2002 mass bleaching events, as some models tend to suggest, which enabled recovery of calcification on the GBR within 4 years. The dynamics in annual calcification rates and recovery displayed here should be used to improve model outputs that project how coral calcification will respond to ongoing warming of the tropical oceans.
Earth Observations in Support of Offshore Wind Energy Management in the Euro-Atlantic Region
NASA Astrophysics Data System (ADS)
Liberato, M. L. R.
2017-12-01
Climate change is one of the most important challenges in the 21st century and the energy sector is a major contributor to GHG emissions. Therefore greater attention has been given to the evaluation of offshore wind energy potentials along coastal areas, as it is expected offshore wind energy to be more efficient and cost-effective in the near future. Europe is developing offshore sites for over two decades and has been growing at gigawatt levels in annual capacity. Portugal is among these countries, with the development of a 25MW WindFloat Atlantic wind farm project. The international scientific community has developed robust ability on the research of the climate system components and their interactions. Climate scientists have gained expertise in the observation and analysis of the climate system as well as on the improvement of model and predictive capabilities. Developments on climate science allow advancing our understanding and prediction of the variability and change of Earth's climate on all space and time scales, while improving skilful climate assessments and tools for dealing with future challenges of a warming planet. However the availability of greater datasets amplifies the complexity on manipulation, representation and consequent analysis and interpretation of such datasets. Today the challenge is to translate scientific understanding of the climate system into climate information for society and decision makers. Here we discuss the development of an integration tool for multidisciplinary research, which allows access, management, tailored pre-processing and visualization of datasets, crucial to foster research as a service to society. One application is the assessment and monitoring of renewable energy variability, such as wind or solar energy, at several time and space scales. We demonstrate the ability of the e-science platform for planning, monitoring and management of renewable energy, particularly offshore wind energy in the Euro-Atlantic region. Further we explore the automatization of processes using different domains and datasets, which facilitate further research in evaluating and understanding renewable energy variability. AcknowledgementsThis work is supported by Foundation for Science and Technology (FCT), Portugal, project UID/GEO/50019/2013 - Instituto Dom Luiz.
Smith, Adam D.; Paton, Peter W. C.; McWilliams, Scott R.
2014-01-01
Atmospheric conditions fundamentally influence the timing, intensity, energetics, and geography of avian migration. While radar is typically used to infer the influence of weather on the magnitude and spatiotemporal patterns of nocturnal bird migration, monitoring the flight calls produced by many bird species during nocturnal migration represents an alternative methodology and provides information regarding the species composition of nocturnal migration. We used nocturnal flight call (NFC) recordings of at least 22 migratory songbirds (14 warbler and 8 sparrow species) during fall migration from eight sites along the mainland and island coasts of Rhode Island to evaluate five hypotheses regarding NFC detections. Patterns of warbler and sparrow NFC detections largely supported our expectations in that (1) NFC detections associated positively and strongly with wind conditions that influence the intensity of coastal bird migration and negatively with regional precipitation; (2) NFCs increased during conditions with reduced visibility (e.g., high cloud cover); (3) NFCs decreased with higher wind speeds, presumably due mostly to increased ambient noise; and (4) coastal mainland sites recorded five to nine times more NFCs, on average, than coastal nearshore or offshore island sites. However, we found little evidence that (5) nightly or intra-night patterns of NFCs reflected the well-documented latitudinal patterns of migrant abundance on an offshore island. Despite some potential complications in inferring migration intensity and species composition from NFC data, the acoustic monitoring of NFCs provides a viable and complementary methodology for exploring the spatiotemporal patterns of songbird migration as well as evaluating the atmospheric conditions that shape these patterns. PMID:24643060
Impact of coastal processes on resource development with an example from Icy Bay, Alaska
Molnia, Bruce F.
1978-01-01
The coastline of Alaska is dynamic and continually readjusting to changes in the many processes that operate in the coastal zone. Because of this dynamic nature, special consideration must be made in planning for development, and. caution must be exercised in site selection for facilities to be emplaced in the coastal zone. All types of coastal processes from continuously active normal processes to the low frequency-high intensity rare event must be considered. Site-specific evaluation-s considering the broad range of possible processes must precede initiation of development. An example of the relation between coastal processes and a proposed resource treatment facility is presented for Icy Bay, Alaska. Icy Bay is the only sheltered bay near many of the offshore tracts leased for petroleum exploration in the 1976 northern Gulf of Alaska OCS (Outer Continental Shelf) lease sale. Consequently, it has been selected as a primary onshore staging site for the support of offshore exploration and development. The environment of Icy Bay has many potentially hazardous features, including a submarine moraine at the bay mouth and actively calving glaciers at the bay's head which produce many icebergs. But most significant from the point of view of locating onshore facilities and pipeline corridors are the high rates of shoreline erosion and sediment deposition. If pipelines or any onshore staging facilities are to be placed in the coastal areas of Icy Bay, then the dynamic changes in shoreline position must be considered so that man-made structures will not be eroded away or be silted in before the completion of development.
Offshore safety case approach and formal safety assessment of ships.
Wang, J
2002-01-01
Tragic marine and offshore accidents have caused serious consequences including loss of lives, loss of property, and damage of the environment. A proactive, risk-based "goal setting" regime is introduced to the marine and offshore industries to increase the level of safety. To maximize marine and offshore safety, risks need to be modeled and safety-based decisions need to be made in a logical and confident way. Risk modeling and decision-making tools need to be developed and applied in a practical environment. This paper describes both the offshore safety case approach and formal safety assessment of ships in detail with particular reference to the design aspects. The current practices and the latest development in safety assessment in both the marine and offshore industries are described. The relationship between the offshore safety case approach and formal ship safety assessment is described and discussed. Three examples are used to demonstrate both the offshore safety case approach and formal ship safety assessment. The study of risk criteria in marine and offshore safety assessment is carried out. The recommendations on further work required are given. This paper gives safety engineers in the marine and offshore industries an overview of the offshore safety case approach and formal ship safety assessment. The significance of moving toward a risk-based "goal setting" regime is given.
Development of Decision Analysis Specifically for Arctic Offshore Drilling Islands.
1985-12-01
the decision analysis method will - give tradeoffs between costs and design wave height, production and depth • :of water for an oil platform , etc...optimizing the type of platform that is best suited for a particular site has become an extremely difficult decision. Over fifty- one different types of...drilling and production platforms have been identified for the Arctic environment, with new concepts being developed - every year, Boslov et al (198j
NASA Technical Reports Server (NTRS)
1990-01-01
Under a light dusting of snow, the Boston, Massachusetts, USA (42.0N, 71.0W) area can be seen in great detail. Originally, the town site of Boston was on one of several islands offshore for defensive purposes. Over the years, however, ambitious public works projects have filled in between many of the islands to create a single municipality. This area is rich in early American history and much of it can be traced in this detailed overhead view.
NREL Researchers Play Integral Role in National Offshore Wind Strategy |
News | NREL Researchers Play Integral Role in National Offshore Wind Strategy NREL Researchers Play Integral Role in National Offshore Wind Strategy December 16, 2016 A photo of three offshore wind turbines in turbulent water. Offshore wind energy in the United States is just getting started, with the
Health and climate benefits of offshore wind facilities in the Mid-Atlantic United States
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
The USGS role in mapping the nation's submerged lands
Schwab, Bill; Haines, John
2004-01-01
The seabed provides habitat for a diverse marine life having commercial, recreational, and intrinsic value. The habitat value of the seabed is largely a function of the geological structure and related geological, biological, oceanologic, and geochemical processes. Of equal importance, the nation's submerged lands contain energy and mineral resources and are utilized for the siting of offshore infrastructure and waste disposal. Seabed character and processes influence the safety and viability of offshore operations. Seabed and subseabed characterization is a prerequisite for the assessment, protection, and utilization of both living and non-living marine resources. A comprehensive program to characterize and understand the nation's submerged lands requires scientific expertise in the fields of geology, biology, hydrography, and oceanography. The U.S. Geological Survey (USGS) has long experience as the Federal agency charged with conducting geologic research and mapping in both coastal and offshore regions. The USGS Coastal and Marine Geology Program (CMGP) leads the nation in expertise related to characterization of seabed and subseabed geology, geological processes, seabed dynamics, and (in collaboration with the National Oceanic and Atmospheric Administration (NOAA) and international partners) habitat geoscience. Numerous USGS studies show that sea-floor geology and processes determine the character and distribution of biological habitats, control coastal evolution, influence the coastal response to storm events and human alterations, and determine the occurrence and concentration of natural resources.
Health and climate benefits of offshore wind facilities in the Mid-Atlantic United States
DOE Office of Scientific and Technical Information (OSTI.GOV)
Buonocore, Jonathan J.; Luckow, Patrick; Fisher, Jeremy
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
NASA Astrophysics Data System (ADS)
Elliott, Meredith L.; Bradley, Russell W.; Robinette, Dan P.; Jahncke, Jaime
2015-06-01
The population, productivity and diet of two Brandt's cormorant (Phalacrocorax penicillatus) colonies located in the central California Current were compared. The offshore colony on Southeast Farallon Island has experienced a declining population over time and anomalously low productivity in recent years. The nearshore colony near Point Arguello has been increasing and its productivity has remained stable. The diets of cormorants at the two colonies elucidated by analysis of regurgitated pellets, while different, have shown similar decreases in the consumption of northern anchovy (Engraulis mordax) since 2008, followed by increased consumption of rockfish (Sebastes spp.) and flatfish (order Pleuronectiformes). By using the diet results from another seabird nesting in central California, the rhinoceros auklet (Cerorhinca monocerata), and one from which whole fish can be obtained, we found that the rockfish species assemblage has changed with offshore rockfish species decreasing while nearshore ones have increased. This change in the rockfish species has negatively impacted Brandt's cormorants at the offshore colony by forcing them to make longer foraging trips to meet energy needs of themselves and their chicks; this has led to low breeding success and a declining population at this site. On the other hand, the nearshore colony has abundant nearby food resources, and it has prospered. These results underscore the value of using seabird data from multiple colonies to better understand changes occurring in the marine environment.
Stuhr, M; Dethleff, D; Weinrich, N; Nielsen, M; Hory, D; Kowald, B; Seide, K; Kerner, T; Nau, C; Jürgens, C
2016-05-01
Offshore windfarms are constructed in the German North and Baltic Seas. The off-coast remoteness of the windfarms, particular environmental conditions, limitations in offshore structure access, working in heights and depths, and the vast extent of the offshore windfarms cause significant challenges for offshore rescue. Emergency response systems comparable to onshore procedures are not fully established yet. Further, rescue from offshore windfarms is not part of the duty of the German Maritime Search and Rescue Organization or SAR-Services due to statute and mandate reasons. Scientific recommendations or guidelines for rescue from offshore windfarms are not available yet. The present article reflects the current state of medical care and rescue from German offshore windfarms and related questions. The extended therapy-free interval until arrival of the rescue helicopter requires advanced first-aid measures as well as improved first-aider qualification. Rescue helicopters need to be equipped with a winch system in order to dispose rescue personnel on the wind turbines, and to hoist-up patients. For redundancy reasons and for conducting rendezvous procedures, adequate sea-bound rescue units need to be provided. In the light of experiences from the offshore oil and gas industry and first offshore wind analyses, the availability of professional medical personnel in offshore windfarms seems advisible. Operational air medical rescue services and specific offshore emergency reaction teams have established a powerful rescue chain. Besides the present development of medical standards, more studies are necessary in order to place the rescue chain on a long-term, evidence-based groundwork. A central medical offshore registry may help to make a significant contribution at this point.
Chemical and biological assessment of two offshore drilling sites in the Alaskan Arctic.
Trefry, John H; Dunton, Kenneth H; Trocine, Robert P; Schonberg, Susan V; McTigue, Nathan D; Hersh, Eric S; McDonald, Thomas J
2013-05-01
A retrospective chemical and biological study was carried out in Camden Bay, Alaskan Beaufort Sea, where single exploratory oil wells were drilled at two sites more than two decades ago. Barium from discharged drilling mud was present in sediments at concentrations as high as 14%, ~200 times above background, with significantly higher concentrations of Ba, but not other metals, within 250 m of the drilling site versus reference stations. Elevated concentrations of Cr, Cu, Hg and Pb were found only at two stations within 25 m of one drilling site. Concentrations of total polycyclic aromatic hydrocarbons (TPAH) were not significantly different at reference versus drilling-site stations; however, TPAH were elevated in Ba-rich layers from naturally occurring perylene in ancient formation cuttings. Infaunal biomass and species abundance were not significantly different at reference versus drilling-site stations; infauna were less diverse at drilling-site stations. Our assessment showed that discharges from single wells within large areas caused minimal long-term, adverse impacts to the benthic ecosystem. Copyright © 2013 Elsevier Ltd. All rights reserved.
Investigating daily fatigue scores during two-week offshore day shifts.
Riethmeister, Vanessa; Bültmann, Ute; Gordijn, Marijke; Brouwer, Sandra; de Boer, Michiel
2018-09-01
This study examined daily scores of fatigue and circadian rhythm markers over two-week offshore day shift periods. A prospective cohort study among N = 60 offshore day-shift workers working two-week offshore shifts was conducted. Offshore day shifts lasted from 07:00 - 19:00 h. Fatigue was measured objectively with pre- and post-shift scores of the 3-minute psychomotor vigilance tasks (PVT-B) parameters (reaction times, number of lapses, errors and false starts) and subjectively with pre- and post-shift Karolinska Sleepiness Scale (KSS) ratings. Evening saliva samples were collected on offshore days 2,7 and 13 to measure circadian rhythm markers such as dim-light melatonin onset times and cortisol. Generalized and linear mixed model analyses were used to examine daily fatigue scores over time. Complete data from N = 42 offshore day shift workers was analyzed. Daily parameters of objective fatigue, PVT-B scores (reaction times, average number of lapses, errors and false starts), remained stable over the course of the two-week offshore day shifts. Daily subjective post-shift fatigue scores significantly increased over the course of the two-week offshore shifts. Each day offshore was associated with an increased post-shift subjective fatigue score of 0.06 points (95%CI: .03 - .09 p < .001). No significant statistical differences in subjective pre-shift fatigue scores were found. Neither a circadian rhythm phase shift of melatonin nor an effect on the pattern and levels of evening cortisol was found. Daily parameters of objective fatigue scores remained stable over the course of the two-week offshore day shifts. Daily subjective post-shift fatigue scores significantly increased over the course of the two-week offshore shifts. No significant changes in circadian rhythm markers were found. Increased post-shift fatigue scores, especially during the last days of an offshore shift, should be considered and managed in (offshore) fatigue risk management programs and fatigue risk prediction models. Copyright © 2018 Elsevier Ltd. All rights reserved.
NASA Astrophysics Data System (ADS)
Hahmann, A. N.
2015-12-01
Mesoscale models are increasingly being used to estimate wind conditions to identify perspective areas and sites where to develop wind farm projects. Mesoscale models are useful because they give information over extensive areas with various terrain complexities where measurements are scarce and measurement campaigns costly. Various mesoscale models and families of mesoscale models are being used, with thousands of setup options. Since long-term integrations are expensive and tedious to carry out, only limited comparisons exist. We have carried out a blind benchmarking study to evaluate the capabilities of mesoscale models used in wind energy to estimate site wind conditions: to highlight common issues on mesoscale modeling of wind conditions on sites with different characteristics, and to identify gaps and strengths of models and understand the root conditions for further evaluating uncertainties. Three experimental sites with tall mast measurements were selected: FINO3 (offshore), Høvsøre (coastal), and Cabauw (land-based). The participants were asked to provide hourly time series of wind speed and direction, temperature, etc., at various heights for 2011. The methods used were left to the choice of the participants, but they were asked for a detailed description of their model and many other parameters (e.g., horizontal and vertical resolution, model parameterizations, surface roughness length) that could be used to group the models and interpret the results of the intercomparison. The analysis of the time series includes comparison to observations, summarized with well-known measures such as biases, RMSE, correlations, and of sector-wise statistics, and the temporal spectra. The statistics were grouped by the models, their spatial resolution, forcing data, various integration methods, etc. The results show high fidelity of the various entries in simulating the wind climate at the offshore and coastal site. Over land and the statistics of other derived fields (e.g. wind shear distributions) show much less similarities among the models and with the observations. Cloud computing now allows the use of mesoscale models by non-experts for site assessment. This tool is very useful and powerful, but users must be aware of the different issues that might be encountered in working with different setups.
Code of Federal Regulations, 2011 CFR
2011-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
Code of Federal Regulations, 2013 CFR
2013-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
Code of Federal Regulations, 2012 CFR
2012-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
Code of Federal Regulations, 2014 CFR
2014-10-01
... (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional.... I, Fig. 1 Figure 1 to Subpart I of Part 660—Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional Catalina...
NASA Astrophysics Data System (ADS)
Bakhoday-Paskyabi, Mostafa; Fer, Ilker; Reuder, Joachim
2018-01-01
We report concurrent measurements of ocean currents and turbulence at two sites in the North Sea, one site at upwind of the FINO1 platform and the other 200-m downwind of the Alpha Ventus wind farm. At each site, mean currents, Reynolds stresses, turbulence intensity and production of turbulent kinetic energy are obtained from two bottom-mounted 5-beam Nortek Signature1000s, high-frequency Doppler current profiler, at a water depth of approximately 30 m. Measurements from the two sites are compared to statistically identify the effects of wind farm and waves on ocean current variability and the turbulent structure in the water column. Profiles of Reynolds stresses are found to be sensible to both environmental forcing and the wind farm wake-induced distortions in both boundary layers near the surface and the seabed. Production of turbulent kinetic energy and turbulence intensity exhibit approximately similar, but less pronounced, patterns in the presence of farm wake effects.
Auv Multibeam Bathymetry and Sidescan Survey of the SS Montebello wreck Offshore Cambria CA
NASA Astrophysics Data System (ADS)
Caress, D. W.; Thomas, H.; Conlin, D.; Thompson, D.; Paull, C. K.
2010-12-01
An MBARI Mapping AUV survey of the SS Montebello wreck offshore Cambria, CA collected high-resolution multibeam bathymetry and sidescan imagery of the vessel and the surrounding seafloor. The Montebello was an oil tanker that was torpedoed and sunk about 11 km offshore in 275 m water depth by a Japanese submarine on December 23, 1941. The Montebello was loaded with 3,000,000 gallons of crude oil, and there is no evidence that significant leakage of that cargo occurred at the time of the sinking or in the 69 years since. The California Department of Fish and Game’s Office of Spill Prevention and Response (OSPR) commissioned the AUV survey as part of a multi-agency Montebello Task Force effort to assess the potential pollution threat. The survey data will be used to determine the extent and general character of the wreckage for a pending Task Force report and to guide any future ROV dive or assessment activity . The AUV surveyed the wreck site from altitudes of 75 and 25 m; the low-altitude high-resolution survey consists of a grid with a 50 m line spacing both parallel and orthogonal to the ship. The 200 kHz multibeam bathymetry images the wreck from both above and from the sides with an 0.5 m lateral resolution. The combination of soundings from all of the survey lines results in a three-dimensional distribution of soundings that delineates the external morphology and some of the internal structure of the wreck. 410 kHz chirp sidescan sonar data also image the site from both directions. The bathymetry data indicate that the Montebello was pitched forward down when it impacted the bottom, crushing and breaking off the bow section. Both forward and aft deckhouses are largely intact, and in fact the multibeam images the individual decks within those structures. About half of the forward mast remains, both amidships masts and the smokestack are missing. A good deal of the deck piping and equipment appears intact, and aside from the bow, the ship’s sides appear intact. The rudder is intact but leaning to port. The multibeam also imaged a considerable fish population above and around the wreck site.
Proceedings of the Conference Arctic '85; Civil Engineering in the Artic offshore
DOE Office of Scientific and Technical Information (OSTI.GOV)
Bennett, F.L.; Machemehl, J.L.
1985-01-01
Topics of the 1985 Conference included: Arctic construction, Arctic foundation, Arctic structures, and ocean effects. Arctic terminals and coastal offshore bases, protecting the Arctic environment, and probabilistic methods in Arctic offshore engineering were also discussed. Ice mechanics, marine pipelines in the Arctic, and the role of universities in training civil engineers for Arctic offshore development were highlighted. Sessions on remote sensing, surveying, and mapping were included, and offshore installations in the Bering Sea were discussed. Another topic of discussion was research in Civil Engineering for development of the Arctic offshore. The overall thrust of the conference was the application ofmore » Arctic offshore engineering principles and research in the field of oil and gas exploration and exploitation activity.« less
Soliman, Y S; Al Ansari, E M S; Wade, T L
2014-08-30
Surface sediments were collected from sixteen locations in order to assess levels and sources of polycyclic aromatic hydrocarbons (PAHs) in sediments of Qatar exclusive economic zone (EEZ). Samples were analyzed for 16 parent PAHs, 18 alkyl homologs and for dibenzothiophenes. Total PAHs concentration (∑PAHs) ranged from 2.6 ng g(-1) to 1025 ng g(-1). The highest PAHs concentrations were in sediments in and adjacent to harbors. Alkylated PAHs predominated most of the sampling locations reaching up to 80% in offshore locations. Parent PAHs and parent high molecular weight PAHs dominated location adjacent to industrial activities and urban areas. The origin of PAHs sources to the sediments was elucidated using ternary plot, indices, and molecular ratios of specific compounds such as (Ant/Phe+Ant), (Flt/Flt+Pyr). PAHs inputs to most coastal sites consisted of mixture of petroleum and combustion derived sources. However, inputs to the offshore sediments were mainly of petroleum origin. Copyright © 2014 Elsevier Ltd. All rights reserved.
Barge-mounted treating plant to serve Prudhoe Bay injection program
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
1983-01-01
A barge-mounted Seawater Treating Plant (STP) which will serve the largest waterflood project on the North American continent is nearing completion at Daewoo Shipbuilding and Heavy Machinery Ltd. of Korea. The $150-million facility, the first such offshore plant ever built, will provide 2.2 million bpd of filtered, demineralized and warmed seawater under pressure for injection into the Prudhoe Bay, Alaska, oil field. It will be towed from Daewoo's Okpo, Korea, shipyard, in May with expected delivery to Alaska in July. The water output from the STP will maintain, when operational, the pressure necessary to continue the field's current production ofmore » 1.5 million bpd. The STP is being fabricated as a complete unit on its own integral hull. It will be positioned and set in a prepared offshore gravel foundation on the seabed by controlled ballasting. After its estimated service life of 25 years, the STP can be removed from the site by deballasting and towing. Construction requirements for the STP are discussed.« less
Kusche, Henrik; Hillgruber, Nicola; Rößner, Yvonne; Focken, Ulfert
2017-06-01
Brittle stars (Ophiura spp.) and other benthic macrofauna were collected in a prospective mariculture area in the North Sea to determine if these taxa could be used as indicator species to track nutrients released from future offshore aquaculture sites. We analysed natural carbon and nitrogen stable isotopic signatures in tissues from macrofauna and compared these to six feed ingredients and four experimental diets made thereof, as well as to a commercial feed with and without lipid and carbonate removal. Our data suggest practicability of using isotopic signatures of Ophiura spp. to track aquaculture-derived organic material if plant-based fish diet ingredients and commercial feed were used for fish farming in the German Exclusive Economic Zone. Diets with high fish meal content would not be detected in Ophiura spp. using isotopic measures due to the similarity with the marine background. Our data provide valuable baseline information for studies on the impact of offshore aquaculture on the marine environment.
NASA Astrophysics Data System (ADS)
Ring, Allison M.; Canty, Timothy P.; Anderson, Daniel C.; Vinciguerra, Timothy P.; He, Hao; Goldberg, Daniel L.; Ehrman, Sheryl H.; Dickerson, Russell R.; Salawitch, Ross J.
2018-01-01
We investigate the representation of emissions from the largest (Class 3) commercial marine vessels (c3 Marine) within the Community Multiscale Air Quality (CMAQ) model. In present emissions inventories developed by the United States Environmental Protection Agency (EPA), c3 Marine emissions are divided into off-shore and near-shore files. Off-shore c3 Marine emissions are vertically distributed within the atmospheric column, reflecting stack-height and plume rise. Near-shore c3 Marine emissions, located close to the US shoreline, are erroneously assumed to occur only at the surface. We adjust the near-shore c3 Marine emissions inventory by vertically distributing these emissions to be consistent with the off-shore c3 Marine inventory. Additionally, we remove near-shore c3 Marine emissions that overlap with off-shore c3 Marine emissions within the EPA files. The CMAQ model generally overestimates surface ozone (O3) compared to Air Quality System (AQS) site observations, with the largest discrepancies occurring near coastal waterways. We compare modeled O3 from two CMAQ simulations for June, July, and August (JJA) 2011 to surface O3 observations from AQS sites to examine the efficacy of the c3 Marine emissions improvements. Model results at AQS sites show average maximum 8-hr surface O3 decreases up to ∼6.5 ppb along the Chesapeake Bay, and increases ∼3-4 ppb around Long Island Sound, when the adjusted c3 Marine emissions are used. Along with the c3 Marine emissions adjustments, we reduce on-road mobile NOX emissions by 50%, motivated by work from Anderson et al. 2014, and reduce the lifetime of the alkyl nitrate species group from ∼10 days to ∼1 day based on work by Canty et al. 2015, to develop the ;c3 Science; model scenario. Simulations with these adjustments further improve model representation of the atmosphere. We calculate the ratio of column formaldehyde (HCHO) and tropospheric column nitrogen dioxide (NO2) using observations from the Ozone Monitoring Instrument and CMAQ model output to investigate the photochemical O3 production regime (VOC or NOX-limited) of the observed and modeled atmosphere. Compared to the baseline, the c3 Science model scenario more closely simulates the HCHO/NO2 ratio calculated from OMI data. Model simulations for JJA 2018 using the c3 Science scenario show a reduction of surface O3 by as much as ∼13 ppb for areas around the Chesapeake Bay and ∼2-3 ppb at locations in NY and CT downwind of New York City. These reductions are larger in 2018 than in 2011 due to a change in the photochemical O3 production regime in the Long Island Sound region and the projected decline of other (non-c3 Marine) sources of O3 precursors, highlighting the importance of proper representation of c3 Marine emissions in future modeling scenarios.
77 FR 17491 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2012-03-26
... from the Mobile Offshore Drilling Unit Guidance Policy, Notice of Availability, request for comments... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2012-0091] National Offshore Safety... Management; Notice of Federal Advisory Committee Meetings. SUMMARY: The National Offshore Safety Advisory...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Lunardini, V.J.; Wang, Y.S.; Ayorinde, O.A.
1986-01-01
This book presents the papers given at a symposium on offshore platforms. Topics considered at the symposium included climates, Arctic regions, hydrate formation, the buckling of heated oil pipelines in frozen ground, icebergs, concretes, air cushion vehicles, mobile offshore drilling units, tanker ships, ice-induced dynamic loads, adfreeze forces on offshore platforms, and multiyear ice floe collision with a massive offshore structure.
NASA Astrophysics Data System (ADS)
Song, Insun; Chang, Chandong
2017-05-01
This paper presents a complete set of in situ stress calculations for depths of 200-1400 meters below seafloor at Integrated Ocean Drilling Program (IODP) Site C0002, near the seaward margin of the Kumano fore-arc basin, offshore from southwest Japan. The vertical stress component was obtained by integrating bulk density calculations from moisture and density logging data, and the two horizontal components were stochastically optimized by minimizing misfits between a probabilistic model and measured breakout widths for every 30 m vertical segment of the wellbore. Our stochastic optimization process reveals that the in situ stress regime is decoupled across an unconformity between an accretionary complex and the overlying Kumano fore-arc basin. The stress condition above the unconformity is close to the critical condition for normal faulting, while below the unconformity the geologic system is stable in a normal to strike-slip fault stress regime. The critical state of stress demonstrates that the tectonic evolution of the sedimentary system has been achieved mainly by the regionally continuous action of a major out-of-sequence thrust fault during sedimentation in the fore-arc basin. The stable stress condition in the accretionary prism is interpreted to have resulted from mechanical decoupling by the accommodation of large displacement along the megasplay fault.
NASA Astrophysics Data System (ADS)
Becker, L.; Nicholson, C.; Poreda, R. J.
2002-12-01
The Bedout High, located offshore Canning basin in Western Australia, is an unusual structure and its origin remains problematic. K-Ar dating of volcanic samples encountered at total depth in the Lagrange-1 exploration well indicated an age of about 253+/-5 Ma consistent with the Permian-Triassic boundary event. Gorter (PESA News, pp. 33-34, 1996) speculates that the Bedout High is the uplifted core (30 km) of a circular feature, some 220 km across, formed by the impact of a large bolide (cometary or asteroidal) with the Earth near the end-Permian. Accepting a possible impact origin for the Bedout structure, with the indicated dimensions, would have had profound effects on global climate as well as significant changes in lithotratigraphic, biostratigraphic and chemostratigraphic indicators as seen in several Permian-Triassic boundary locations worldwide. In this work, we re-examine some of the structural data previously presented by Gorter (1996) using some additional seismic lines. We have also evaluated several impact tracers including iridium, shocked quartz, productivity collapse, helium-3, chromium-53 and fullerenes with trapped noble gases from some Permian-Triassic boundary sites in the Tethys and Circum-Pacific regions. Our findings suggest that the Bedout structure is a good candidate for an oceanic impact at the end Permian, triggering the most severe mass extinction in the history of life on Earth.
NASA Astrophysics Data System (ADS)
Sutor, M.; Longnecker, K.
2016-02-01
The oligotrophic regions of the world oceans represent large and important marine ecosystems. The vast majority of animals in these zones are plankton and marine microbes and they play a key role in the export of carbon and organic matter to seafloor benthic communities and higher trophic levels. There is little published data on the ecology of plankton and microbes in the offshore waters of the Northern Gulf of Mexico. In the wake of the Deepwater Horizon oil spill, which was a primarily oceanic event, it is clear that understanding the microbial and planktonic community and how it responded to this event is critical to interpret any observed changes at higher trophic levels (i.e. fish). We conducted three cruises in the spring of 2011, 2012, and 2013 and measured the primary production, respiration, bacterial production, and community composition of plankton and marine microbes. The data show that there are important differences in these parameters between the surface waters and the deep chlorophyll maximum and proximity to the spill site in 2011. Spatial patterns in relation to the spill site are not pronounced in 2012 and 2013. These data represent an important estimate of the microbial and planktonic community ecology of this region and demonstrate the important role the deep chlorophyll maximum plays in this system.
78 FR 18614 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2013-03-27
... Continental Shelf (OCS); (b) Electrical Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2013-0182] National Offshore Safety... Advisory Committee Meetings. SUMMARY: The National Offshore Safety Advisory Committee (NOSAC) will meet on...
76 FR 11503 - National Offshore Safety Advisory Committee; Vacancies
Federal Register 2010, 2011, 2012, 2013, 2014
2011-03-02
... person representing enterprises specializing in offshore drilling. To be eligible, applicants for all... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2011-0040] National Offshore Safety... Coast Guard seeks applications for membership on the National Offshore Safety Advisory Committee. This...
76 FR 39410 - National Offshore Safety Advisory Committee; Vacancies
Federal Register 2010, 2011, 2012, 2013, 2014
2011-07-06
... energy industry; (d) One member representing enterprises specializing in offshore drilling; and, (e) One... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2011-0539] National Offshore Safety... Coast Guard seeks applications for membership on the National Offshore Safety Advisory Committee. This...
Mette, Janika; Velasco Garrido, Marcial; Harth, Volker; Preisser, Alexandra M; Mache, Stefanie
2017-01-01
Despite the particular demands inherent to offshore work, little is known about the working conditions of employees in the German offshore wind industry. To date, neither offshore employees' job demands and resources, nor their needs for improving the working conditions have been explored. Therefore, the aim of this study was to conduct a qualitative analysis to gain further insight into these topics. Forty-two semi-structured telephone interviews with German offshore employees ( n = 21) and offshore experts ( n = 21) were conducted. Employees and experts were interviewed with regard to their perceptions of their working conditions offshore. In addition, employees were asked to identify areas with potential need for improvement. The interviews were analysed in a deductive-inductive process according to Mayring's qualitative content analysis. Employees and experts reported various demands of offshore work, including challenging physical labour, long shifts, inactive waiting times, and recurrent absences from home. In contrast, the high personal meaning of the work, regular work schedule (14 days offshore, 14 days onshore), and strong comradeship were highlighted as job resources. Interviewees' working conditions varied considerably, e.g. regarding their work tasks and accommodations. Most of the job demands were perceived in terms of the work organization and living conditions offshore. Likewise, employees expressed the majority of needs for improvement in these areas. Our study offers important insight into the working conditions of employees in the German offshore wind industry. The results can provide a basis for further quantitative research in order to generalize the findings. Moreover, they can be utilized to develop needs-based interventions to improve the working conditions offshore.
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2013 CFR
2013-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2013-10-01 2013-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2011 CFR
2011-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2011-10-01 2011-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2014 CFR
2014-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2014-10-01 2014-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
47 CFR 22.1037 - Application requirements for offshore stations.
Code of Federal Regulations, 2012 CFR
2012-10-01
... telephone number of the applicant; (2) The location and geographical coordinates of the proposed station; (3... 47 Telecommunication 2 2012-10-01 2012-10-01 false Application requirements for offshore stations... for offshore stations. Applications for new Offshore Radiotelephone Service stations must contain an...
Boundary Spanning in Offshored Information Systems Development Projects
ERIC Educational Resources Information Center
Krishnan, Poornima
2010-01-01
Recent growth in offshore outsourcing of information systems (IS) services is accompanied by managing the offshore projects successfully. Much of the project failures can be attributed to geographic and organizational boundaries which create differences in culture, language, work patterns, and decision making processes among the offshore project…
78 FR 63233 - National Offshore Safety Advisory Committee; Meeting
Federal Register 2010, 2011, 2012, 2013, 2014
2013-10-23
... Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling Units. (4) Safety Impact of Liftboat... Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling Units (MODUs); (d) Safety Impact of... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2013-0886] National Offshore Safety...
Federal Register 2010, 2011, 2012, 2013, 2014
2011-12-20
... DEPARTMENT OF THE INTERIOR Bureau of Ocean Energy Management Carpinteria Offshore Field Redevelopment Project--Developmental Drilling Into the Carpinteria Offshore Field Oil and Gas Reserves... Lands Commission (CSLC) intend to jointly review a proposal to develop offshore oil and gas resources...
77 FR 71607 - Mobile Offshore Drilling Unit (MODU) Electrical Equipment Certification Guidance
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-03
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2012-0839] Mobile Offshore Drilling... hazardous areas on foreign-flagged Mobile Offshore Drilling Units (MODUs) that have never operated, but... International Maritime Organization (IMO) Code for the Construction and Equipment of Mobile Offshore Drilling...
46 CFR 15.520 - Mobile offshore drilling units (MODUs).
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 1 2014-10-01 2014-10-01 false Mobile offshore drilling units (MODUs). 15.520 Section... MANNING REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units... endorsement on an MMC as offshore installation manager (OIM), barge supervisor (BS), or ballast control...
46 CFR 11.470 - Officer endorsements as offshore installation manager.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Officer endorsements as offshore installation manager... Officer endorsements as offshore installation manager. (a) Officer endorsements as offshore installation manager (OIM) include: (1) OIM Unrestricted; (2) OIM Surface Units on Location; (3) OIM Surface Units...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Fidler, Courtney, E-mail: crfidler@gmail.com; Noble, Bram, E-mail: b.noble@usask.ca
2012-04-15
Abstract: Strategic environmental assessment (SEA) for offshore oil and gas planning and development is utilized in select international jurisdictions, but the sector has received limited attention in the SEA literature. While the potential benefits of and rationale for SEA are well argued, there have been few empirical studies of SEA processes for the offshore sector. Hence, little is known about the efficacy of SEA offshore, in particular its influence on planning and development decisions. This paper examines SEA practice and influence in three international offshore systems: Norway, Atlantic Canada and the United Kingdom, with the intent to identify the challenges,more » lessons and opportunities for advancing SEA in offshore planning and impact assessment. Results demonstrate that SEA can help inform and improve the efficacy and efficiency of project-based assessment in the offshore sector, however weak coordination between higher and lower tiers limit SEA's ability to influence planning and development decisions in a broad regional environmental and socioeconomic context. - Highlights: Black-Right-Pointing-Pointer SEA can inform and improve the efficacy and efficiency of project EA offshore Black-Right-Pointing-Pointer Scope and deliverables of SEA offshore often differ from stakeholder expectations Black-Right-Pointing-Pointer Considerable variability in influence of SEA output beyond licensing decisions Black-Right-Pointing-Pointer Sector-based SEA offshore is often too restrictive to generate expected benefits.« less
Mette, Janika; Velasco Garrido, Marcial; Harth, Volker; Preisser, Alexandra M; Mache, Stefanie
2018-01-23
Offshore work has been described as demanding and stressful. Despite this, evidence regarding the occupational strain, health, and coping behaviors of workers in the growing offshore wind industry in Germany is still limited. The purpose of our study was to explore offshore wind employees' perceptions of occupational strain and health, and to investigate their strategies for dealing with the demands of offshore work. We conducted 21 semi-structured telephone interviews with employees in the German offshore wind industry. The interviews were transcribed and analyzed in a deductive-inductive approach following Mayring's qualitative content analysis. Workers generally reported good mental and physical health. However, they also stated perceptions of stress at work, fatigue, difficulties detaching from work, and sleeping problems, all to varying extents. In addition, physical health impairment in relation to offshore work, e.g. musculoskeletal and gastrointestinal complaints, was documented. Employees described different strategies for coping with their job demands. The strategies comprised of both problem and emotion-focused approaches, and were classified as either work-related, health-related, or related to seeking social support. Our study is the first to investigate the occupational strain, health, and coping of workers in the expanding German offshore wind industry. The results offer new insights that can be utilized for future research in this field. In terms of practical implications, the findings suggest that measures should be carried out aimed at reducing occupational strain and health impairment among offshore wind workers. In addition, interventions should be initiated that foster offshore wind workers' health and empower them to further expand on effective coping strategies at their workplace.
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 4 2014-10-01 2014-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 4 2011-10-01 2011-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 4 2010-10-01 2010-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 4 2013-10-01 2013-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
76 FR 39885 - Risk-Based Targeting of Foreign Flagged Mobile Offshore Drilling Units (MODUs)
Federal Register 2010, 2011, 2012, 2013, 2014
2011-07-07
... Foreign Flagged Mobile Offshore Drilling Units (MODUs) AGENCY: Coast Guard, DHS. ACTION: Notice of... 11-06, Risk-Based Targeting of Foreign Flagged Mobile Offshore Drilling Units (MODUs). This policy... applicable regulations, every foreign-flagged mobile offshore drilling unit (MODU) must undergo a Coast Guard...
46 CFR 111.105-33 - Mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 4 2012-10-01 2012-10-01 false Mobile offshore drilling units. 111.105-33 Section 111... ELECTRIC SYSTEMS-GENERAL REQUIREMENTS Hazardous Locations § 111.105-33 Mobile offshore drilling units. (a) Applicability. This section applies to each mobile offshore drilling unit. (b) Definitions. As used in this...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
46 CFR 11.468 - Officer endorsements for mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Officer endorsements for mobile offshore drilling units... Officer endorsements for mobile offshore drilling units. Officer endorsements for service on mobile offshore drilling units (MODUs) authorize service on units of any gross tons upon ocean waters while on...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
46 CFR 15.520 - Mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Mobile offshore drilling units. 15.520 Section 15.520... REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units. (a) The requirements in this section for mobile offshore drilling units (MODUs) supplement other requirements in this...
30 CFR 285.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2010 CFR
2010-07-01
... offshore renewable energy industry. 285.116 Section 285.116 Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES OF EXISTING FACILITIES ON THE OUTER... the state of the offshore renewable energy industry, including the identification of potential...
75 FR 2153 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-CHARIOT
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-14
... Compliance for the Offshore Supply Vessel C-CHARIOT AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply..., telephone 202-366-9826. SUPPLEMENTARY INFORMATION: Background and Purpose The offshore supply vessel C...
75 FR 4579 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-AGGRESSOR
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-28
... Compliance for the Offshore Supply Vessel C-AGGRESSOR AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... Operations, telephone 202-366-9826. SUPPLEMENTARY INFORMATION: Background and Purpose The offshore supply...
77 FR 54908 - TC Offshore, LLC; Notice Establishing Deadline for Comments
Federal Register 2010, 2011, 2012, 2013, 2014
2012-09-06
... DEPARTMENT OF ENERGY Federal Energy Regulatory Commission [Docket No. RP12-908-000] TC Offshore, LLC; Notice Establishing Deadline for Comments On August 29, 2012, TC Offshore, LLC (TC Offshore... is hereby given that participants in the captioned proceedings may file comments to TC Offshsore's...
75 FR 29397 - National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling
Federal Register 2010, 2011, 2012, 2013, 2014
2010-05-26
... National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling By the authority vested in... Deepwater Horizon Oil Spill and Offshore Drilling (the ``Commission''). Sec. 2. Membership. (a) The... impact of, oil spills associated with offshore drilling, taking into consideration the environmental...
Coastal monitoring of the May 2005 dredge disposal offshore of Ocean Beach, San Francisco, Calif.
Barnard, Patrick L.; Hanes, Daniel M.
2006-01-01
Ocean Beach, California, contains an erosion hot spot in the shadow of the San Francisco ebb tidal delta south of Sloat Boulevard that threatens valuable public infrastructure as well as the safe recreational use of the beach. In an effort to reduce the erosion at this location and avoid hazardous navigation conditions at the current disposal site (SF-8), a new plan for the management of sediment dredged annually from the main shipping channel at the mouth of Francisco Bay was implemented in May 2005 by the United States Army Corps of Engineers, San Francisco District (COE). The objective for COE was to perform a test dredge disposal of ~230,000 m3 (300,000 yd3) of sand just offshore of the erosion hot spot, in depths between approximately 9 and 14 m. This disposal site was chosen because it is in a location where the strong tidal currents associated with the mouth of San Francisco Bay and waves can potentially feed sediment toward the littoral zone in the reach of the beach that is experiencing critical erosion. The onshore migration of sediment from the target disposal location might feed the primary longshore bar or the nearshore zone, and provide a buffer to erosion that peaks during winter months when large waves impact the region. The U.S. Geological Survey (USGS), in collaboration with the Sea Floor Mapping Lab (SFML) of California State University, Monterey Bay, monitored the initial bathymetric evolution of the test dredge disposal site and the adjacent coastal region from May 2005 to November 2005. This paper reports on this monitoring effort and assesses the short-term coastal response.
Determining return water levels at ungauged coastal sites: a case study for northern Germany
NASA Astrophysics Data System (ADS)
Arns, Arne; Wahl, Thomas; Haigh, Ivan D.; Jensen, Jürgen
2015-04-01
We estimate return periods and levels of extreme still water levels for the highly vulnerable and historically and culturally important small marsh islands known as the Halligen, located in the Wadden Sea offshore of the coast of northern Germany. This is a challenging task as only few water level records are available for this region, and they are currently too short to apply traditional extreme value analysis methods. Therefore, we use the Regional Frequency Analysis (RFA) approach. This originates from hydrology but has been used before in several coastal studies and is also currently applied by the local federal administration responsible for coastal protection in the study area. The RFA enables us to indirectly estimate return levels by transferring hydrological information from gauged to related ungauged sites. Our analyses highlight that this methodology has some drawbacks and may over- or underestimate return levels compared to direct analyses using station data. To overcome these issues, we present an alternative approach, combining numerical and statistical models. First, we produced a numerical multidecadal model hindcast of water levels for the entire North Sea. Predicted water levels from the hindcast are bias corrected using the information from the available tide gauge records. Hence, the simulated water levels agree well with the measured water levels at gauged sites. The bias correction is then interpolated spatially to obtain correction functions for the simulated water levels at each coastal and island model grid point in the study area. Using a recommended procedure to conduct extreme value analyses from a companion study, return water levels suitable for coastal infrastructure design are estimated continuously along the entire coastline of the study area, including the offshore islands. A similar methodology can be applied in other regions of the world where tide gauge observations are sparse.
Roseman, Edward F.
2014-01-01
Deepwater sculpins (Myoxocephalus thompsonii) are an important link in deepwater benthic foodwebs of the Great Lakes. Little information exists about deepwater sculpin spawning habits and early life history ecology due to difficulty in sampling deep offshore habitats. Larval and age-0 deepwater sculpins collected in northern Lake Huron and the Detroit River during 2007 were used to improve our understanding of their habitat use, diet, age, and growth. Peak larval density reached 8.4/1000 m3 in the Detroit River during April and was higher than that in Lake Huron. Offshore bottom trawls at DeTour and Hammond Bay first collected benthic age-0 deepwater sculpins in early September when fish were ≥ 25 mm TL. Otolith analysis revealed that hatch dates for pelagic larvae occurred during late March and larvae remained pelagic for 40 to 60 days. Diet of pelagic larvae (10–21 mm TL) was dominated by calanoid copepods at all sample locations. Diets of benthic age-0 fish varied by location and depth: Mysis and chironomids were prevalent in fish from Hammond Bay and the 91 m site at DeTour, but only chironomids were found in fish from the 37 m DeTour site. This work showed that nearshore epilimnetic sites were important for pelagic larvae and an ontogenetic shift from pelagic planktivore to benthivore occurred at about 25 mm TL in late summer. Age analysis showed that larvae remained pelagic long enough to be transported through the St. Clair–Detroit River system, Lake Erie, and the Niagara River, potentially contributing to populations in Lake Ontario.
NASA Astrophysics Data System (ADS)
Criscitiello, Alison S.; Marshall, Shawn J.; Evans, Matthew J.; Kinnard, Christophe; Norman, Ann-Lise; Sharp, Martin J.
2016-08-01
Using a coastal ice core collected from Prince of Wales (POW) Icefield on Ellesmere Island, we investigate source regions of sea ice-modulated chemical species (methanesulfonic acid (MSA) and chloride (Cl-)) to POW Icefield and the influence of large-scale atmospheric variability on the transport of these marine aerosols (1979-2001). Our key findings are (1) MSA in the POW Icefield core is derived primarily from productivity in the sea ice zone of Baffin Bay and the Labrador Sea, with influence from waters within the North Water (NOW) polynya, (2) sea ice formation processes within the NOW polynya may be a significant source of sea-salt aerosols to the POW core site, in addition to offshore open water source regions primarily in Hudson Bay, and (3) the tropical Pacific influences the source and transport of marine aerosols to POW Icefield through its remote control on regional winds and sea ice variability. Regression analyses during times of MSA deposition reveal sea level pressure (SLP) anomalies favorable for opening of the NOW polynya and subsequent oceanic dimethyl sulfide production. Regression analyses during times of Cl- deposition reveal SLP anomalies that indicate a broader oceanic region of sea-salt sources to the core site. These results are supported by Scanning Multichannel Microwave Radiometer- and Special Sensor Microwave/Imager-based sea ice reconstructions and air mass transport density analyses and suggest that the marine biogenic record may capture local polynya variability, while sea-salt transport to the site from larger offshore source regions in Baffin Bay is likely. Regression analyses show a link to tropical dynamics via an atmospheric Rossby wave.
NASA Astrophysics Data System (ADS)
Lydersen, Ida; Sopher, Daniel; Juhlin, Christopher
2015-04-01
Geological storage of CO2 is one of the available options to reduce CO2-emissions from large point sources. Previous work in the Baltic Sea Basin has inferred a large storage potential in several stratigraphic units. The most promising of these is the Faludden sandstone, exhibiting favorable reservoir properties and forming a regional stratigraphic trap. A potential location for a pilot CO2 injection site, to explore the suitability of the Faludden reservoir is onshore Gotland, Sweden. In this study onshore and offshore data have been digitized and interpreted, along with well data, to provide a detailed characterization of the Faludden reservoir below parts of Gotland. Maps and regional seismic profiles describing the extent and top structure of the Faludden sandstone are presented. The study area covers large parts of the island of Gotland, and extends about 50-70km offshore. The seismic data presented is part of a larger dataset acquired by Oljeprospektering AB (OPAB) between 1970 and 1990. The dataset is to this date largely unpublished, therefore re-processing and interpretation of these data provide improved insight into the subsurface of the study area. Two longer seismic profiles crossing Gotland ENE-WSW have been interpreted to give a large scale, regional control of the Faludden sandstone. A relatively tight grid of land seismic following the extent of the Faludden sandstone along the eastern coast to the southernmost point has been interpreted to better understand the actual distribution and geometry of the Faludden sandstone beneath Gotland. The maps from this study help to identify the most suitable area for a potential test injection site for CO2-storage, and to further the geological understanding of the area in general.
NASA Astrophysics Data System (ADS)
Tribollet, A.; Golubic, S.
2005-11-01
Patterns of bioerosion of dead corals and rubbles on the northern Great Barrier Reef were studied by using blocks of the massive coral Porites experimentally exposed at six sites, located on an inshore-offshore profile, for 1 year and 3 years. Rates of microbioerosion by microborers, grazing by fish, and macrobioerosion by filter-feeding organisms were simultaneously evaluated using image analysis. Microbioerosion, grazing, and total bioerosion were lower at reefs near the Queensland coast than at the edge of the continental shelf (1.81 kg m-2 and 6.07 kg m-2 after 3 years of exposure respectively, for total bioerosion). The opposite pattern was observed for macrobioerosion. Bioaccretion was negligible. These patterns were evident after 1 year of exposure, and became enhanced after 3 years. Microborers were established and were the main agent of bioerosion after 1 year of exposure, and as the principal support for grazing, continued to be the main cause of carbonate loss after 3 years. Full grazing activity and establishment of a mature community of macroborers required more than 1 year of exposure. After 1 year, macroborers and grazers were the second most important agents of bioerosion on both inshore and offshore reefs. However, after 3 years, grazers became the main agents at all sites except at the inshore sites, where macroborers were the principal agents. Because the contribution of microborers, grazers, and macroborers to bioerosion varies in space and time, we suggest that the estimation of reef carbonate budgets need to take in account the activities of all bioerosion agents.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Erbrink, H.J.; Scholten, D.A.
1995-10-01
Atmospheric turbulence intensities and timescales have been measured for one year and modeled in a shoreline environment. Measurements were carried out at two sites, on both sides of the shoreline, about 10 km from the beach. The frequency distribution of Pasquill stability classes [determined using the COPS (calculation of Pasquill stability) method by analyzing wind fluctuations] was compared with similar observations at the land site. A shift to the more stable classes is observed. Moreover, a large shift to the stable classes was shown at the overwater site for the COPS method in comparison to the Hanna et al. andmore » Hsu method, which is based upon z/L values, originating from sea-air temperature differences. The observed values of the lateral wind fluctuations {sigma}{sub {nu}} and stability classes for the dataset could not be adequately described in terms of local parameters such as Obukhov length L and friction velocity u. Therefore, a simple model, which explicitly considered advection and dissipation in the turbulent kinetic energy equation, was formulated for the calculation of turbulence intensity at sea for offshore wind flows; dissipation is assumed to scale well with {sigma}{sub {nu}}{sup 3}/uT{sub {ell}}. Using this model, observed {sigma}{sub {nu}} values were explained remarkably well. It is concluded that atmospheric turbulence intensity above sea in the vicinity of the shoreline is strongly influenced by horizontal gradients and cannot be described successfully only in terms of local parameterization. The calculated values of the Eulerian timescale correlate quite well with measured values of {sigma}{sub {nu}}/u at both sites. However, values of the timescale at sea were larger; this may be caused by differences in roughness lengths between land and sea. 43 refs., 11 figs., 3 tabs.« less
Comparison of shelf currents off central California prior to and during the 1997-1998 El Nino
Ryan, H.F.; Noble, M.A.
2005-01-01
Moored current, temperature, salinity, and pressure data were collected at three sites that transect the narrow continental shelf offshore of Davenport, CA, starting in August 1996 and continuing to the spring of 1998. This data set allowed a comparison of oceanographic conditions prior to (8/96-3/97) and during (8/97-3/98) the last major El Nin??o. During this El Nin??o, mean temperatures over the 8-month time period were about 3??C warmer than during the prior year at all of the sites. Correlations between near-surface and near-bottom temperatures, and between near-surface temperature and wind stress decreased during the El Nin??o compared to conditions the year before. The mean alongshore currents were more strongly poleward during El Nin??o at sites over the mid-shelf and near the shelf break. There was a general tendency for the energy in alongshore currents to move toward lower frequencies during the El Nin??o, particularly at the sites farther offshore. The processes that forced the shelf flows changed in relative importance throughout the study. The local alongshore wind stress was less important in driving shelf currents during the El Nin??o when much of the wind-induced upwelling was confined to less than 5 km of the coast. The observed strong poleward shelf currents on the mid- to outer-shelf were not clearly tied to local forcing, but were remotely driven, most likely by slope currents. The response of the Davenport shelf to an El Nin??o event may differ from other areas since the shelf is narrow, the wind forcing is weaker than areas to the north and south, and the shelf may be at times isolated by fronts that form at strong upwelling centers. In the winter, strong storm-related winds are important in driving currents at periods not only in the synoptic wind band, but also for periods on the order of 20 d and longer.
Reloading Continuous GPS in Northwest Mexico
NASA Astrophysics Data System (ADS)
Gonzalez-Garcia, J. J.; Suarez-Vidal, F.; Gonzalez-Ortega, J. A.
2007-05-01
For more than 10 years we try to follow the steps of the Southern California Integrated GPS Network (SCIGN) and the Plate Boundary Observatory (PBO) in USA, this gives us the opportunity to be in position to contribute to develop a modern GPS Network in Mexico. During 1998 and 2001, three stations were deployed in Northwest Mexico in concert with the development of SCIGN: SPMX in north central Baja California state at the National Astronomical Observatory, UNAM in the Sierra San Pedro Martir; CORX in Isla Coronados Sur, offshore San Diego, Ca./Tijuana, Mexico and GUAX in Guadalupe island 150 miles offshore Baja California peninsula, which provide a unique site on the Pacific plate in the Northamerica/Pacific boundary zone in Las Californias. The former IGS station in CICESE, Ensenada, CICE installed in 1995, was replaced by CIC1 in 1999. In 2004 and 2005 with partial support from SCIGN and UNAVCO to University of Arizona a volunteer team from UNAVCO, Caltech, U.S. Geological Survey, Universidad de la Sierra at Moctezuma Sonora and CICESE built two new shallow-braced GPS sites in northwest Mexico. The first site USMX is located at east-central Sonora and the second YESX is located high in the Sierra Madre Occidental at Yecora near the southern border of Sonora and Chihuahua. All data is openly available at SOPAC and/or UNAVCO. The existing information has been valuable to resolve the "total" plate motion between the Pacific plate (GUAX) and the Northamerica plate (USMX and YESX) in the north- central Gulf of California. Since the last year we have the capability of GPS data processing using GAMIT/GLOBK, and after gain some practice with survey mode data processing we can convert us in a GPS processing center in Mexico. Currently only 2 sites are operational: CIC1 and USMX. With new energy we are ready to contribute to the establishment of a modern GPS network in Mexico for science, hazard monitoring and infrastructure.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dooher, Brendan; Toman, William I.; Davy, Doug M.
The California Wave Energy Test Center (CalWave) Feasibility Study project was funded over multiple phases by the Department of Energy to perform an interdisciplinary feasibility assessment to analyze the engineering, permitting, and stakeholder requirements to establish an open water, fully energetic, grid connected, wave energy test center off the coast of California for the purposes of advancing U.S. wave energy research, development, and testing capabilities. Work under this grant included wave energy resource characterization, grid impact and interconnection requirements, port infrastructure and maritime industry capability/suitability to accommodate the industry at research, demonstration and commercial scale, and macro and micro sitingmore » considerations. CalWave Phase I performed a macro-siting and down-selection process focusing on two potential test sites in California: Humboldt Bay and Vandenberg Air Force Base. This work resulted in the Vandenberg Air Force Base site being chosen as the most favorable site based on a peer reviewed criteria matrix. CalWave Phase II focused on four siting location alternatives along the Vandenberg Air Force Base coastline and culminated with a final siting down-selection. Key outcomes from this work include completion of preliminary engineering and systems integration work, a robust turnkey cost estimate, shoreside and subsea hazards assessment, storm wave analysis, lessons learned reports from several maritime disciplines, test center benchmarking as compared to existing international test sites, analysis of existing applicable environmental literature, the completion of a preliminary regulatory, permitting and licensing roadmap, robust interaction and engagement with state and federal regulatory agency personnel and local stakeholders, and the population of a Draft Federal Energy Regulatory Commission (FERC) Preliminary Application Document (PAD). Analysis of existing offshore oil and gas infrastructure was also performed to assess the potential value and re-use scenarios of offshore platform infrastructure and associated subsea power cables and shoreside substations. The CalWave project team was well balanced and was comprised of experts from industry, academia, state and federal regulatory agencies. The result of the CalWave feasibility study finds that the CalWave Test Center has the potential to provide the most viable path to commercialization for wave energy in the United States.« less
Offshore Wind Market and Economic Analysis
DOE Office of Scientific and Technical Information (OSTI.GOV)
Hamilton, Bruce Duncan
2014-08-27
This report is the third annual assessment of the U.S. offshore wind market. It includes the following major sections: Section 1: key data on developments in the offshore wind technology sector and the global development of offshore wind projects, with a particular focus on progress in the United States; Section 2: analysis of policy developments at the federal and state levels that have been effective in advancing offshore wind deployment in the United States; Section 3: analysis of actual and projected economic impact, including regional development and job creation; Section 4: analysis of developments in relevant sectors of the economymore » with the potential to affect offshore wind deployment in the United States« less
[Offshore work and the work of nurses on board: an integrative review].
Antoniolli, Silvana Aline Cordeiro; Emmel, Suzel Vaz; Ferreira, Gímerson Erick; Paz, Potiguara de Oliveira; Kaiser, Dagmar Elaine
2015-08-01
To know the production of theoretical approaches on issues related to offshore work and the work of offshore nurses. Integrative literature review conducted in the databases of LILACS, BDENF, MEDLINE, SciELO and Index PSI. We selected 33 studies published in national and international journals between 1997 and 2014. The thematic analysis corpus resulted in four central themes: offshore work environment; amid work adversities, an escape; structuring of offshore health and safety services; in search of safe practices. This study contributes to the offshore work of nurses in relation to the nature of work, acting amid adversities and the restless search for safe practices in the open sea.
Merged GIS, GPS data assist siting for gulf gas line
DOE Office of Scientific and Technical Information (OSTI.GOV)
Scott, D.R.; Schmidt, J.A.
1998-06-29
A GIS-based decision-support system was developed for a US Gulf of Mexico onshore and offshore pipeline that has assisted in locating a cost-effective pipeline route based on landcover type, wetland distribution, and proximity to other environmentally sensitive resources. Described here are the methods used to integrate various sources of available GIS data with satellite imagery and surveyed information. Costs of collecting and processing these data are compared with benefits of the system over use of manual methods.
2011-01-01
2008). Satellite tracking reveals distinct movement patterns for Type B and Type C killer whales in the southern Ross Sea, Antarctica. Polar Biology...Deakos, M. H., . . . Mahaffy, S. D. (2008). False killer whales (Pseudorca crassi- dens) around the main Hawaiian Islands: Long-term site fidelity...ern North Pacific false killer whales (Pseudorca crassi- dens). Canadian Journal of Zoology, 85, 783-794. http:// dx.doi.10.1139/Z07-059 Chivers, S. J
Empirical parameterization of setup, swash, and runup
Stockdon, H.F.; Holman, R.A.; Howd, P.A.; Sallenger, A.H.
2006-01-01
Using shoreline water-level time series collected during 10 dynamically diverse field experiments, an empirical parameterization for extreme runup, defined by the 2% exceedence value, has been developed for use on natural beaches over a wide range of conditions. Runup, the height of discrete water-level maxima, depends on two dynamically different processes; time-averaged wave setup and total swash excursion, each of which is parameterized separately. Setup at the shoreline was best parameterized using a dimensional form of the more common Iribarren-based setup expression that includes foreshore beach slope, offshore wave height, and deep-water wavelength. Significant swash can be decomposed into the incident and infragravity frequency bands. Incident swash is also best parameterized using a dimensional form of the Iribarren-based expression. Infragravity swash is best modeled dimensionally using offshore wave height and wavelength and shows no statistically significant linear dependence on either foreshore or surf-zone slope. On infragravity-dominated dissipative beaches, the magnitudes of both setup and swash, modeling both incident and infragravity frequency components together, are dependent only on offshore wave height and wavelength. Statistics of predicted runup averaged over all sites indicate a - 17 cm bias and an rms error of 38 cm: the mean observed runup elevation for all experiments was 144 cm. On intermediate and reflective beaches with complex foreshore topography, the use of an alongshore-averaged beach slope in practical applications of the runup parameterization may result in a relative runup error equal to 51% of the fractional variability between the measured and the averaged slope.
Analysis of Wave Fields induced by Offshore Pile Driving
NASA Astrophysics Data System (ADS)
Ruhnau, M.; Heitmann, K.; Lippert, T.; Lippert, S.; von Estorff, O.
2015-12-01
Impact pile driving is the common technique to install foundations for offshore wind turbines. With each hammer strike the steel pile - often exceeding 6 m in diameter and 80 m in length - radiates energy into the surrounding water and soil, until reaching its targeted penetration depth. Several European authorities introduced limitations regarding hydroacoustic emissions during the construction process to protect marine wildlife. Satisfying these regulations made the development and application of sound mitigation systems (e.g. bubble curtains or insulation screens) inevitable, which are commonly installed within the water column surrounding the pile or even the complete construction site. Last years' advances have led to a point, where the seismic energy tunneling the sound mitigation systems through the soil and radiating back towards the water column gains importance, as it confines the maximum achievable sound mitigation. From an engineering point of view, the challenge of deciding on an effective noise mitigation layout arises, which especially requires a good understanding of the soil-dependent wave field. From a geophysical point of view, the pile acts like a very unique line source, generating a characteristic wave field dominated by inclined wave fronts, diving as well as head waves. Monitoring the seismic arrivals while the pile penetration steadily increases enables to perform quasi-vertical seismic profiling. This work is based on datasets that have been collected within the frame of three comprehensive offshore measurement campaigns during pile driving and demonstrates the potential of seismic arrivals induced by pile driving for further soil characterization.
The characteristics of seismological data from offshore observatory in the northeastern South Korea
NASA Astrophysics Data System (ADS)
Cho, H. M.; Kim, G.; Che, I. Y.; Lim, I. S.; Kim, Y.; Shin, I. C.
2017-12-01
The real-time seismic observation in the ocean is challenging but provides unprecedented data appropriate for seismological research in the ocean from local to global scale. The offshore seismic observatory in the northeastern South Korea operated by Korea Institute of Geoscience and Mineral Resources (KIGAM) integrates the seismic, hydro-acoustic, and infrasound data and transmits the integrated data with oceanographic sensing and SOH (State of Health) to KIGAM in real-time. The observatory is equipped with ocean bottom broadband seismometer (120 s - 50 Hz) laid on the sea-floor approximately 80 meters below sea level. This study focuses on the properties of the data from the sea-floor, noise level evaluation of the observatory in the shallow water, and assessing event detection threshold of the offshore site. We computes the power spectral density (PSD) to describe the background seismic noise and its variations with seasonal change and meteorological condition. The seismic noise probability density functions from the PSDs shows that broadband seismic noise is generally high compared with the Peterson's NLNM and NHNM model. The statistical analysis of the seismic noise is given. We compares the noise level with that of the nearby onshore broadband seismometer. The quality of waveform data from the local, regional, and teleseismic earthquake are evaluated and compared with corresponding onshore data. The S-wave amplification is prominent on the sea-floor observations from local earthquake. The detection threshold on the local earthquake is estimated.
Johnston, Richard H.; Bush, Peter W.; Krause, Richard E.; Miller, James A.; Sprinkle, Craig L.
1982-01-01
A summary of hydrologic testing in an offshore oil-test well (LB427) drilled for Tenneco, Inc., 55 miles east of Fernandina Beach, Florida, is presented. The interval tested (1,050 to 1,070 feet below sea level) is in a calcarenite that is equivalent to the Ocala Limestone (late Eocene) of onshore Florida and South Georgia. At this site the Ocala forms the highly productive Tertiary limestone aquifer system of the southeastern United States. Pressure-head measurements indicate an equivalent freshwater head of 24 to 29 feet above sea level. These pressure-head measurements and an earlier one made in the nearby JOIDES J- I hole are the only hydraulic head determinations to date in the offshore extensions of any of the aquifers underlying the Atlantic coastal plain. A drill-stem test recovered water samples containing about 7,000 milligrams per liter chloride. However, seawater used in the drilling process apparently contaminated the samples and the formation water is considered slightly fresher. The head and salinity data from the Tenneco well suggest that the sampled interval lies in the transition zone between fresh and seawater in the limestone aquifer. These data, when viewed with similar data from JOIDES J-I, show the transition zone to slope very slightly landward. The interface position is probably intermediate between a position compatible with present-day heads and a position compatible with predevelopment heads.
Offshore oil platforms and fouling communities in the southern Arabian Gulf (Abu Dhabi).
Stachowitsch, Michael; Kikinger, Reinhard; Herler, Jürgen; Zolda, Pamela; Geutebrück, Ernst
2002-09-01
This study examined the fouling organisms on the legs of offshore oil platforms at two sites in the southern Arabian Gulf (offshore Abu Dhabi, United Arab Emirates). 100% of the metal structures was colonized by encrusting organisms. Both the number of individuals and the total biomass tended to decrease with depth. The total weight of dead shells always exceeded that of living organisms. Sessile filter feeders dominated the biomass, whereas small mobile forms had the largest number of individuals. The biomass at the deeper platform (22 m) was dominated by bivalves, barnacles and bryozoans, while polychaetes and amphipods had the greatest number of individuals. Biomass values here ranged from 1 g/0.1 m2 at 20 m to 147 g/0.1 m2 at 5 m; the corresponding individual numbers were 266 (20 m) and 11,814 indiv./0.1 m2 (5 m). The results at the shallower platform (11 m) differed in several respects: barnacles clearly dominated over bivalves, and sponges exceeded byrozoans, while total individual numbers fell due to a decline in polychaete dominance. Biomass values here ranged from 84 g/0.1 m2 at 10 m to 153 g/0.1 m2 at 0 m; the corresponding individual numbers were 695 (10 m) and 3,125 indiv./0.1 m2 (0 m). The potential role of such fouling communities on artificial structures in the Gulf is discussed.
NASA Astrophysics Data System (ADS)
Sutton, Tracey; Hopkins, Thomas; Remsen, Andrew; Burghart, Scott
2001-01-01
Sampling was conducted on the west Florida continental shelf ecosystem modeling site to estimate zooplankton grazing impact on primary production. Samples were collected with the high-resolution sampler, a towed array bearing electronic and optical sensors operating in tandem with a paired net/bottle verification system. A close biological-physical coupling was observed, with three main plankton communities: 1. a high-density inshore community dominated by larvaceans coincident with a salinity gradient; 2. a low-density offshore community dominated by small calanoid copepods coincident with the warm mixed layer; and 3. a high-density offshore community dominated by small poecilostomatoid and cyclopoid copepods and ostracods coincident with cooler, sub-pycnocline oceanic water. Both high-density communities were associated with relatively turbid water. Applying available grazing rates from the literature to our abundance data, grazing pressure mirrored the above bio-physical pattern, with the offshore sub-pycnocline community contributing ˜65% of grazing pressure despite representing only 19% of the total volume of the transect. This suggests that grazing pressure is highly localized, emphasizing the importance of high-resolution sampling to better understand plankton dynamics. A comparison of our grazing rate estimates with primary production estimates suggests that mesozooplankton do not control the fate of phytoplankton over much of the area studied (<5% grazing of daily primary production), but "hot spots" (˜25-50% grazing) do occur which may have an effect on floral composition.
Offshore Wind Initiatives at the U.S. Department of Energy
DOE Office of Scientific and Technical Information (OSTI.GOV)
None, None
Coastal and Great Lakes states account for nearly 80% of U.S. electricity demand, and the winds off the shores of these coastal load centers have a technical resource potential twice as large as the nation’s current electricity use. With the costs of offshore wind energy falling globally and the first U.S. offshore wind farm installed off the coast of Block Island, Rhode Island in 2016, offshore wind has the potential to contribute significantly to a clean, affordable, and secure national energy mix. To support the development of a world-class offshore wind industry, the U.S. Department of Energy has been supportingmore » a broad portfolio of offshore wind research, development, and demonstration projects since 2011 and released a new National Offshore Wind Strategy jointly with the U.S. Department of the Interior in 2016.« less
NASA Astrophysics Data System (ADS)
Warner, J. C.; Sullivan, C.; Voulgaris, G.; Work, P.; Haas, K.; Hanes, D. M.
2004-12-01
Long Bay, South Carolina, is a heavily populated coastal region that supports a large tourism industry. Sand resources are important for both recreation and coastal habitat. Earlier geological framework studies have identified a large sand deposit oblique to the shoreline, oriented clockwise in the offshore direction. This sand feature is ~ 10 km long, 2 km wide, and in excess of 3m thick, possibly providing a source for beach nourishment material. Objectives of this study are to describe the physical processes that control the transport of sediment in Long Bay, specifically off the coast of Myrtle Beach, South Carolina. Specifically we seek to 1) measure and model the oceanographic circulation in the region, 2) identify the processes that maintain the presence of the offshore sand feature, 3) quantify the control that the shoal exerts on the nearshore through changes in wave energy propagation, and 4) identify consequences of removal of the offshore sand feature. Both observational and numerical experiments are used to study the oceanographic circulation and transport of sediment. The observational study is described in an accompanying poster and consists of eight sites that measured tides, surface waves, currents, salinity, temperature, suspended sediment concentrations, and bed forms from October 2003 to April 2004. Numerical modeling for circulation and sediment transport in the study region uses a new version of ROMS (v2.1) that now includes transport of multiple grain sizes, coupling of sediment transport to wave bottom boundary layer models, and evolution of the bottom morphology. The SWAN model is used to compute wave propagation. Results indicate that currents in the study area are strongly influenced by both tidal motion and wind driven setup / setdown. The presence of the offshore sand feature alters the residual flows in the region. Sediment transport is more significant during periods of sustained strong winds that generate local waves. Wind direction plays a key role in determining the direction and magnitude of sediment transport.
Using Temperature as a Tracer to Study Fluid Flow Patterns On and Offshore Taiwan
NASA Astrophysics Data System (ADS)
Chi, W. C.
2017-12-01
Fluid flows are a dynamic system in the crust that affect crustal deformation and formation of natural resources. It is difficult to study fluid flow velocity instrumentally, but temperature data offers a quantitative tool that can be used as a tracer to study crustal hydrogeology. Here we present numerical techniques we have applied to study the fluid migration velocity along conduits including faults in on and offshore settings. Offshore SW Taiwan, we use a bottom-simulating reflector (BSR) from seismic profiles to study the temperature field at several hundred meters subbottom depth. The BSR is interpreted as the base of a gas hydrate stability zone under the seabed. Gas hydrates are solid-state water with gas molecules enclosed, which can be found where the temperature, pressure, and salinity conditions allow hydrates to be stable. Using phase diagrams and hydro pressure information we can derive the temperature at the BSR. BSRs are widespread in the study area, providing very dense temperature field information which shows upward bending of the BSR near faults. We have quantitatively estimated the 1D and 2D fluid flow patterns required to fit the BSR-based temperature field. This shows that fault zones can act as conduits with high permeability parallel to the fault planes. On the other hand, fault zones can also act as barriers to fluid flow, as demonstrated in our onland temperature data. We have collected temperature profiles at several bore holes onland that are very close together. The preliminary results show that the fault zones separate the ground water systems, causing very different geothermal gradients. Our results show that the physical properties of fault zones can be anisotropic, as demonstrated in previous work. Future work includes estimating the regional water expulsion budget offshore SW Taiwan, in particular for several gas hydrate sites.
Carlisle, Aaron B.; Kim, Sora L.; Semmens, Brice X.; Madigan, Daniel J.; Jorgensen, Salvador J.; Perle, Christopher R.; Anderson, Scot D.; Chapple, Taylor K.; Kanive, Paul E.; Block, Barbara A.
2012-01-01
The white shark (Carcharodon carcharias) is a wide-ranging apex predator in the northeastern Pacific (NEP). Electronic tagging has demonstrated that white sharks exhibit a regular migratory pattern, occurring at coastal sites during the late summer, autumn and early winter and moving offshore to oceanic habitats during the remainder of the year, although the purpose of these migrations remains unclear. The purpose of this study was to use stable isotope analysis (SIA) to provide insight into the trophic ecology and migratory behaviors of white sharks in the NEP. Between 2006 and 2009, 53 white sharks were biopsied in central California to obtain dermal and muscle tissues, which were analyzed for stable isotope values of carbon (δ13C) and nitrogen (δ15N). We developed a mixing model that directly incorporates movement data and tissue incorporation (turnover) rates to better estimate the relative importance of different focal areas to white shark diet and elucidate their migratory behavior. Mixing model results for muscle showed a relatively equal dietary contribution from coastal and offshore regions, indicating that white sharks forage in both areas. However, model results indicated that sharks foraged at a higher relative rate in coastal habitats. There was a negative relationship between shark length and muscle δ13C and δ15N values, which may indicate ontogenetic changes in habitat use related to onset of maturity. The isotopic composition of dermal tissue was consistent with a more rapid incorporation rate than muscle and may represent more recent foraging. Low offshore consumption rates suggest that it is unlikely that foraging is the primary purpose of the offshore migrations. These results demonstrate how SIA can provide insight into the trophic ecology and migratory behavior of marine predators, especially when coupled with electronic tagging data. PMID:22355313
Carolina Offshore Wind Integration Case Study: Phases I and II Final Technical Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Fallon, Christopher; Piper, Orvane; Hazelip, William
2015-04-30
Duke Energy performed a phase 1 study to assess the impact of offshore wind development in the waters off the coasts of North Carolina and South Carolina. The study analyzed the impacts to the Duke Energy Carolinas electric power system of multiple wind deployment scenarios. Focusing on an integrated utility system in the Carolinas provided a unique opportunity to assess the impacts of offshore wind development in a region that has received less attention regarding renewables than others in the US. North Carolina is the only state in the Southeastern United States that currently has a renewable portfolio standard (RPS)more » which requires that 12.5% of the state’s total energy requirements be met with renewable resources by 2021. 12.5% of the state’s total energy requirements in 2021 equates to approximately 17,000 GWH of energy needed from renewable resources. Wind resources represent one of the ways to potentially meet this requirement. The study builds upon and augments ongoing work, including a study by UNC to identify potential wind development sites and the analysis of impacts to the regional transmission system performed by the NCTPC, an Order 890 planning entity of which DEC is a member. Furthermore, because the region does not have an independent system operator (ISO) or regional transmission organization (RTO), the study will provide additional information unique to non-RTO/ISO systems. The Phase 2 study builds on the results of Phase 1 and investigates the dynamic stability of the electrical network in Task 4, the operating characteristics of the wind turbines as they impact operating reserve requirements of the DEC utility in Task 5, and the production cost of integrating the offshore wind resources into the DEC generation fleet making comparisons to future planned operation without the addition of the wind resources in Task 6.« less
33 CFR 147.T08-849 - DEEPWATER HORIZON Mobile Offshore Drilling Unit Safety Zone.
Code of Federal Regulations, 2010 CFR
2010-07-01
... DEEPWATER HORIZON Mobile Offshore Drilling Unit Safety Zone. (a) Location. All areas within 500 meters (1640... area surrounds the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU), that sank in the... 33 Navigation and Navigable Waters 2 2010-07-01 2010-07-01 false DEEPWATER HORIZON Mobile Offshore...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-02-03
... to encourage and incentivize offshore wind energy development. While a state may promote such development through activities such as the creation of financial incentives, an offshore wind project cannot... information resource for the state on Virginia's coastal energy resources, including offshore wind. For more...
30 CFR 285.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore renewable energy industry. 285.116 Section 285.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY ALTERNATE USES... information on the state of the offshore renewable energy industry. (a) The Director may, from time to time...
30 CFR 585.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore renewable energy industry. 585.116 Section 585.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON... offshore renewable energy industry. (a) The Director may, from time to time, and at his discretion, solicit...
30 CFR 585.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore renewable energy industry. 585.116 Section 585.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON... offshore renewable energy industry. (a) The Director may, from time to time, and at his discretion, solicit...
30 CFR 585.116 - Requests for information on the state of the offshore renewable energy industry.
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore renewable energy industry. 585.116 Section 585.116 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE RENEWABLE ENERGY AND ALTERNATE USES OF EXISTING FACILITIES ON... offshore renewable energy industry. (a) The Director may, from time to time, and at his discretion, solicit...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-12-29
... No. BOEM-2010-0063] Commercial Leasing for Wind Power on the Outer Continental Shelf (OCS) Offshore..., Interior. ACTION: RFI in Commercial Wind Energy Leasing Offshore Massachusetts, and Invitation for Comments... the construction of a wind energy project(s) on the Outer Continental Shelf (OCS) offshore...
Eighteenth annual offshore technology conference. Volume 1
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
1986-01-01
These sixty papers were given at a conference on offshore technology. Topics covered include friction effects of driving piles into sea beds of various compositions, wave forces on offshore platforms, stability, materials testing of various components such as plates, legs, wellheads, pipe joints, and protection of offshore platforms against ice and collision with icebergs.
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2013 CFR
2013-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2011 CFR
2011-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2012 CFR
2012-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2014 CFR
2014-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated..., from 10 a.m. to 6 p.m. EDT. (3) All vessel traffic, not involved in the Hurricane Offshore Classic...
75 FR 32802 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-CONTENDER
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-09
... Compliance for the Offshore Supply Vessel C-CONTENDER AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... for the offshore supply vessel C-CONTENDER. The horizontal distance between the forward and aft...
75 FR 45648 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-COURAGEOUS
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-03
... Compliance for the Offshore Supply Vessel C-COURAGEOUS AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... 89, has been issued for the offshore supply vessel C-COURAGEOUS, O.N. 1060716. The horizontal...
75 FR 17755 - Certificate of Alternative Compliance for the Offshore Supply Vessel GULF TIGER
Federal Register 2010, 2011, 2012, 2013, 2014
2010-04-07
... Compliance for the Offshore Supply Vessel GULF TIGER AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... for the h offshore supply vessel GULF TIGER. Full compliance with 72 COLREGS and the Inland Rules Act...
75 FR 32803 - Certificate of Alternative Compliance for the Offshore Supply Vessel JONCADE
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-09
... Compliance for the Offshore Supply Vessel JONCADE AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... offshore supply vessel JONCADE, O.N. 1224528. Full compliance with 72 COLREGS and Inland Rules Act would...
75 FR 53323 - Certificate of Alternative Compliance for the Offshore Supply Vessel LYMAN MARTIN
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-31
... Compliance for the Offshore Supply Vessel LYMAN MARTIN AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... 89, has been issued for the offshore supply vessel LYMAN MARTIN, O.N. 11227085. The horizontal...
75 FR 32802 - Certificate of Alternative Compliance for the Offshore Supply Vessel ROSS CANDIES
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-09
... Compliance for the Offshore Supply Vessel ROSS CANDIES AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The Coast Guard announces that a Certificate of Alternative Compliance was issued for the offshore supply... the offshore supply vessel ROSS CANDIES, O.N. 1222260. Full compliance with 72 COLREGS [[Page 32803...
International Offshore Students' Perceptions of Virtual Office Hours
ERIC Educational Resources Information Center
Wdowik, Steven; Michael, Kathy
2013-01-01
Purpose: The main aim of this study is to gauge international offshore students' perceptions of virtual office hours (VOH) to consult with their offshore unit coordinators in Australia. Design/methodology/approach: This paper employs a quantitative and qualitative approach where data was sourced from three offshore campuses over a 12-month period…
Offshore Fish Community: Ecological Interactions | Science ...
The offshore (>80 m) fish community of Lake Superior is made up of predominately native species. The most prominent species are deepwater sculpin, kiyi, cisco, siscowet lake trout, burbot, and the exotic sea lamprey. Bloater and shortjaw cisco are also found in the offshore zone. Bloater is abundant in the offshore zone but appears restricted to depths shallower than 150 m (Selgeby and Hoff 1996; Stockwell et al. 2010), although it occuppied greater depths several decades ago (Dryer 1966; Peck 1977). Shortjaw is relatively rare in the offshore zone (Hoff and Todd 2004; Gorman and Hoff 2009; Gorman and Todd 2007). Lake whitefish is also known to frequent bathymetric depths >100 m (Yule et al. 2008b). In this chapter, we develop a conceptual model of the offshore food web based on data collected during 2001-2005 and on inferences from species interactions known for the nearshore fish community. We then develop a framework for examination of energy and nutrient movements within the pelagic and benthic habitats of the offshore zone and across the offshore and nearshore zones. To document research results.
Towers for Offshore Wind Turbines
NASA Astrophysics Data System (ADS)
Kurian, V. J.; Narayanan, S. P.; Ganapathy, C.
2010-06-01
Increasing energy demand coupled with pollution free production of energy has found a viable solution in wind energy. Land based windmills have been utilized for power generation for more than two thousand years. In modern times wind generated power has become popular in many countries. Offshore wind turbines are being used in a number of countries to tap the energy from wind over the oceans and convert to electric energy. The advantages of offshore wind turbines as compared to land are that offshore winds flow at higher speed than onshore winds and the more available space. In some land based settings, for better efficiency, turbines are separated as much as 10 rotor diameters from each other. In offshore applications where only two wind directions are likely to predominate, the distances between the turbines arranged in a line can be shortened to as little as two or four rotor diameters. Today, more than a dozen offshore European wind facilities with turbine ratings of 450 kw to 3.6 MW exist offshore in very shallow waters of 5 to 12 m. Compared to onshore wind turbines, offshore wind turbines are bigger and the tower height in offshore are in the range of 60 to 80 m. The water depths in oceans where offshore turbines can be located are within 30 m. However as the distance from land increases, the costs of building and maintaining the turbines and transmitting the power back to shore also increase sharply. The objective of this paper is to review the parameters of design for the maximum efficiency of offshore wind turbines and to develop types offshore towers to support the wind turbines. The methodology of design of offshore towers to support the wind turbine would be given and the environmental loads for the design of the towers would be calculated for specific cases. The marine corrosion on the towers and the methods to control the corrosion also would be briefly presented. As the wind speeds tend to increase with distance from the shore, turbines build father offshore will be able to capture more wind energy. Currently two types of towers are considered. Cylindrical tubular structures and truss type structures. But truss type structures have less weight and flexibility in design. The construction of the offshore towers to harness the wind energy is also presented. The results will include the calculation of wind and wave forces on the tower and the design details for the tower.
Carr, Stephanie A; Mills, Christopher T.; Mandernack, Kevin W
2016-01-01
The Adélie Basin, located offshore of the Wilkes Land margin, experiences unusually high sedimentation rates (~ 2 cm yr− 1) for the Antarctic coast. This study sought to compare depthwise changes in organic matter (OM) quantity and quality with changes in microbial biomass with depth at this high-deposition site and an offshore continental margin site. Sediments from both sites were collected during the International Ocean Drilling (IODP) Program Expedition 318. Viable microbial biomass was estimated from concentrations of bacterial-derived phospholipid fatty acids, while OM quality was assessed using four different amino acid degradation proxies. Concentrations of total hydrolysable amino acids (THAA) measured from the continental margin suggest an oligotrophic environment, with THAA concentrations representing only 2% of total organic carbon with relative proportions of non-protein amino acids β-alanine and γ-aminobutyric acid as high as 40%. In contrast, THAA concentrations from the near-shore Adélie Basin represent 40%–60% of total organic carbon. Concentrations of β-alanine and γ-aminobutyric acid were often below the detection limit and suggest that the OM of the basin as labile. DI values in surface sediments at the Adélie and margin sites were measured to be + 0.78 and − 0.76, reflecting labile and more recalcitrant OM, respectively. Greater DI values in deeper and more anoxic portions of both cores correlated positively with increased relative concentrations of phenylalanine plus tyrosine and may represent a change of redox conditions, rather than OM quality. This suggests that DI values calculated along chemical profiles should be interpreted with caution. THAA concentrations, the percentage of organic carbon (CAA%) and total nitrogen (NAA%) represented by amino acids at both sites demonstrated a significant positive correlation with bacterial abundance estimates. These data suggest that the selective degradation of amino acids, as indicated by THAA concentrations, CAA% or NAA% values may be a better proxy for describing the general changes in sedimentary bacterial abundances than total organic matter or bulk sedimentation rates.
Experimental Seismic Event-screening Criteria at the Prototype International Data Center
NASA Astrophysics Data System (ADS)
Fisk, M. D.; Jepsen, D.; Murphy, J. R.
- Experimental seismic event-screening capabilities are described, based on the difference of body-and surface-wave magnitudes (denoted as Ms:mb) and event depth. These capabilities have been implemented and tested at the prototype International Data Center (PIDC), based on recommendations by the IDC Technical Experts on Event Screening in June 1998. Screening scores are presented that indicate numerically the degree to which an event meets, or does not meet, the Ms:mb and depth screening criteria. Seismic events are also categorized as onshore, offshore, or mixed, based on their 90% location error ellipses and an onshore/offshore grid with five-minute resolution, although this analysis is not used at this time to screen out events.Results are presented of applications to almost 42,000 events with mb>=3.5 in the PIDC Standard Event Bulletin (SEB) and to 121 underground nuclear explosions (UNE's) at the U.S. Nevada Test Site (NTS), the Semipalatinsk and Novaya Zemlya test sites in the Former Soviet Union, the Lop Nor test site in China, and the Indian, Pakistan, and French Polynesian test sites. The screening criteria appear to be quite conservative. None of the known UNE's are screened out, while about 41 percent of the presumed earthquakes in the SEB with mb>=3.5 are screened out. UNE's at the Lop Nor, Indian, and Pakistan test sites on 8 June 1996, 11 May 1998, and 28 May 1998, respectively, have among the lowest Ms:mb scores of all events in the SEB.To assess the validity of the depth screening results, comparisons are presented of SEB depth solutions to those in other bulletins that are presumed to be reliable and independent. Using over 1600 events, the comparisons indicate that the SEB depth confidence intervals are consistent with or shallower than over 99.8 percent of the corresponding depth estimates in the other bulletins. Concluding remarks are provided regarding the performance of the experimental event-screening criteria, and plans for future improvements, based on recent recommendations by the IDC Technical Experts on Event Screening in May 1999.
Results of the first detection units of KM3NeT
NASA Astrophysics Data System (ADS)
Biagi, Simone; KM3NeT Collaboration
2017-12-01
The KM3NeT collaboration is building a km3-scale neutrino telescope in the Mediterranean Sea. The current phase of construction comprises the deep-sea and onshore infrastructures at two installation sites and the installation of the first detection units for the "ARCA" (Astroparticle Research with Cosmics in the Abyss) and "ORCA" (Oscillation Research with Cosmics in the Abyss) detector. At the KM3NeT-It site, 80 km offshore Capo Passero, Italy, the first 32 detection units for the ARCA detector are being installed and at the KM3Net-Fr site, 40 km offshore Toulon, France, 7 detection units for the ORCA detector will be deployed. The second phase of KM3NeT foresees the completion of ARCA for neutrino astronomy at energies above TeV and ORCA for neutrino mass hierarchy studies at energies in the GeV range. The basic element of the KM3NeT detector is the detection unit. In the ARCA geometry, the detection unit is a 700 m long vertical structure hosting 18 optical modules. Each optical module comprises 31 3 in photomultiplier tubes, instruments to monitor environmental parameters, and the electronic boards for the digitisation of the PMT signals and the management of data acquisition. In their final configuration, both ARCA and ORCA will be composed of about 200 detection units. The first detection unit was installed at the KM3NeT-It site in December 2015. It is active and taking data since its connection to the subsea network. The time of arrival and the duration of photon hits on each of the photomultipliers is measured with a time resolution of 1 ns and transferred onshore where the measurements are processed, triggered and stored on disk. A time calibration procedure, based on data recorded with flashing LED beacons during dedicated periods, allows for time synchronisation of the signals from the optical modules at the nanosecond level. In May 2016, an additional detection unit was installed at the KM3NeT-It site. The first results with two active detection units are presented. An update of the detector status and construction is given.
Noble, M.A.; Ramp, S.R.
2000-01-01
In February 1991, an array of six current-meter moorings was deployed for one year across the central California outer shelf and slope. The main line of the array extended 30 km offshore of the shelf break, out to water depths of 1400 m. A more sparsely-instrumented line, displaced 30 km to the northwest, extended 14 km offshore. Though shorter, the northern line spanned similar water depths because the gradient of the topography steepened in the northern region. A poleward flow pattern, typical of the California undercurrent, was seen across both lines in the array over most of the year. The poleward flow was surface intensified. In general, the portion of the undercurrent that crossed the southern line had larger amplitudes and penetrated more deeply into the water column than the portion that crossed the northern line. Transport over the year ranged from 0 to 2.5 Sverdrups (Sv) poleward across the southern line; 0 to 1 Sv poleward across the northern line. We suggest the difference in transport was caused by topographic constraints, which tended to force the poleward flow offshore of the northern measurement sites. The slope of the topography steepened too abruptly to allow the poleward flow to follow isobaths when currents were strong. When current velocities lessened, a more coherent flow pattern was seen across both lines in the array. In general, the poleward flow patterns in the undercurrent were not affected by local winds or by the local alongshore pressure gradient. Nor was a strong seasonal pattern evident. Rather unexpectedly, a small but statistically significant fraction of the current variance over the mid- and outer slope was driven by the surface wind stress. An alongshelf wind stress caused currents to flow along the slope, parallel to the wind field, down to depths of 400 m below the surface and out to distances of 2 Rossby radii past the shelf break. The transfer functions were weak, 3-4 cm/s per dyn cm-2, but comparable to wind-driven current amplitudes of 4-6 cm/s per unit wind stress over the middle shelf. Equatorward, alongshelf winds also caused water from 200-300 m over the slope to upwell onto the shelf as the surface water moved offshore.
NASA Astrophysics Data System (ADS)
Stegmann, P. M.; Yoder, J. A.
1996-06-01
We examined full-resolution (1 × 1 km) satellite images of sea-surface temperature (SST) over five consecutive years (1981-1986) covering the Atlantic menhaden ( Brevoortia tyrannus) recruitment period (November-April) in the SABRE (South Atlantic Bight recruitment experiment) study site. The results of our image time series indicated two processes which could be possible mechanisms for the onshore transport of fish larvae into coastal regions. One is the influx of warm Gulf Stream water that oscillates in and out of the Carolina Bays. These oscillations occurred throughout the study period over distances of 20-40 km and on time-scales as short as two days. The other is a tongue of relatively cold water located adjacent to the Virginia coast that moved southward and penetrated into Onslow Bay between January and March. Previous studies showed that Atlantic menhaden preferentially spawn in 18-22°C waters on the outer shelf. On the assumption that the 18°C isotherm (18DI) indicates where high larval abundance may occur, we used AVHRR-SST imagery to track the onshore-offshore movement of the 18DI along a transect extending onshore-offshore in Onslow Bay. Owing to seasonal warming and cooling, this isotherm was always found closest to the coast in early November, reached maximum offshore displacement by January/March, and then moved onshore again in April/May. Our results also showed that the position of this isotherm can move offshore or onshore in a matter of a few days. An important influence and possibly the major cause of the higher frequency displacements of the 18DI are Gulf Stream meanders or filaments moving through Onslow Bay. Our estimates of onshore isotherm speeds as determined from satellite SST ranged from 2 to 25 cm s -1 and are within the same order as those calculated by physical models or larval age determinations. If the onshore pulses of warm Gulf Stream water are indeed a mode by which menhaden larvae are transported cross-shelf, then the use of satellite-based observations to determine their frequency and onshore extent, as done in the present study, is a useful tool to study variations in fish recruitment.
Coastal nutrification and coral health at Porto Seguro reefs, Brazil
NASA Astrophysics Data System (ADS)
Costa, O.; Attrill, M.; Nimmo, M.
2003-04-01
Human activities have substantially increased the natural flux of nutrients to coastal systems worldwide. In Brazilian reefs, all major stresses (sedimentation, overfishing, tourism-related activities and nutrification) are human induced. To assess nutrification levels in Brazilian coastal reefs, measurements of the distribution patterns of nutrients and chlorophyll concentrations were conducted in three nearshore and offshore reefs with distinct nutrient inputs along the south coast of Bahia State. Seawater and porewater samples were analysed for soluble reactive phosphorus, total oxidised nitrogen and reactive silica. Benthic surveys were performed at all sites to investigate the relationships between benthic community composition and nutrient and chlorophyll concentrations. Sampling was undertaken in dry and rainy seasons. Results of both seawater and porewater nutrient measurements revealed the occurrence of consistent spatial and temporal patterns. An inshore-offshore gradient reflects the occurrence of land-based point sources, with significant amount of nutrients being delivered by human activities on the coast (untreated sewage and groundwater seepage). Another spatial gradient is related to distance from a localized source of pollution (an urban settlement without sewerage treatment) with two nearshore reefs presenting distinct nutrient and chlorophyll concentrations. Seasonal variations suggest that submarine groundwater discharge (SGD) is the primary source of nutrients for the coastal reefs during rainy season. The data also suggests that the SGD effect is not restricted to nearshore reefs, and may be an important factor controlling the differences between landward and seaward sides on the offshore reef. Benthic community assessment revealed that turf alga is the dominant group in all studied reefs and that zoanthids are the organisms most adapted to take advantage of nutrient increase in coastal areas. At nearshore reefs, there was a negative correlation between zoanthids and algal abundance and a positive correlation with the amount of available space for settlement. On the offshore reef, correlation of algal cover with both zoanthids and available space were negative, suggesting that hard substrate may be the primary limiting factor for algal settlement and growth in the nearshore reefs. Highly variable physical disturbances (like wave energy and low tide exposure) between landward and seaward reef sides appear to be the factors controlling algal distribution in the offshore reef. Highly spatial variability in coral cover ultimately reflects the patchy distribution of stony corals over the reefs.
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 1 2014-10-01 2014-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-02-03
... incentivize offshore wind energy development. While a state may promote such development through activities such as the creation of financial incentives, it is important to note that an offshore wind project... evaluate and determine areas of the OCS that may be suitable for offshore wind energy development. This...
Federal Register 2010, 2011, 2012, 2013, 2014
2013-01-04
... Offshore Wind Collaborative,'' a public-private entity consisting of NYPA, the Long Island Power Authority... Island-New York City Offshore Wind Project'', is designed to generate at least 350 megawatts (MW) of electricity from offshore wind resources, with the ability to expand generation capacity to as much as 700 MW...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 33 Navigation and Navigable Waters 3 2013-07-01 2013-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 33 Navigation and Navigable Waters 3 2012-07-01 2012-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 33 Navigation and Navigable Waters 3 2014-07-01 2014-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2010 CFR
2010-07-01
... 33 Navigation and Navigable Waters 3 2010-07-01 2010-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 33 Navigation and Navigable Waters 3 2011-07-01 2011-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
76 FR 24813 - Safety Zone; Fourth Annual Offshore Challenge, Sunny Isles Beach, FL
Federal Register 2010, 2011, 2012, 2013, 2014
2011-05-03
... Annual Offshore Challenge will consist of a series of high-speed boat races. The boat races are scheduled... Events, LLC is hosting the Fourth Annual Offshore Challenge, a series of high-speed boat races. The Fourth Annual Offshore Challenge will commence on June 17, 2011 and conclude on June 19, 2011. The boat...
Offshore Wind Jobs and Economic Development Impacts in the United States: Four Regional Scenarios
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, S.; Keyser, D.; Flores-Espino, F.
This report uses the offshore wind Jobs and Economic Development Impacts (JEDI) model and provides four case studies of potential offshore deployment scenarios in different regions of the United States: the Southeast, the Great Lakes, the Gulf Coast, and the Mid-Atlantic. Researchers worked with developers and industry representatives in each region to create potential offshore wind deployment and supply chain growth scenarios, specific to their locations. These scenarios were used as inputs into the offshore JEDI model to estimate jobs and other gross economic impacts in each region.
Construction of VLCC marine oil storage cost index system
NASA Astrophysics Data System (ADS)
Li, Yuan; Li, Yule; Lu, Jinshu; Wu, Wenfeng; Zhu, Faxin; Chen, Tian; Qin, Beichen
2018-04-01
VLCC as the research object, the basic knowledge of VLCC is summarized. According to the phenomenon that VLCC is applied to offshore oil storage gradually, this paper applies the theoretical analysis method to analyze the excess capacity from VLCC, the drop of oil price, the aging VLCC is more suitable for offshore storage The paper analyzes the reason of VLCC offshore oil storage from three aspects, analyzes the cost of VLCC offshore storage from the aspects of manpower cost and shipping cost, and constructs the cost index system of VLCC offshore oil storage.
A silent slip event on the deeper Cascadia subduction interface.
Dragert, G; Wang, K; James, T S
2001-05-25
Continuous Global Positioning System sites in southwestern British Columbia, Canada, and northwestern Washington state, USA, have been moving landward as a result of the locked state of the Cascadia subduction fault offshore. In the summer of 1999, a cluster of seven sites briefly reversed their direction of motion. No seismicity was associated with this event. The sudden displacements are best explained by approximately 2 centimeters of aseismic slip over a 50-kilometer-by-300-kilometer area on the subduction interface downdip from the seismogenic zone, a rupture equivalent to an earthquake of moment magnitude 6.7. This provides evidence that slip of the hotter, plastic part of the subduction interface, and hence stress loading of the megathrust earthquake zone, can occur in discrete pulses.
Anisotropic Velocities of Gas Hydrate-Bearing Sediments in Fractured Reservoirs
Lee, Myung W.
2009-01-01
During the Indian National Gas Hydrate Program Expedition 01 (NGHP-01), one of the richest marine gas hydrate accumulations was discovered at drill site NGHP-01-10 in the Krishna-Godavari Basin, offshore of southeast India. The occurrence of concentrated gas hydrate at this site is primarily controlled by the presence of fractures. Gas hydrate saturations estimated from P- and S-wave velocities, assuming that gas hydrate-bearing sediments (GHBS) are isotropic, are much higher than those estimated from the pressure cores. To reconcile this difference, an anisotropic GHBS model is developed and applied to estimate gas hydrate saturations. Gas hydrate saturations estimated from the P-wave velocities, assuming high-angle fractures, agree well with saturations estimated from the cores. An anisotropic GHBS model assuming two-component laminated media - one component is fracture filled with 100-percent gas hydrate, and the other component is the isotropic water-saturated sediment - adequately predicts anisotropic velocities at the research site.
NASA Astrophysics Data System (ADS)
Mulcan, Amanda
This thesis aims to facilitate the siting and implementation of Florida Atlantic University Southeast National Marine Renewable Energy Center (FAU SNMREC) ocean current energy (OCE) projects offshore southeastern Florida through the analysis of benthic anchoring conditions. Specifically, a suitability analysis considering all presently available biologic and geologic datasets within the legal framework of OCE policy and regulation was done. OCE related literature sources were consulted to assign suitability levels to each dataset, ArcGIS interpolations generated seafloor substrate maps, and existing submarine cable pathways were considered for OCE power cables. The finalized suitability map highlights the eastern study area as most suitable for OCE siting due to its abundance of sand/sediment substrate, existing underwater cable route access, and minimal biologic presence. Higher resolution datasets are necessary to locate specific OCE development locales, better understand their benthic conditions, and minimize potentially negative OCE environmental impacts.
Revisiting the feasibility analysis of on-site wind generation for the control of a dutch polder
NASA Astrophysics Data System (ADS)
Abraham, Edo; van Nooijen, Ronald
2017-04-01
EU targets to substantially reduce greenhouse gas emissions, by 20% within 2020 and 40% within 2030, has resulted in the introduction of more renewables to the grid. The recent announcement (2016) by the UK and the Netherlands to build offshore wind farms of 1.2 GW and 0.7 GW, respectively, is an example of the increasing trend for wind power penetration in the grid. The uncertainty in renewable electricity generation and its use has, however, created problems for grid stability, necessitating smarter grid and demand side management. Renewable energy, through the use of on-site windmills, has been used to keep Dutch polders dry for centuries. In this work, we present preliminary analysis of the potential for on-site wind energy use for draining a Dutch polder. A mathematical framework is presented to optimise pumping subject to uncertainties in wind energy variations and runoff predictions.
Leahy, Joseph G.; Somerville, Charles C.; Cunningham, Kelly A.; Adamantiades, Grammenos A.; Byrd, Jeffrey J.; Colwell, Rita R.
1990-01-01
Rates of degradation of radiolabeled hydrocarbons and incidence of bacterial plasmid DNA were investigated in sediment samples collected from the Campeche Bank, Gulf of Mexico, site of an offshore oil field containing several petroleum platforms. Overall rates of mineralization of [14C]hexadecane and [14C]phenanthrene measured for sediments were negligible; <1% of the substrate was converted to CO2 in all cases. Low mineralization rates are ascribed to nutrient limitations and to lack of adaptation by microbial communities to hydrocarbon contaminants. Plasmid frequency data for sediment bacteria similarly showed no correlation with proximity to the oil field, but, instead, showed correlation with water column depth at each sampling site. Significant differences between sites were observed for proportion of isolates carrying single or multiple plasmids and mean number of plasmids per isolate, each of which increased as a function of depth. PMID:16348204
DOE Office of Scientific and Technical Information (OSTI.GOV)
Pandey, D. K., E-mail: pandey@ncaor.org; Pandey, A.; Rajan, S.
2011-03-15
The Deccan basalts in central western India are believed to occupy large onshore-offshore area. Using geophysical and geological observations, onshore sub-surface structural information has been widely reported. On the contrary, information about offshore structural variations has been inadequate due to scarcity of marine geophysical data and lack of onshore-offshore lithological correlations. Till date, merely a few geophysical studies are reported that gauge about the offshore extent of Deccan Traps and the Mesozoic sediments (pre-Deccan). To fill this gap in knowledge, in this article, we present new geophysical evidences to demonstrate offshore continuation of the Deccan volcanics and the Mesozoic sediments.more » The offshore multi-channel seismic and onshore-offshore lithological correlations presented here confirm that the Mesozoic sedimentary column in this region is overlain by 0.2-1.2-km-thick basaltic cover. Two separate phases of Mesozoic sedimentation, having very distinctive physical and lithological characteristics, are observed between overlying basaltic rocks and underlying Precambrian basement. Using onshore-offshore seismic and borehole data this study provides new insight into the extent of the Deccan basalts and the sub-basalt structures. This study brings out a much clearer picture than that was hitherto available about the offshore continuation of the Deccan Traps and the Mesozoic sediments of Kachchh. Further, its implications in identifying long-term storage of anthropogenic CO{sub 2} within sub-basalt targets are discussed. The carbon sequestration potential has been explored through the geological assessment in terms of the thickness of the strata as well as lithology.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Ramli, N.
1986-01-01
The J sandstone is an important hydrocarbon-bearing reservoir in the southeastern part of the Malay basin. The lower and upper members of the J sandstone are composed of shoreface and offshore sediments. The shoreface sequence contains depositional structures characteristic of a barred wave- and storm-dominated shoreface. Each shoreface sequence is laterally associated with a series of stacked offshore bars. Offshore bars can be subdivided into proximal and distal types. Two types of proximal offshore bars have been identified: (1) proximal bars formed largely above fair-weather wave base (inner proximal bars), and (2) proximal bars formed below fair-weather wave base (outermore » proximal bars). The inner proximal bars are closely associated with the shoreface sequence and are similar to the middle and lower shoreface. The presence of poorly sorted, polymodal, very fine to very coarse-grained sandstone beneath well-sorted crestal sandstones of inner proximal bars suggests that these offshore bars may have been deposited rapidly by storms. The crests of the inner proximal offshore bars were subsequently reworked by fair-weather processes, and the crests of the outer proximal and distal offshore bars were reworked by waning storm currents and oscillatory waves. Thick marine shales overlying offshore bars contain isolated sheet sandstones. Each sheet sandstone exhibits features that may be characteristic of distal storm shelf deposits. 15 figures, 2 tables.« less