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.
Offshore Windfarm Impact on Pelagic Primary Production in the Southern North Sea
NASA Astrophysics Data System (ADS)
Slavik, Kaela; Zhang, Wenyan; Lemmen, Carsten; Wirtz, Kai
2016-04-01
As society struggles to find solutions to mitigate global warming, the demand for renewable energy technology has increased. Especially investment in offshore wind energy has proliferated in the European Union, with projections over the next 15 years estimating an over 40 fold increase in total offshore wind electricity. Though built with the goal of reducing the environmental impacts associated with traditional energy production, the long-term ecological impacts of offshore windfarm structures is not yet well understood. The consequences are of particular importance in the southern North Sea, where the expansion of offshore windfarms is focused. Our study investigates how the gradual accumulation of epifaunal biomass on submerged substrate at offshore windfarms impacts ecosystem services in the southern North Sea. Biofouling is governed predominately by the filter feeder Mytilus edulis, which, as an ecological engineer, will further alter the surrounding benthic and pelagic environment. We reconstruct the distribution of benthic filter feeders in the SNS and generate scenarios of increased potential distribution based on available information of Mytilus edulis settlement at turbines and of turbine locations. These maps are coupled through the MOSSCO (Modular Coupling System for Shelves and Coasts) to state-of-the-art and high resolution hydrodynamic and ecosystem models. We find a substantial change in pelagic primary production as a result of additional Mytilus edulis growth at offshore windfarms.
Building a stakeholder's vision of an offshore wind-farm project: A group modeling approach.
Château, Pierre-Alexandre; Chang, Yang-Chi; Chen, Hsin; Ko, Tsung-Ting
2012-03-15
This paper describes a Group Model Building (GMB) initiative that was designed to discuss the various potential effects that an offshore wind-farm may have on its local ecology and socioeconomic development. The representatives of various organizations in the study area, Lu-Kang, Taiwan, have held several meetings, and structured debates have been organized to promote the emergence of a consensual view on the main issues and their implications. A System Dynamics (SD) model has been built and corrected iteratively with the participants through the GMB process. The diverse interests within the group led the process toward the design of multifunctional wind-farms with different modalities. The scenario analyses, using the SD model under various policies, including no wind-farm policy, objectively articulates the vision of the local stakeholders. The results of the SD simulations show that the multifunctional wind-farms may have superior economic effects and the larger wind-farms with bird corridors could reduce ecological impact. However, the participants of the modeling process did not appreciate any type of offshore wind-farm development when considering all of the identified key factors of social acceptance. The insight gained from the study can provide valuable information to actualize feasible strategies for the green energy technique to meet local expectations. Copyright © 2012 Elsevier B.V. All rights reserved.
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.
Assessing Fish and Motile Fauna around Offshore Windfarms Using Stereo Baited Video
Griffin, Ross A.; Robinson, Gary J.; West, Ashley; Gloyne-Phillips, Ian T.; Unsworth, Richard K. F.
2016-01-01
There remains limited knowledge of how offshore windfarm developments influence fish assemblages, particularly at a local scale around the turbine structures. Considering the existing levels of anthropogenic pressures on coastal fish populations it is becoming increasingly important for developers and environmental regulators to gain a more comprehensive understanding of the factors influencing fish assemblages. Improving our ability to assess such fish populations in close proximity to structures will assist in increasing this knowledge. In the present study we provide the first trial use of Baited Remote Underwater Stereo-Video systems (stereo BRUVs) for the quantification of motile fauna in close proximity to offshore wind turbines. The study was conducted in the Irish Sea and finds the technique to be a viable means of assessing the motile fauna of such environments. The present study found a mixture of species including bottom dwellers, motile crustaceans and large predatory fish. The majority of taxa observed were found to be immature individuals with few adult individuals recorded. The most abundant species were the angular crab (Goneplax rhomboides) and the small-spotted catshark (Scyliorhinus canicula). Of note in this study was the generally low abundance and diversity of taxa recorded across all samples, we hypothesise that this reflects the generally poor state of the local fauna of the Irish Sea. The faunal assemblages sampled in close proximity to turbines were observed to alter with increasing distance from the structure, species more characteristic of hard bottom environments were in abundance at the turbines (e.g. Homarus gammarus, Cancer pagarus, Scyliorhinus spp.) and those further away more characteristic of soft bottoms (e.g. Norwegian Lobster). This study highlights the need for the environmental impacts of offshore renewables on motile fauna to be assessed using targeted and appropriate tools. Stereo BRUVs provide one of those tools, but like the majority of methods for sampling marine biota, they have limitations. We conclude our paper by providing a discussion of the benefits and limitations of using this BRUV technique for assessing fauna within areas close to offshore windfarms. PMID:26934587
DOE Office of Scientific and Technical Information (OSTI.GOV)
Chapman, J.
1994-07-01
This is one of a series of reports that document the steps taken to plan and install a utility-scale windfarm and follow its energy production performance. The reports are intended to help utility planners and others better understand the issues involved in installing and operating a windfarm. This report describes the Zond Victory Garden Phase IV (VGIV) windfarm in the Tehachapi mountain region, 100 miles north of Los Angeles. The Victory Garden series of windfarms were planned and installed and are operated by Zond Systems, Inc. of Tehachapi, California. The VGIV installation, which became operational in stages from January throughmore » June 1990, consists of 98 Vestas V27--225 wind turbines. The total rated capacity is 22 MW with a projected annual average net energy production of 54.3 million kWh/yr, equivalent to an annual capacity factor of 0.28. This energy projection, based on extensive wind resource measurements and an average wind turbine availability of 97%, includes the effects of a number of operational loss factors. The report includes descriptions of the windfarm layout, the wind turbine component, and the electrical layout. Particular attention is paid to one of the most important issues in implementing a windfarm, namely, the wind resource assessment and its use in projecting and updating the expected annual-average energy production of the facility. Also included are details of the planning, construction, and commissioning of the windfarm along with a description of the operations and maintenance procedures employed.« less
A Hybrid Wind-Farm Parametrization for Mesoscale and Climate Models
NASA Astrophysics Data System (ADS)
Pan, Yang; Archer, Cristina L.
2018-04-01
To better understand the potential impact of wind farms on weather and climate at the regional to global scales, a new hybrid wind-farm parametrization is proposed for mesoscale and climate models. The proposed parametrization is a hybrid model because it is not based on physical processes or conservation laws, but on the multiple linear regression of the results of large-eddy simulations (LES) with the geometric properties of the wind-farm layout (e.g., the blockage ratio and blockage distance). The innovative aspect is that each wind turbine is treated individually based on its position in the farm and on the wind direction by predicting the velocity upstream of each turbine. The turbine-induced forces and added turbulence kinetic energy (TKE) are first derived analytically and then implemented in the Weather Research and Forecasting model. Idealized simulations of the offshore Lillgrund wind farm are conducted. The wind-speed deficit and TKE predicted with the hybrid model are in excellent agreement with those from the LES results, while the wind-power production estimated with the hybrid model is within 10% of that observed. Three additional wind farms with larger inter-turbine spacing than at Lillgrund are also considered, and a similar agreement with LES results is found, proving that the hybrid parametrization works well with any wind farm regardless of the spacing between turbines. These results indicate the wind-turbine position, wind direction, and added TKE are essential in accounting for the wind-farm effects on the surroundings, for which the hybrid wind-farm parametrization is a promising tool.
Poppe, L.J.; McMullen, K.Y.; Ackerman, S.D.; Schaer, J.D.; Wright, D.B.
2012-01-01
Gridded multibeam bathymetry covers approximately 10.4 square kilometers of sea floor in the vicinity of Cross Rip Channel in Nantucket Sound, offshore southeastern Massachusetts. Although originally collected for charting purposes during National Oceanic and Atmospheric Administration hydrographic survey H12007, these acoustic data, and the sea-floor sediment sampling and bottom photography stations subsequently occupied to verify them, show the composition and terrain of the seabed and provide information on sediment transport and benthic habitat. This report is part of an expanding series of cooperative studies by the U.S. Geological Survey, National Oceanic and Atmospheric Administration, and Massachusetts Office of Coastal Zone Management that provide a fundamental framework for research and resource-management activities (for example, windfarms, pipelines, and dredging) along the inner continental shelf offshore of Massachusetts.
Wang, Zhi-Tao; Nachtigall, Paul E; Akamatsu, Tomonari; Wang, Ke-Xiong; Wu, Yu-Ping; Liu, Jian-Chang; Duan, Guo-Qin; Cao, Han-Jiang; Wang, Ding
2015-01-01
A growing demand for sustainable energy has led to an increase in construction of offshore windfarms. Guishan windmill farm will be constructed in the Pearl River Estuary, China, which sustains the world's largest known population of Indo-Pacific humpback dolphins (Sousa chinensis). Dolphin conservation is an urgent issue in this region. By using passive acoustic monitoring, a baseline distribution of data on this species in the Pearl River Estuary during pre-construction period had been collected. Dolphin biosonar detection and its diel, lunar, seasonal and tidal patterns were examined using a Generalized Linear Model. Significant higher echolocation detections at night than during the day, in winter-spring than in summer-autumn, at high tide than at flood tide were recognized. Significant higher echolocation detections during the new moon were recognized at night time. The diel, lunar and seasonal patterns for the echolocation encounter duration also significantly varied. These patterns could be due to the spatial-temporal variability of dolphin prey and illumination conditions. The baseline information will be useful for driving further effective action on the conservation of this species and in facilitating later assessments of the effects of the offshore windfarm on the dolphins by comparing the baseline to post construction and post mitigation efforts.
Wang, Zhi-Tao; Nachtigall, Paul E.; Akamatsu, Tomonari; Wang, Ke-Xiong; Wu, Yu-Ping; Liu, Jian-Chang; Duan, Guo-Qin; Cao, Han-Jiang; Wang, Ding
2015-01-01
A growing demand for sustainable energy has led to an increase in construction of offshore windfarms. Guishan windmill farm will be constructed in the Pearl River Estuary, China, which sustains the world’s largest known population of Indo-Pacific humpback dolphins (Sousa chinensis). Dolphin conservation is an urgent issue in this region. By using passive acoustic monitoring, a baseline distribution of data on this species in the Pearl River Estuary during pre-construction period had been collected. Dolphin biosonar detection and its diel, lunar, seasonal and tidal patterns were examined using a Generalized Linear Model. Significant higher echolocation detections at night than during the day, in winter-spring than in summer-autumn, at high tide than at flood tide were recognized. Significant higher echolocation detections during the new moon were recognized at night time. The diel, lunar and seasonal patterns for the echolocation encounter duration also significantly varied. These patterns could be due to the spatial-temporal variability of dolphin prey and illumination conditions. The baseline information will be useful for driving further effective action on the conservation of this species and in facilitating later assessments of the effects of the offshore windfarm on the dolphins by comparing the baseline to post construction and post mitigation efforts. PMID:26580966
Parameterization of wind turbine impacts on hydrodynamics and sediment transport
NASA Astrophysics Data System (ADS)
Rivier, Aurélie; Bennis, Anne-Claire; Pinon, Grégory; Magar, Vanesa; Gross, Markus
2016-10-01
Monopile foundations of offshore wind turbines modify the hydrodynamics and sediment transport at local and regional scales. The aim of this work is to assess these modifications and to parameterize them in a regional model. In the present study, this is achieved through a regional circulation model, coupled with a sediment transport module, using two approaches. One approach is to explicitly model the monopiles in the mesh as dry cells, and the other is to parameterize them by adding a drag force term to the momentum and turbulence equations. Idealised cases are run using hydrodynamical conditions and sediment grain sizes typical from the area located off Courseulles-sur-Mer (Normandy, France), where an offshore windfarm is under planning, to assess the capacity of the model to reproduce the effect of the monopile on the environment. Then, the model is applied to a real configuration on an area including the future offshore windfarm of Courseulles-sur-Mer. Four monopiles are represented in the model using both approaches, and modifications of the hydrodynamics and sediment transport are assessed over a tidal cycle. In relation to local hydrodynamic effects, it is observed that currents increase at the side of the monopile and decrease in front of and downstream of the monopile. In relation to sediment transport effect, the results show that resuspension and erosion occur around the monopile in locations where the current speed increases due to the monopile presence, and sediments deposit downstream where the bed shear stress is lower. During the tidal cycle, wakes downstream of the monopile reach the following monopile and modify the velocity magnitude and suspended sediment concentration patterns around the second monopile.
NASA Astrophysics Data System (ADS)
Bishop, Marines
Offshore winds blow considerably harder and more uniformly than on land, and can thus produce higher amounts of electricity. Design, installation, and distribution of an offshore wind farm is more difficult and expensive, but is nevertheless a compelling energy source. With its relatively shallow offshore waters South Carolina has the potential to offer one of the first offshore wind farms in the United States, arguably ideal for wind-farm construction and presenting outstanding potential for the state's growth and innovation. This study analyzes the policy process involved in the establishment of an offshore wind industry in South Carolina through the use of Advocacy Coalition Framework (ACF) concepts. The ACF studies policy process by analyzing policy subsystems, understanding that stakeholders motivated by belief systems influence policy subsystem affairs, and recognizing the assembly of these stakeholders into coalitions as the best way to simplify the analysis. The study interviewed and analyzed responses from stakeholders involved to different but significant degrees with South Carolina offshore wind industry development, allowing for their categorization into coalitions. Responses and discussion analysis through the implementation of ACF concepts revealed, among other observations, direct relationships of opinions to stakeholder's belief systems. Most stakeholders agreed that a potential for positive outputs is real and substantial, but differed in opinion when discussing challenges for offshore wind development in South Carolina. The study importantly considers policy subsystem implications at national and regional levels, underlining the importance of learning from other offshore wind markets and policy arenas worldwide. In this sense, this study's discussions and conclusions are a step towards the right direction.
Geological Interpretation of the Sea Floor Offshore of Edgartown, Massachusetts
Poppe, L.J.; McMullen, K.Y.; Foster, D.S.; Blackwood, D.S.; Williams, S.J.; Ackerman, S.D.; Moser, M.S.; Glomb, K.A.
2010-01-01
Gridded bathymetry and sidescan-sonar imagery together cover approximately 37.3 square kilometers of sea floor in the vicinity of Edgartown Harbor, Massachusetts. Although originally collected for charting purposes during National Oceanic and Atmospheric Administration hydrographic survey H11346, these acoustic data, and the sea-floor stations and seismic-reflection lines subsequently occupied to verify them, 1) show the composition and terrain of the seabed, 2) provide information on sediment transport and benthic habitat, and 3) are part of an expanding series of studies that provide a fundamental framework for research and management (for example, windfarms, pipelines, and dredging) activities along the Massachusetts inner continental shelf.
First in situ evidence of wakes in the far field behind offshore wind farms.
Platis, Andreas; Siedersleben, Simon K; Bange, Jens; Lampert, Astrid; Bärfuss, Konrad; Hankers, Rudolf; Cañadillas, Beatriz; Foreman, Richard; Schulz-Stellenfleth, Johannes; Djath, Bughsin; Neumann, Thomas; Emeis, Stefan
2018-02-01
More than 12 GW of offshore wind turbines are currently in operation in European waters. To optimise the use of the marine areas, wind farms are typically clustered in units of several hundred turbines. Understanding wakes of wind farms, which is the region of momentum and energy deficit downwind, is important for optimising the wind farm layouts and operation to minimize costs. While in most weather situations (unstable atmospheric stratification), the wakes of wind turbines are only a local effect within the wind farm, satellite imagery reveals wind-farm wakes to be several tens of kilometres in length under certain conditions (stable atmospheric stratification), which is also predicted by numerical models. The first direct in situ measurements of the existence and shape of large wind farm wakes by a specially equipped research aircraft in 2016 and 2017 confirm wake lengths of more than tens of kilometres under stable atmospheric conditions, with maximum wind speed deficits of 40%, and enhanced turbulence. These measurements were the first step in a large research project to describe and understand the physics of large offshore wakes using direct measurements, together with the assessment of satellite imagery and models.
NASA Astrophysics Data System (ADS)
Dar, Zamiyad
The amount of wind energy in power systems is increasing at a significant rate. With this increased penetration, there are certain problems associated with the operation of windfarms which need careful attention. In the operations side, the wake effects of upstream wind turbines on downstream wind turbines can cause a reduction in the total generated power of a windfarm. On the market side, the fluctuation of real-time prices can make the operation of windfarms less profitable. Similarly, the intermittent nature of wind power prevents the windfarms from participating in the day-ahead and forward markets. On the system side, the volatile nature of wind speeds is also an obstacle for windfarms to provide frequency regulation to the system. In this thesis, we address these issues and optimize the operation of windfarms in power systems and deregulated electricity markets. First, the total power generation in a windfarm is maximized by using yaw angle of wind turbines as a control variable. We extend the existing wake models to include the effects of yaw misalignment and wake deflection of wind turbines. A numerical study is performed to find the optimal values of induction factor and yaw misalignment angle of wind turbines in a single row of a windfarm for achieving the maximum total power with wake effects. The numerical study shows that the maximum power is achieved by keeping the induction factor close to 1/3 and only changing the yaw angle to deflect the wake. We then propose a Dynamic Programming Framework (DPF) to maximize the total power production of a windfarm using yaw angle as the control variable. We compare the windfarm efficiency achieved with our DPF with the efficiency values obtained through greedy control strategy and induction factor optimization. We also extend our expressions to a windfarm with multiple rows and columns of turbines and perform simulations on the 3x3 and 4x4 grid topologies. Our results show that the optimal induction factor for most turbines is quite close to 1/3 and yaw angle acts as the dominant optimization variable. In the next part of this dissertation, a system comprising of a windfarm and energy storage operating in real-time electricity markets is studied. An Energy-balancing Threshold Price (ETP) policy is proposed to maximize the revenue of a windfarm with on-site storage. We propose and analyze a scheme for a windfarm to store or sell energy based on a threshold price. The threshold price is calculated based on long-term distributions of the electricity price and wind power generation processes, and is chosen so as to balance the energy flows in and out of the storage-equipped windfarm. It is also shown mathematically that the proposed policy is optimal in terms of the long-term revenue generated. Comparing it with the optimal policy that has knowledge of the future, we observe that the revenue obtained by the proposed ETP policy is approximately 90% of the maximum attainable revenue at a storage capacity of 10-15 times the power rating of the windfarm. The intermittent nature of wind power is a hindrance to the efficient participation of windfarms in the day-ahead and forward electricity markets. In this regard, a flexible forward contract is proposed in this dissertation which allows the windfarms to enter into a forward contract with flexible load with an option to deviate from the contracted amount of power. Using such a flexible contract would allow the windfarms to supply more or less than the contracted amount of power in case of unexpected wind conditions or real-time prices. We also propose models for forecasting wind power and real-time electricity prices. The comparison between the proposed contracting framework and a simple fixed contract (currently existing in the market) for different levels of flexibility and load shows that there is a net gain in windfarm revenues, if the transaction price of the two contracts are set equal. Lastly, we present and analyze distributed control schemes for frequency regulation in a smart grid using energy storage, wind generators, demand response and conventional generators while having no communication or data sharing between them. We also propose a novel control scheme for frequency support by energy storage in which the power output of energy storage changes proportionally with the reduction in its available energy. The application of the proposed control schemes indicates an improvement in system frequency characteristics, when there is a sudden net loss of generation.
Evaluation of Wind Energy Production in Texas using Geographic Information Systems (GIS)
NASA Astrophysics Data System (ADS)
Ferrer, L. M.
2017-12-01
Texas has the highest installed wind capacity in the United States. The purpose of this research was to estimate the theoretical wind turbine energy production and the utilization ratio of wind turbines in Texas. Windfarm data was combined applying Geographic Information System (GIS) methodology to create an updated GIS wind turbine database, including location and technical specifications. Applying GIS diverse tools, the windfarm data was spatially joined with National Renewable Energy Laboratory (NREL) wind data to calculate the wind speed at each turbine hub. The power output for each turbine at the hub wind speed was evaluated by the GIS system according the respective turbine model power curve. In total over 11,700 turbines are installed in Texas with an estimated energy output of 60 GWh per year and an average utilization ratio of 0.32. This research indicates that applying GIS methodologies will be crucial in the growth of wind energy and efficiency in Texas.
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-11
... Wind, LLC EG12-113-000 New England Wind, LLC EG12-114-000 Penascal II Wind Project, LLC EG12-115-000 Enbridge Wind Power General Partnership...... FC12-8-000 Greenwich Windfarm, LP FC12-9-000 Enbridge...
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.
Impact of Offshore Wind Energy Plants on the Soil Mechanical Behaviour of Sandy Seafloors
NASA Astrophysics Data System (ADS)
Stark, Nina; Lambers-Huesmann, Maria; Zeiler, Manfred; Zoellner, Christian; Kopf, Achim
2010-05-01
Over the last decade, wind energy has become an important renewable energy source. Especially, the installation of offshore windfarms offers additional space and higher average wind speeds than the well-established windfarms onshore. Certainly, the construction of offshore wind turbines has an impact on the environment. In the framework of the Research at Alpha VEntus (RAVE) project in the German offshore wind energy farm Alpha Ventus (north of the island Borkum in water depths of about 30 m) a research plan to investigate the environmental impact had been put into place. An ongoing study focuses on the changes in soil mechanics of the seafloor close to the foundations and the development of scour. Here, we present results of the first geotechnical investigations after construction of the plants (ca. 1 - 6 months) compared to geotechnical measurements prior to construction. To study the soil mechanical behaviour of the sand, sediment samples from about thirty different positions were measured in the laboratory to deliver, e.g., grain size (0.063 - 0.3 mm), friction angles (~ 32°), unit weight (~ 19.9 kN/m³) and void ratios (~ 0.81). For acoustic visualisation, side-scan-sonar (towed and stationary) and multibeam-echosounders (hull mounted) were used. Data show a flat, homogenous seafloor prior to windmill erection, and scouring effects at and in the vicinity of the foundations afterwards. Geotechnical in-situ measurements were carried out using a standard dynamic Cone Penetration Testing lance covering the whole windfarm area excluding areas in a radius < 50 m from the installed windmills (due the accessibility with the required research vessel). In addition, the small free-fall penetrometer Nimrod was deployed at the same spots, and furthermore, in the areas close to the tripod foundations (down to a distance of ~ 5 m from the central pile). Before construction, CPT as well as Nimrod deployments confirm a flat, homogenous sandy area with tip resistance values ranging from 1200 - 1600 kPa (CPT with a mass of ~ 100 kg and an impact velocity of ~ 1 m/s) and quasi-static bearing capacities (qsbc.) mainly ranging from 39 - 69 kPa (Nimrod: mass of ~ 13 kg, impact velocity of ~ 8 m/s). There was no evidence for layering in results of both in-situ instruments. After construction, most of the positions show changes in sediment strength ranging from 10 % up to 100 % compared to the results prior to windmill construction. Extreme changes (> 50 %) occur above all close to the foundations. Furthermore, patterns of relatively soft zones (qsbc.: 50 - 80 kPa) and hard zones (qsbc. > 100 kPa) were mapped during the high-resolution surveys close to the foundation. Beside that, a very soft sediment layer (0.03 - 0.05 m) drapes most of the soft zones. This may be recently eroded and re-deposited sediment, whereas the hard zones may indicate areas of sediment erosion where looser material has been carried away. Reasons for sediment remobilization and changes in geotechnical properties may be scouring as a consequence of the changed hydrodynamics in the vicinity of the windmills. Besides first developments of scour, the side scan sonar results show relicts of the wind turbine erection (e.g., footprints of jack-up-platforms). First multibeam-echosounder measurements confirm sediment re-deposition due to scour in the lee of the main current direction and show traces of wind turbine erection equipment in the same areas where also the penetrometer measurements took place. In summary, a local impact of the wind turbines on the soil mechanical properties of the seafloor is attested from this initial post-erection survey. Future cruises (every 6 months) will complement those data, which will eventually allow us a comparison to, or even refinement of long-term scouring models.
Federal Register 2010, 2011, 2012, 2013, 2014
2012-05-04
... be supplemented with internal access/service roads to each wind turbine. Proposed ancillary... action alternatives, project features within the wind-farm site would include turbines aligned within... maximum of 283 turbines. The Alternative B wind-farm site would encompass approximately 30,872 acres of...
Europe's mild winters, due to offshore wind-farms, shipping and fishery?
NASA Astrophysics Data System (ADS)
Bernaerts, A.
2016-02-01
The winter 2014/15 was no winter in Northern Europa. In Europe the mean average temperature during the last century has risen by 0.9°C. In the last 30 years the tendency of warming per decade with about 0.41°C was significantly higher than the global mean of +0.17°C. Warming in central and northern Europe was very strong and winter temperatures rose faster than summer temperatures, and water temperatures in the North Sea and Baltic increased more than in other oceans. Can anthropogene activities between the English Channel and the Gulf of Finland be made partly responsible? Presumably yes! Stirring hot coffee will cool it down. At the end of August the sea areas have gained their maximum potential of warmth. Many ship propellers are plowing through the sea stirring the surface layer to a depth of 15 meters and more. In the North Sea and Baltic, ten thousand and more motor ships are simultaneously at sea. Several thousand offshore facilities on the bottom of the sea or anchored offshore rigs divert currents at sea and influence tides and currents as a permanent resistance against the normal flow of huge amounts of ocean water. The result is like stirring hot liquids. Warm water will come to the surface and the heat will supply the atmosphere with warmth. The air will become warmer and the winters will be milder. The correlation is not to be overseen. It is not relevant to climate research and agencies allowing offshore structures and they are neglecting such evaluations. Summary: The facts are conclusive. "Global Climate Change" cannot cause a special rise in temperatures in Northern Europe, neither in the North Sea nor the Baltic or beyond. Any use of the oceans by mankind has an influence on thermo-haline structures within the water column from a few cm to 10m and more. Noticeable warmer winters in Europe are the logical consequence.
Coupled wake boundary layer model of windfarms
NASA Astrophysics Data System (ADS)
Stevens, Richard; Gayme, Dennice; Meneveau, Charles
2014-11-01
We present a coupled wake boundary layer (CWBL) model that describes the distribution of the power output in a windfarm. The model couples the traditional, industry-standard wake expansion/superposition approach with a top-down model for the overall windfarm boundary layer structure. Wake models capture the effect of turbine positioning, while the top-down approach represents the interaction between the windturbine wakes and the atmospheric boundary layer. Each portion of the CWBL model requires specification of a parameter that is unknown a-priori. The wake model requires the wake expansion rate, whereas the top-down model requires the effective spanwise turbine spacing within which the model's momentum balance is relevant. The wake expansion rate is obtained by matching the mean velocity at the turbine from both approaches, while the effective spanwise turbine spacing is determined from the wake model. Coupling of the constitutive components of the CWBL model is achieved by iterating these parameters until convergence is reached. We show that the CWBL model predictions compare more favorably with large eddy simulation results than those made with either the wake or top-down model in isolation and that the model can be applied successfully to the Horns Rev and Nysted windfarms. The `Fellowships for Young Energy Scientists' (YES!) of the Foundation for Fundamental Research on Matter supported by NWO, and NSF Grant #1243482.
Bailey, Helen; Senior, Bridget; Simmons, Dave; Rusin, Jan; Picken, Gordon; Thompson, Paul M
2010-06-01
Marine renewable developments have raised concerns over impacts of underwater noise on marine species, particularly from pile-driving for wind turbines. Environmental assessments typically use generic sound propagation models, but empirical tests of these models are lacking. In 2006, two 5MW wind turbines were installed off NE Scotland. The turbines were in deep (>40m) water, 25km from the Moray Firth Special Area of Conservation (SAC), potentially affecting a protected population of bottlenose dolphins. We measured pile-driving noise at distances of 0.1 (maximum broadband peak to peak sound level 205dB re 1microPa) to 80km (no longer distinguishable above background noise). These sound levels were related to noise exposure criteria for marine mammals to assess possible effects. For bottlenose dolphins, auditory injury would only have occurred within 100m of the pile-driving and behavioural disturbance, defined as modifications in behaviour, could have occurred up to 50km away.
Gravity Waves and Wind-Farm Efficiency in Neutral and Stable Conditions
NASA Astrophysics Data System (ADS)
Allaerts, Dries; Meyers, Johan
2018-02-01
We use large-eddy simulations (LES) to investigate the impact of stable stratification on gravity-wave excitation and energy extraction in a large wind farm. To this end, the development of an equilibrium conventionally neutral boundary layer into a stable boundary layer over a period of 8 h is considered, using two different cooling rates. We find that turbulence decay has considerable influence on the energy extraction at the beginning of the boundary-layer transition, but afterwards, energy extraction is dominated by geometrical and jet effects induced by an inertial oscillation. It is further shown that the inertial oscillation enhances gravity-wave excitation. By comparing LES results with a simple one-dimensional model, we show that this is related to an interplay between wind-farm drag, variations in the Froude number and the dispersive effects of vertically-propagating gravity waves. We further find that the pressure gradients induced by gravity waves lead to significant upstream flow deceleration, reducing the average turbine output compared to a turbine in isolated operation. This leads us to the definition of a non-local wind-farm efficiency, next to a more standard wind-farm wake efficiency, and we show that both can be of the same order of magnitude. Finally, an energy flux analysis is performed to further elucidate the effect of gravity waves on the flow in the wind farm.
Crichton, Fiona; Petrie, Keith J
2015-07-01
A number of people are reporting an environmental sensitivity to sub-audible windfarm sound (infrasound), characterised by the experience of recurrent non-specific symptoms. A causal link between exposure and symptoms is not indicated by empirical evidence. Research indicates symptoms may be explained by the nocebo response, whereby health concerns and negative expectations, created from social discourse and media reports, trigger symptom reporting. The experimental aim was to test whether providing a nocebo explanation for symptoms, to individuals reporting symptomatic experiences during infrasound exposure, would ameliorate symptoms during further exposure. Sixty-six volunteers were randomly assigned to nocebo explanation or biological explanation groups. Participants were concurrently exposed to infrasound and audible windfarm sound, while reporting on current symptoms and mood, during two exposure sessions. Preceding session one, participants watched a presentation integrating media warnings about purported health risks posed by windfarm infrasound. Before session two, nocebo explanation participants viewed material outlining how nocebo responding could explain symptom reporting. Instead biological explanation participants watched material presenting pathophysiological theories for symptoms. During session one, participants reported increased symptoms and mood deterioration from baseline assessment. During session two symptom reporting and mood deterioration was maintained by biological explanation participants, while mood and symptoms reported by nocebo explanation participants returned to baseline levels. Results indicate that providing an explanation of the nocebo response, followed by exposure to infrasound, has the potential to operate as an intervention to reduce symptomatic experiences in people reporting symptoms attributed to windfarm generated infrasound. Copyright © 2015 Elsevier Inc. All rights reserved.
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)
Gupta, T.; Baidya Roy, S.; Miller, L.
2017-12-01
With rapid increase in the installed wind capacity around the globe, it is important and interesting to understand the processes involved in wind farm-atmospheric boundary layer interactions. A wind turbine extracts energy from the mean flow and converts it into electrical energy, thereby reducing the mean kinetic energy available. The corresponding reduction in momentum triggers vertical mixing that transports high-momentum air from aloft to the wind turbine layer thereby replenishing the lost momentum, at least partially. This study investigates the phenomenon of vertical replenishment and quantifies its contribution in the momentum recovery as a function of various factors including installed capacity (MW/km2), depth of the wind farm (km) and climatology of the area. Numerical experiments are conducted using the WRF mesoscale model to simulate wind turbine-boundary layer interactions in a hypothetical large off-shore wind farm located deep in the Arabian Sea off the western coast of India. WRF is equipped with a wind turbine parameterization and is capable of simulating both the momentum reduction and vertical replenishment phenomena. It is found that the downward turbulent flux is able to replenish about 66% of momentum lost because of wind turbines. Additionally, the feedback leads to an average increase of 1.5% in generated power capacity in the wind farm. These results indicate that when the momentum deficit occurs, the vertical replenishment in form of turbulent flux tries to dampen the momentum loss, hence, acting as a negative feedback in the wind farm.
NASA Astrophysics Data System (ADS)
Allaerts, Dries; Meyers, Johan
2017-11-01
Wind farm design and control often relies on fast analytical wake models to predict turbine wake interactions and associated power losses. Essential input to these models are the inflow velocity and turbulent intensity at hub height, which come from prior measurement campaigns or wind-atlas data. Recent LES studies showed that in some situations large wind farms excite atmospheric gravity waves, which in turn affect the upstream wind conditions. In the current study, we develop a fast boundary-layer model that computes the excitation of gravity waves and the perturbation of the boundary-layer flow in response to an applied force. The core of the model is constituted by height-averaged, linearised Navier-Stokes equations for the inner and outer layer, and the effect of atmospheric gravity waves (excited by the boundary-layer displacement) is included via the pressure gradient. Coupling with analytical wake models allows us to study wind-farm wakes and upstream flow deceleration in various atmospheric conditions. Comparison with wind-farm LES results shows excellent agreement in terms of pressure and boundary-layer displacement levels. The authors acknowledge support from the European Research Council (FP7-Ideas, Grant No. 306471).
Wind - Prototypes on the landscape
NASA Astrophysics Data System (ADS)
Smith, M. L.
1981-12-01
Large wind turbines are shown to be attractive to utilities because of the potential for decreasing gas and oil consumption, the relatively low costs for entry into the field, and the wide distribution of wind energy. The total generating capacity can be increased in incremental steps, experience in construction and operation of large turbines have been gained from the NASA Mod O, OA, 1, and 2 models, and advances in manufacturing processes will make the large turbines competitive as replacement power for oil and gas burning utility generators. The 300 ft rotor Mod 2 machines are described, along with designs for the Mod 5A and Mod 5B wind turbines, with 400 and 422 ft, 6.2 and 7.2 MW rotors and outputs, respectively. Current plans for multi-MW windfarms are reviewed, and the option of using the land around large wind turbines for other purposes is stressed.
Wind Turbine Wake-Redirection Control at the Fishermen's Atlantic City Windfarm: Preprint
DOE Office of Scientific and Technical Information (OSTI.GOV)
Churchfield, M.; Fleming, P.; Bulder, B.
2015-05-06
In this paper, we will present our work towards designing a control strategy to mitigate wind turbine wake effects by redirecting the wakes, specifically applied to the Fishermen’s Atlantic City Windfarm (FACW), proposed for deployment off the shore of Atlantic City, New Jersey. As wind turbines extract energy from the air, they create low-speed wakes that extend behind them. Full wake recovery Full wake recovery to the undisturbed wind speed takes a significant distance. In a wind energy plant the wakes of upstream turbines may travel downstream to the next row of turbines, effectively subjecting them to lower wind speeds,more » meaning these waked turbines will produce less power.« less
Outer layer effects in wind-farm boundary layers: Coriolis forces and boundary layer height
NASA Astrophysics Data System (ADS)
Allaerts, Dries; Meyers, Johan
2015-11-01
In LES studies of wind-farm boundary layers, scale separation between the inner and outer region of the atmospheric boundary layer (ABL) is frequently assumed, i.e., wind turbines are presumed to fall within the inner layer and are not affected by outer layer effects. However, modern wind turbine and wind farm design tends towards larger rotor diameters and farm sizes, which means that outer layer effects will become more important. In a prior study, it was already shown for fully-developed wind farms that the ABL height influences the power performance. In this study, we use the in-house LES code SP-Wind to investigate the importance of outer layer effects on wind-farm boundary layers. In a suite of LES cases, the ABL height is varied by imposing a capping inversion with varying inversion strengths. Results indicate the growth of an internal boundary layer (IBL), which is limited in cases with low inversion layers. We further find that flow deceleration combined with Coriolis effects causes a change in wind direction throughout the farm. This effect increases with decreasing boundary layer height, and can result in considerable turbine wake deflection near the end of the farm. The authors are supported by the ERC (ActiveWindFarms, grant no: 306471). Computations were performed on VSC infrastructiure (Flemish Supercomputer Center), funded by the Hercules Foundation and the Flemish Government-department EWI.
77 FR 30272 - Combined Notice of Filings #2
Federal Register 2010, 2011, 2012, 2013, 2014
2012-05-22
... Capital Holdings, LLC, Harvest WindFarm, LLC, CER Generation II, LLC, Handsome Lake Energy, LLC, Exelon..., LLC, Exelon Wyman, LLC, Exelon Generation Company, LLC, Exelon Energy Company, CER Generation, LLC...
Optimal control of energy extraction in LES of large wind farms
NASA Astrophysics Data System (ADS)
Meyers, Johan; Goit, Jay; Munters, Wim
2014-11-01
We investigate the use of optimal control combined with Large-Eddy Simulations (LES) of wind-farm boundary layer interaction for the increase of total energy extraction in very large ``infinite'' wind farms and in finite farms. We consider the individual wind turbines as flow actuators, whose energy extraction can be dynamically regulated in time so as to optimally influence the turbulent flow field, maximizing the wind farm power. For the simulation of wind-farm boundary layers we use large-eddy simulations in combination with an actuator-disk representation of wind turbines. Simulations are performed in our in-house pseudo-spectral code SP-Wind. For the optimal control study, we consider the dynamic control of turbine-thrust coefficients in the actuator-disk model. They represent the effect of turbine blades that can actively pitch in time, changing the lift- and drag coefficients of the turbine blades. In a first infinite wind-farm case, we find that farm power is increases by approximately 16% over one hour of operation. This comes at the cost of a deceleration of the outer layer of the boundary layer. A detailed analysis of energy balances is presented, and a comparison is made between infinite and finite farm cases, for which boundary layer entrainment plays an import role. The authors acknowledge support from the European Research Council (FP7-Ideas, Grant No. 306471). Simulations were performed on the computing infrastructure of the VSC Flemish Supercomputer Center, funded by the Hercules Foundation and the Flemish Govern.
Analytical Model for Mean Flow and Fluxes of Momentum and Energy in Very Large Wind Farms
NASA Astrophysics Data System (ADS)
Markfort, Corey D.; Zhang, Wei; Porté-Agel, Fernando
2018-01-01
As wind-turbine arrays continue to be installed and the array size continues to grow, there is an increasing need to represent very large wind-turbine arrays in numerical weather prediction models, for wind-farm optimization, and for environmental assessment. We propose a simple analytical model for boundary-layer flow in fully-developed wind-turbine arrays, based on the concept of sparsely-obstructed shear flows. In describing the vertical distribution of the mean wind speed and shear stress within wind farms, our model estimates the mean kinetic energy harvested from the atmospheric boundary layer, and determines the partitioning between the wind power captured by the wind turbines and that absorbed by the underlying land or water. A length scale based on the turbine geometry, spacing, and performance characteristics, is able to estimate the asymptotic limit for the fully-developed flow through wind-turbine arrays, and thereby determine if the wind-farm flow is fully developed for very large turbine arrays. Our model is validated using data collected in controlled wind-tunnel experiments, and its usefulness for the prediction of wind-farm performance and optimization of turbine-array spacing are described. Our model may also be useful for assessing the extent to which the extraction of wind power affects the land-atmosphere coupling or air-water exchange of momentum, with implications for the transport of heat, moisture, trace gases such as carbon dioxide, methane, and nitrous oxide, and ecologically important oxygen.
Wind energy development in California, USA
Wilshire, H.; Prose, D.
1987-01-01
Windfarms have been developed rapidly in California in the last few years. The impetus has been a legislated goal to generate 10% of California's electricity by windpower by the year 2000, and generous state and federal tax incentives. Windpower is promoted as environmentally benign, which it is in traditional uses. The California program, however, is not traditional: it calls for centralized development of a magnitude sufficient to offset significant amounts of fossil fuels now used to generate electricity. Centralized windfarm development, as exemplified by the Altamont Pass, Tehachapi Mountains, and San Gorgonio Pass developments, involves major road building projects in erosion-sensitive terrain, effective closure of public lands, and other detrimental effects. A windfarm consisting of 200 turbines with 17-m rotors located in steep terrain 16 km from an existing corridor might occupy 235 ha and physically disturb 86 ha. With average annual wind speeds of 22.5 km/h, the farm would generate about 10??106 kWh/year at present levels of capacity. This annual production would offset 1% of one day's consumption of oil in California. To supply 10% of the state's electricity (at 1984 production rates) would require about 600,000 turbines of the type in common use today and would occupy more than 685,000 ha. It is likely that indirect effects would be felt in much larger areas and would include increased air and water pollution resulting from accelerated erosion, degradation of habitat of domestic and wild animals, damage to archaeological sites, and reduction of scenic quality of now-remote areas of the state. ?? 1987 Springer-Verlag New York Inc.
Potential for Jobs and Economic Development from Offshore Wind in California
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, Suzanne
In California's future scenarios, energy demand increases with population growth and productivity. Decision-makers will have to make choices about which energy resources to utilize, and offshore wind offers one option for carbon-free electricity with the potential for increased local jobs. This presentation discusses results from an NREL report, Floating Offshore Wind in California: Gross Potential for Jobs and Economic Impacts from Two Future Scenarios. Presenter Suzanne Tegen describes the Jobs and Economic Development Impact (JEDI) model and its results for two offshore wind scenarios in California. She discusses different assumptions and how they affect the scenarios.
The 80 megawatt wind power project at Kahuku Point, Hawaii
NASA Technical Reports Server (NTRS)
Laessig, R. R.
1982-01-01
Windfarms Ltd. is developing the two largest wind energy projects in the world. Designed to produce 80 megawatts at Kahuku Point, Hawaii and 350 megawatts in Solano County, California, these projects will be the prototypes for future large-scale wind energy installations throughout the world.
77 FR 58120 - Combined Notice of Filings #2
Federal Register 2010, 2011, 2012, 2013, 2014
2012-09-19
.... Applicants: Constellation Energy Commodities Group, Inc., R.E. Ginna Nuclear Power Plant, LLC, PECO Energy... Point Nuclear Station, LLC, Constellation Mystic Power, LLC, Cassia Gulch Wind Park, LLC, Michigan Wind 1, LLC, Harvest Windfarm, LLC, Exelon Wind 4, LLC, Criterion Power Partners, LLC, Cow Branch Wind...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dill, R.F.; Slosson, J.E.
1993-04-01
The configuration and stability of the present coast line near Abalone Cove, on the south side of Palos Verdes Peninsula, California is related to the geology, oceanographic conditions, and recent and ancient landslide activity. This case study utilizes offshore high resolution seismic profiles, side-scan sonar, diving, and coring, to relate marine geology to the stability of a coastal region with known active landslides utilizing a desk top computer and off-the-shelf software. Electronic navigation provided precise positioning that when applied to computer generated charts permitted correlation of survey data needed to define the offshore geology and sea floor sediment patterns. Amore » mackintosh desk-top computer and commercially available off-the-shelf software provided the analytical tools for constructing a base chart and a means to superimpose template overlays of topography, isopachs or sediment thickness, bottom roughness and sediment distribution patterns. This composite map of offshore geology and oceanography was then related to an extensive engineering and geological land study of the coastal zone forming Abalone Cove, an area of active landslides. Vibrocoring provided ground sediment data for high resolution seismic traverses. This paper details the systems used, present findings relative to potential landslide movements, coastal erosion and discuss how conclusions were reached to determine whether or not onshore landslide failures extend offshore.« less
77 FR 53194 - Combined Notice of Filings #2
Federal Register 2010, 2011, 2012, 2013, 2014
2012-08-31
... DEPARTMENT OF ENERGY Federal Energy Regulatory Commission Combined Notice of Filings 2 Take notice that the Commission received the following electric rate filings: Docket Numbers: ER12-2201-001. Applicants: Harvest II Windfarm, LLC. Description: Supplement to Application for Market-Based Rate Authorization to be effective 9/1/2012. Filed Date: ...
77 FR 41777 - Combined Notice of Filings #1
Federal Register 2010, 2011, 2012, 2013, 2014
2012-07-16
...., Commonwealth Edison Company, PECO Energy Company, Wind Capital Holdings, LLC, Constellation Power Source... Generation II, LLC, Constellation Mystic Power, LLC, Cassia Gulch Wind Park, LLC, Michigan Wind 1, LLC, Tuana Springs Energy, LLC, Harvest Windfarm, LLC, CR Clearing, LLC, Exelon Wind 4, LLC, Cow Branch Wind Power, L...
76 FR 76397 - Combined Notice of Filings #1
Federal Register 2010, 2011, 2012, 2013, 2014
2011-12-07
..., Dry Lake Wind Power, LLC, Dry Lake Wind Power II LLC, Elk River Windfarm, LLC, Elm Creek Wind, LLC..., Flying Cloud Power Partners, LLC, Hardscrabble Wind Power LLC, Hay Canyon Wind LLC, Juniper Canyon Wind Power LLC, Klamath Energy LLC, Klamath Generation LLC, Klondike Wind Power LLC, Klondike Wind Power II...
77 FR 59599 - Combined Notice of Filings #1
Federal Register 2010, 2011, 2012, 2013, 2014
2012-09-28
.... Applicants: Dry Lake Wind Power II LLC, Central Maine Power Company, Flat Rock Windpower II LLC, Flat Rock Windpower LLC, Elk River Windfarm, LLC, Iberdrola Renewables, LLC, Dillion Wind LLC, Dry Lake Wind Power, LLC, Shiloh I Wind Project, LLC, Mountain View Power Partners III, LLC, Blue [[Page 59600
76 FR 46284 - Combined Notice of Filings #1
Federal Register 2010, 2011, 2012, 2013, 2014
2011-08-02
... Holdings LLC, Dillon Wind LLC, Dry Lake Wind Power, LLC, Dry Lake Wind Power II LLC, Elk River Windfarm... Rock Windpower II LLC, Flying Cloud Power Partners, LLC, Hardscrabble Wind Power LLC, Hay Canyon Wind LLC, Juniper Canyon Wind Power LLC, Klamath Energy LLC, Klamath Generation LLC, Klondike Wind Power...
Great Lakes O shore Wind Project: Utility and Regional Integration Study
DOE Office of Scientific and Technical Information (OSTI.GOV)
Sajadi, Amirhossein; Loparo, Kenneth A.; D'Aquila, Robert
This project aims to identify transmission system upgrades needed to facilitate offshore wind projects as well as operational impacts of offshore generation on operation of the regional transmission system in the Great Lakes region. A simulation model of the US Eastern Interconnection was used as the test system as a case study for investigating the impact of the integration of a 1000MW offshore wind farm operating in Lake Erie into FirstEnergy/PJM service territory. The findings of this research provide recommendations on offshore wind integration scenarios, the locations of points of interconnection, wind profile modeling and simulation, and computational methods tomore » quantify performance, along with operating changes and equipment upgrades needed to mitigate system performance issues introduced by an offshore wind project.« less
NASA Astrophysics Data System (ADS)
Coudou, Nicolas; Buckingham, Sophia; Bricteux, Laurent; van Beeck, Jeroen
2017-12-01
The phenomenon of meandering of the wind-turbine wake comprises the motion of the wake as a whole in both horizontal and vertical directions as it is advected downstream. The oscillatory motion of the wake is a crucial factor in wind farms, because it increases the fatigue loads, and, in particular, the yaw loads on downstream turbines. To address this phenomenon, experimental investigations are carried out in a wind-tunnel flow simulating an atmospheric boundary layer with the Coriolis effect neglected. A 3 × 3 scaled wind farm composed of three-bladed rotating wind-turbine models is subject to a neutral boundary layer over a slightly-rough surface, i.e. corresponding to offshore conditions. Particle-image-velocimetry measurements are performed in a horizontal plane at hub height in the wakes of the three wind turbines occupying the wind-farm centreline. These measurements allow determination of the wake centrelines, with spectral analysis indicating the characteristic wavelength of the wake-meandering phenomenon. In addition, measurements with hot-wire anemometry are performed along a vertical line in the wakes of the same wind turbines, with both techniques revealing the presence of wake meandering behind all three turbines. The spectral analysis performed with the spatial and temporal signals obtained from these two measurement techniques indicates a Strouhal number of ≈ 0.20 - 0.22 based on the characteristic wake-meandering frequency, the rotor diameter and the flow speed at hub height.
NASA Astrophysics Data System (ADS)
Coudou, Nicolas; Buckingham, Sophia; Bricteux, Laurent; van Beeck, Jeroen
2018-04-01
The phenomenon of meandering of the wind-turbine wake comprises the motion of the wake as a whole in both horizontal and vertical directions as it is advected downstream. The oscillatory motion of the wake is a crucial factor in wind farms, because it increases the fatigue loads, and, in particular, the yaw loads on downstream turbines. To address this phenomenon, experimental investigations are carried out in a wind-tunnel flow simulating an atmospheric boundary layer with the Coriolis effect neglected. A 3 × 3 scaled wind farm composed of three-bladed rotating wind-turbine models is subject to a neutral boundary layer over a slightly-rough surface, i.e. corresponding to offshore conditions. Particle-image-velocimetry measurements are performed in a horizontal plane at hub height in the wakes of the three wind turbines occupying the wind-farm centreline. These measurements allow determination of the wake centrelines, with spectral analysis indicating the characteristic wavelength of the wake-meandering phenomenon. In addition, measurements with hot-wire anemometry are performed along a vertical line in the wakes of the same wind turbines, with both techniques revealing the presence of wake meandering behind all three turbines. The spectral analysis performed with the spatial and temporal signals obtained from these two measurement techniques indicates a Strouhal number of ≈ 0.20 - 0.22 based on the characteristic wake-meandering frequency, the rotor diameter and the flow speed at hub height.
Federal Register 2010, 2011, 2012, 2013, 2014
2013-05-17
.../energy/wind/mohave.html . The Project is proposed to consist of up to 283 turbines, access roads, and... be supplemented with internal access/service roads to each wind turbine. Proposed ancillary... all action alternatives, Project features within the wind-farm site would include turbines aligned...
77 FR 66457 - Combined Notice of Filings #2
Federal Register 2010, 2011, 2012, 2013, 2014
2012-11-05
..., Casselman Windpower LLC, Colorado Green Holdings LLC, Dillon Wind LLC, Dry Lake Wind Power, LLC, Dry Lake Wind Power II LLC, Elk River Windfarm, LLC, Elm Creek Wind, LLC, Elm Creek Wind II LLC, Farmers City Wind, LLC, Flat Rock Windpower LLC, Flat Rock Windpower II LLC, Flying Cloud Power Partners, LLC...
77 FR 9914 - Combined Notice of Filings #2
Federal Register 2010, 2011, 2012, 2013, 2014
2012-02-21
... Power, LLC, Dry Lake Wind Power II LLC, Elk River Windfarm, LLC, Elm Creek Wind, LLC, Elm Creek Wind II LLC, Farmers City Wind, LLC, Flat Rock Windpower LLC, Flat Rock Windpower II LLC, Flying Cloud Power Partners, LLC, Hardscrabble Wind Power LLC, Hay Canyon Wind LLC, Juniper Canyon Wind Power LLC, Klamath...
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.
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
Federal Register 2010, 2011, 2012, 2013, 2014
2012-10-03
... Acquisition of Four U.S. Wind Farm Project Companies by Ralls Corporation By the authority vested in me as... Pine City Windfarm, LLC (collectively, the Project Companies), all limited liability companies... Powers Act (50 U.S.C. 1701 et seq.), do not, in my judgment, provide adequate and appropriate authority...
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.
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.
Lower cost offshore field development utilizing autonomous vehicles
DOE Office of Scientific and Technical Information (OSTI.GOV)
Frisbie, F.R.; Vie, K.J.; Welch, D.W.
1996-12-31
The offshore oil and gas industry has the requirement to inspect offshore oil and gas pipelines for scour, corrosion and damage as well as inspect and intervene on satellite production facilities. This task is currently performed with Remotely Operated Vehicles (ROV) operated from dynamically positioned (DP) offshore supply or diving support boats. Currently, these tasks are expensive due to the high day rates for DP ships and the slow, umbilical impeded, 1 knot inspection rates of the tethered ROVs, Emerging Autonomous Undersea Vehicle (AUV) technologies offer opportunities to perform these same inspection tasks for 50--75% lower cost, with comparable ormore » improved quality. The new generation LAPV (Linked Autonomous Power Vehicles) will operate from fixed facilities such as TLPs or FPFs and cover an operating field 10 kms in diameter.« less
NASA Astrophysics Data System (ADS)
Coudou, N.; Buckingham, S.; van Beeck, J.
2017-05-01
Increasing use of wind energy over the years results in more and larger clustered wind farms. It is therefore fundamental to have an in-depth knowledge of wind-turbine wakes, and especially a better understanding of the well-known but less understood wake-meandering phenomenon which causes the wake to move as a whole in both horizontal and vertical directions as it is convected downstream. This oscillatory motion of the wake is crucial for loading on downstream turbines because it increases fatigue loads and in particular yaw loads. In order to address this phenomenon, experimental investigations were carried out in an atmospheric-boundary-layer wind tunnel using a 3 × 3 scaled wind farm composed of three-bladed rotating wind-turbine models subject to a neutral atmospheric boundary layer (ABL) corresponding to a slightly rough terrain, i.e. to offshore conditions. Particle Image Velocimetry (PIV) measurements were performed in a horizontal plane, at hub height, in the wake of the three wind turbines in the wind-farm centreline. From the PIV velocity fields obtained, the wake-centrelines were determined and a spectral analysis was performed to obtain the characteristics of the wake-meandering phenomenon. In addition, Hot-Wire Anemometry (HWA) measurements were performed in the wakes of the same wind turbines to validate the PIV results. The spectral analysis performed with the spatial and temporal signals obtained from PIV and HWA measurements respectively, led to Strouhal numbers St = fD/Uhub ≃ 0.20 - 0.22.
Strategies for Voltage Control and Transient Stability Assessment
DOE Office of Scientific and Technical Information (OSTI.GOV)
Hiskens, Ian A.
As wind generation grows, its influence on power system performance will becoming increasingly noticeable. Wind generation di ffers from traditional forms of generation in numerous ways though, motivating the need to reconsider the usual approaches to power system assessment and performance enhancement. The project has investigated the impact of wind generation on transient stability and voltage control, identifying and addressing issues at three distinct levels of the power system: 1) at the device level, the physical characteristics of wind turbine generators (WTGs) are quite unlike those of synchronous machines, 2) at the wind-farm level, the provision of reactive support ismore » achieved through coordination of numerous dissimilar devices, rather than straightforward generator control, and 3) from a systems perspective, the location of wind-farms on the sub-transmission network, coupled with the variability inherent in their power output, can cause complex voltage control issues. The project has sought to develop a thorough understanding of the dynamic behaviour of type-3 WTGs, and in particular the WECC generic model. The behaviour of such models is governed by interactions between the continuous dynamics of state variables and discrete events associated with limits. It was shown that these interactions can be quite complex, and may lead to switching deadlock that prevents continuation of the trajectory. Switching hysteresis was proposed for eliminating deadlock situations. Various type-3 WTG models include control blocks that duplicate integrators. It was shown that this leads to non-uniqueness in the conditions governing steady-state, and may result in pre- and post-disturbance equilibria not coinciding. It also gives rise to a zero eigenvalue in the linearized WTG model. In order to eliminate the anomalous behaviour revealed through this investigation, WECC has now released a new generic model for type-3 WTGs. Wind-farms typically incorporate a variety of voltage control equipment including tapchanging transformers, switched capacitors, SVCs, STATCOMs and the WTGs themselves. The project has considered the coordinated control of this equipment, and has addressed a range of issues that arise in wind-farm operation. The first concerns the ability of WTGs to meet reactive power requirements when voltage saturation in the collector network restricts the reactive power availability of individual generators. Secondly, dynamic interactions between voltage regulating devices have been investigated. It was found that under certain realistic conditions, tap-changing transformers may exhibit instability. In order to meet cost, maintenance, fault tolerance and other requirements, it is desirable for voltage control equipment to be treated as an integrated system rather than as independent devices. The resulting high-level scheduling of wind-farm reactive support has been investigated. In addressing this control problem, several forms of future information were considered, including exact future knowledge and stochastic predictions. Deterministic and Stochastic Dynamic Programming techniques were used in the development of control algorithms. The results demonstrated that while exact future knowledge is very useful, simple prediction methods yield little bene fit. The integration of inherently variable wind generation into weak grids, particularly subtransmission networks that are characterized by low X=R ratios, aff ects bus voltages, regulating devices and line flows. The meshed structure of these networks adds to the complexity, especially when wind generation is distributed across multiple nodes. A range of techniques have been considered for analyzing the impact of wind variability on weak grids. Sensitivity analysis, based on the power-flow Jacobian, was used to highlight sections of a system that are most severely a ffected by wind-power variations. A continuation power flow was used to determine parameter changes that reduce the impact of wind-power variability. It was also used to explore interactions between multiple wind-farms. Furthermore, these tools have been used to examine the impact of wind injection on transformer tap operation in subtransmission networks. The results of a tap operation simulation study show that voltage regulation at wind injection nodes increases tap change operations. The tradeo ff between local voltage regulation and tap change frequency is fundamentally important in optimizing the size of reactive compensation used for voltage regulation at wind injection nodes. Line congestion arising as a consequence of variable patterns of wind-power production has also been investigated. Two optimization problems have been formulated, based respectively on the DC and AC power flow models, for identifying vulnerable line segments. The DC optimization is computationally more e fficient, whereas the AC sensitivity-based optimization provides greater accuracy.« less
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.
Simulation and optimal control of wind-farm boundary layers
NASA Astrophysics Data System (ADS)
Meyers, Johan; Goit, Jay
2014-05-01
In large wind farms, the effect of turbine wakes, and their interaction leads to a reduction in farm efficiency, with power generated by turbines in a farm being lower than that of a lone-standing turbine by up to 50%. In very large wind farms or `deep arrays', this efficiency loss is related to interaction of the wind farms with the planetary boundary layer, leading to lower wind speeds at turbine level. Moreover, for these cases it has been demonstrated both in simulations and wind-tunnel experiments that the wind-farm energy extraction is dominated by the vertical turbulent transport of kinetic energy from higher regions in the boundary layer towards the turbine level. In the current study, we investigate the use of optimal control techniques combined with Large-Eddy Simulations (LES) of wind-farm boundary layer interaction for the increase of total energy extraction in very large `infinite' wind farms. We consider the individual wind turbines as flow actuators, whose energy extraction can be dynamically regulated in time so as to optimally influence the turbulent flow field, maximizing the wind farm power. For the simulation of wind-farm boundary layers we use large-eddy simulations in combination with actuator-disk and actuator-line representations of wind turbines. Simulations are performed in our in-house pseudo-spectral code SP-Wind that combines Fourier-spectral discretization in horizontal directions with a fourth-order finite-volume approach in the vertical direction. For the optimal control study, we consider the dynamic control of turbine-thrust coefficients in an actuator-disk model. They represent the effect of turbine blades that can actively pitch in time, changing the lift- and drag coefficients of the turbine blades. Optimal model-predictive control (or optimal receding horizon control) is used, where the model simply consists of the full LES equations, and the time horizon is approximately 280 seconds. The optimization is performed using a nonlinear conjugate gradient method, and the gradients are calculated by solving the adjoint LES equations. We find that the extracted farm power increases by approximately 20% when using optimal model-predictive control. However, the increased power output is also responsible for an increase in turbulent dissipation, and a deceleration of the boundary layer. Further investigating the energy balances in the boundary layer, it is observed that this deceleration is mainly occurring in the outer layer as a result of higher turbulent energy fluxes towards the turbines. In a second optimization case, we penalize boundary-layer deceleration, and find an increase of energy extraction of approximately 10%. In this case, increased energy extraction is balanced by a reduction in of turbulent dissipation in the boundary layer. J.M. acknowledges support from the European Research Council (FP7-Ideas, grant no. 306471). Simulations were performed on the computing infrastructure of the VSC Flemish Supercomputer Center, funded by the Hercules Foundation and the Flemish Government.
Krauesslar, Victoria; Avery, Rachel E; Passmore, Jonathan
2015-01-01
Safety coaching interventions have become a common feature in the safety critical offshore working environments of the North Sea. Whilst the beneficial impact of coaching as an organizational tool has been evidenced, there remains a question specifically over the use of safety coaching and its impact on behavioural change and producing safe working practices. A series of 24 semi-structured interviews were conducted with three groups of experts in the offshore industry: safety coaches, offshore managers and HSE directors. Using a thematic analysis approach, several significant themes were identified across the three expert groups including connecting with and creating safety ownership in the individual, personal significance and humanisation, ingraining safety and assessing and measuring a safety coach's competence. Results suggest clear utility of safety coaching when applied by safety coaches with appropriate coach training and understanding of safety issues in an offshore environment. The current work has found that the use of safety coaching in the safety critical offshore oil and gas industry is a powerful tool in managing and promoting a culture of safety and care.
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
2008-03-01
Stafford et al. ( 1998 ) utilized MSP for long range and acoustic detection and localization of blue whale calls in the northeast Pacific Ocean...J. Acoust . Soc. Am. 107 (6):3496:3508 (2000). Stafford , K. M., Fox, C. G., Clark, D. S., “ Long - range acoustic detection and localization of blue ...OF THE PERFORMANCE OF THE NEAR- BOTTOM HYDROPHONES OF THE U.S. NAVY SOUTHERN CALIFORNIA OFFSHORE
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
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.
Wind farm optimization using evolutionary algorithms
NASA Astrophysics Data System (ADS)
Ituarte-Villarreal, Carlos M.
In recent years, the wind power industry has focused its efforts on solving the Wind Farm Layout Optimization (WFLO) problem. Wind resource assessment is a pivotal step in optimizing the wind-farm design and siting and, in determining whether a project is economically feasible or not. In the present work, three (3) different optimization methods are proposed for the solution of the WFLO: (i) A modified Viral System Algorithm applied to the optimization of the proper location of the components in a wind-farm to maximize the energy output given a stated wind environment of the site. The optimization problem is formulated as the minimization of energy cost per unit produced and applies a penalization for the lack of system reliability. The viral system algorithm utilized in this research solves three (3) well-known problems in the wind-energy literature; (ii) a new multiple objective evolutionary algorithm to obtain optimal placement of wind turbines while considering the power output, cost, and reliability of the system. The algorithm presented is based on evolutionary computation and the objective functions considered are the maximization of power output, the minimization of wind farm cost and the maximization of system reliability. The final solution to this multiple objective problem is presented as a set of Pareto solutions and, (iii) A hybrid viral-based optimization algorithm adapted to find the proper component configuration for a wind farm with the introduction of the universal generating function (UGF) analytical approach to discretize the different operating or mechanical levels of the wind turbines in addition to the various wind speed states. The proposed methodology considers the specific probability functions of the wind resource to describe their proper behaviors to account for the stochastic comportment of the renewable energy components, aiming to increase their power output and the reliability of these systems. The developed heuristic considers a variable number of system components and wind turbines with different operating characteristics and sizes, to have a more heterogeneous model that can deal with changes in the layout and in the power generation requirements over the time. Moreover, the approach evaluates the impact of the wind-wake effect of the wind turbines upon one another to describe and evaluate the power production capacity reduction of the system depending on the layout distribution of the wind turbines.
NASA Astrophysics Data System (ADS)
O'Brien, Enda; McKinstry, Alastair; Ralph, Adam
2015-04-01
Building on previous work presented at EGU 2013 (http://www.sciencedirect.com/science/article/pii/S1876610213016068 ), more results are available now from a different wind-farm in complex terrain in southwest Ireland. The basic approach is to interpolate wind-speed forecasts from an operational weather forecast model (i.e., HARMONIE in the case of Ireland) to the precise location of each wind-turbine, and then use Bayes Model Averaging (BMA; with statistical information collected from a prior training-period of e.g., 25 days) to remove systematic biases. Bias-corrected wind-speed forecasts (and associated power-generation forecasts) are then provided twice daily (at 5am and 5pm) out to 30 hours, with each forecast validation fed back to BMA for future learning. 30-hr forecasts from the operational Met Éireann HARMONIE model at 2.5km resolution have been validated against turbine SCADA observations since Jan. 2014. An extra high-resolution (0.5km grid-spacing) HARMONIE configuration has been run since Nov. 2014 as an extra member of the forecast "ensemble". A new version of HARMONIE with extra filters designed to stabilize high-resolution configurations has been run since Jan. 2015. Measures of forecast skill and forecast errors will be provided, and the contributions made by the various physical and computational enhancements to HARMONIE will be quantified.
2010 Cost of Wind Energy Review
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, S.; Hand, M.; Maples, B.
2012-04-01
This document provides a detailed description of NREL's levelized cost of wind energy equation, assumptions and results in 2010, including historical cost trends and future projections for land-based and offshore utility-scale wind.
2010 Cost of Wind Energy Review
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, S.; Hand, M.; Maples, B.
2012-04-01
This document provides a detailed description of NREL's levelized cost of wind energy equation, assumptions, and results in 2010, including historical cost trends and future projections for land-based and offshore utility-scale wind.
A Boundary Delineation System for the Bureau of Ocean Energy Management
NASA Astrophysics Data System (ADS)
Vandegraft, Douglas L.
2018-05-01
Federal government mapping of the offshore areas of the United States in support of the development of oil and gas resources began in 1954. The first mapping system utilized a network of rectangular blocks defined by State Plane coordinates which was later revised to utilize the Universal Transverse Mercator grid. Creation of offshore boundaries directed by the Submerged Lands Act and Outer Continental Shelf Lands Act were mathematically determined using early computer programs that performed the required computations, but required many steps. The Bureau of Ocean Energy Management has revised these antiquated methods using GIS technology which provide the required accuracy and produce the mapping products needed for leasing of energy resources, including renewable energy projects, on the outer continental shelf. (Note: this is an updated version of a paper of the same title written and published in 2015).
30 CFR 250.1606 - Control of wells.
Code of Federal Regulations, 2010 CFR
2010-07-01
... Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR... in a safe and workmanlike manner. The lessee shall utilize the best available and safest drilling... resources, and the environment. ...
DOE Office of Scientific and Technical Information (OSTI.GOV)
Rashid, A.; Nygaard, C.
The use of concrete in marine environment has gained tremendous popularity in the past decade and is continued to be a very popular material for marine industry in the world today. It has a very diversified use from large offshore platforms and floating structures in the North Sea, Canada and South America to offshore loading terminals and junction platforms in shallow waters in the marshes of southern Louisiana in the Gulf of Mexico. Also, precast concrete sections are extensively used all over the world in the construction of marine structures. Because of their large variety of shapes and sizes, theymore » can be tailored to fit multiple applications in marine environment. The added quality control in the fabrication yard and the ease of installation by lifting makes them a very attractive option. The use of precast concrete sections is gaining a lot of popularity in South America. A lot of fabrication yards are manufacturing these sections locally. There are hundreds of offshore concrete platforms utilizing these sections in Lake Maracaibo, Venezuela. The paper discusses the use of concrete for offshore structures including floaters. It describes some general concepts and advantages to be gained by the use of concrete (precast and cast-in-place) in marine environment. It also discusses some general design considerations required for the use of different types of precast concrete sections that can be utilized for oil and gas platforms and loading terminals. Lastly the paper describes some typical examples of concrete platforms built out of concrete piles, precast concrete girders and beam sections and concrete decking.« less
Percentage body fat and prevalence of obesity in a UK offshore population.
Light, I M; Gibson, M
1986-07-01
1. Body-weight, body height and skinfold measurements were taken in 419 adult males working in the UK offshore oil industry. Percentage body fat was estimated from skinfold thicknesses and the Quetelet index (weight:height) determined. 2. The prevalence of overweightness, assessed from the Quetelet index, in the age groups 20-29, 30-39 and 40-49 years was 31.6, 50.0 and 66.2% respectively. The Office of Population Census and Surveys (1981) showed that for age-matched groups, the incidence of overweightness in an onshore population was 26, 40 and 50% respectively. 3. The percentage body fat for each respective age group was greater than that reported for an age-matched onshore population. 4. The Quetelet index was significantly related to body fat (r 0.765, P less than 0.0001) and poorly correlated with height, thus this weight:height relation may be utilized in the assessment of overweightness in offshore personnel. 5. In conclusion it appears that the offshore population had a higher percentage body fat than their onshore peers and that the prevalence of overweightness was also greater.
Suter, J.R.; Mossa, J.; Penland, S.
1989-01-01
Louisiana is experiencing the most critical coastal erosion and land loss problem in the United States. Shoreline erosion rates exceed 6 m/yr in more than 80% of the Louisiana coastal zone and can be up to 50 m/yr in areas impacted by hurricanes. The barrier islands have decreased in area by some 40% since 1880. Land loss from coastal marshlands and ridgelands from both natural and human-induced processes is estimated to exceed 100 km2/yr. In response, a two-phase plan has been established, calling for barrier-island restoration and beach nourishment, both requiring large amounts of sand. The plan will be cost-effective only if sand can be found offshore in sufficient quantities close to project sites. To locate such deposits, the Louisiana Geological Survey is conducting an inventory of nearshore sand resources on the Louisiana continental shelf. Exploration for offshore sand deposits is conducted in two phases, with high-resolution seismic reflection profiling to locate potential sand bodies followed by vibracoring to confirm seismic intepretations and obtain samples for textural characterization. As part of the initial stages of the program, reconnaissance high-resolution seismic investigations of three areas of the continental shelf representing different stages in the evolutionary sequence of barrier shorelines were carried out. The Timbalier Islands, flanking barriers of the eroding Caminada-Moreau headland, contain potential sand resources associated with buried tidal and distributary channels. The Chandeleur Islands, a barrier-island arc, have potential offshore sands in the form of truncated spit and tidal inlet deposits, submerged beach ridges, and distributary channels. Trinity Shoal, an inner shelf shoal, is an offshore feature containing up to 2 ?? 109 m3 of material, most of which is probably fine sand. These reconnaissance surveys have demonstrated the occurrence of sand resources on the Louisiana continental shelf. Utilization of such deposits for island restoration or beach nourishment raises the question of potential adverse effects on the shoreline due to alteration of the inner shelf bathymetry by removing material or deposition of spoil in the process of dredging. Wave refraction analysis models provide a means by which hypothetical wave energy distribution can be determined and possible changes due to resource utilization assessed. A preliminary assessment of the consequences of using sand from Ship Shoal, a large shore-parallel feature, as borrow material for beach nourishment was conducted. Initial results indicate that the shoal serves to attenuate storm waves, and removal of this feature would result in increased erosion and overwash on the adjacent Isles Dernieres barrier-island shoreline. These findings illustrate the need to determine optimum dredging configurations if environmentally deleterious effects of utilization of offshore and aggregate resources are to be minimized. ?? 1989.
Response spectrum method for extreme wave loading with higher order components of drag force
NASA Astrophysics Data System (ADS)
Reza, Tabeshpour Mohammad; Mani, Fatemi Dezfouli; Ali, Dastan Diznab Mohammad; Saied, Mohajernasab; Saied, Seif Mohammad
2017-03-01
Response spectra of fixed offshore structures impacted by extreme waves are investigated based on the higher order components of the nonlinear drag force. In this way, steel jacket platforms are simplified as a mass attached to a light cantilever cylinder and their corresponding deformation response spectra are estimated by utilizing a generalized single degree of freedom system. Based on the wave data recorded in the Persian Gulf region, extreme wave loading conditions corresponding to different return periods are exerted on the offshore structures. Accordingly, the effect of the higher order components of the drag force is considered and compared to the linearized state for different sea surface levels. When the fundamental period of the offshore structure is about one third of the main period of wave loading, the results indicate the linearized drag term is not capable of achieving a reliable deformation response spectrum.
Comparative study of two approaches to model the offshore fish cages
NASA Astrophysics Data System (ADS)
Zhao, Yun-peng; Wang, Xin-xin; Decew, Jud; Tsukrov, Igor; Bai, Xiao-dong; Bi, Chun-wei
2015-06-01
The goal of this paper is to provide a comparative analysis of two commonly used approaches to discretize offshore fish cages: the lumped-mass approach and the finite element technique. Two case studies are chosen to compare predictions of the LMA (lumped-mass approach) and FEA (finite element analysis) based numerical modeling techniques. In both case studies, we consider several loading conditions consisting of different uniform currents and monochromatic waves. We investigate motion of the cage, its deformation, and the resultant tension in the mooring lines. Both model predictions are sufficient close to the experimental data, but for the first experiment, the DUT-FlexSim predictions are slightly more accurate than the ones provided by Aqua-FE™. According to the comparisons, both models can be successfully utilized to the design and analysis of the offshore fish cages provided that an appropriate safety factor is chosen.
Could Crop Height Affect the Wind Resource at Agriculturally Productive Wind Farm Sites?
NASA Astrophysics Data System (ADS)
Vanderwende, Brian; Lundquist, Julie K.
2016-03-01
The collocation of cropland and wind turbines in the US Midwest region introduces complex meteorological interactions that could influence both agriculture and wind-power production. Crop management practices may affect the wind resource through alterations of land-surface properties. We use the weather research and forecasting (WRF) model to estimate the impact of crop height variations on the wind resource in the presence of a large turbine array. A hypothetical wind farm consisting of 121 1.8-MW turbines is represented using the WRF model wind-farm parametrization. We represent the impact of selecting soybeans rather than maize by altering the aerodynamic roughness length in a region approximately 65 times larger than that occupied by the turbine array. Roughness lengths of 0.1 and 0.25 m represent the mature soy crop and a mature maize crop, respectively. In all but the most stable atmospheric conditions, statistically significant hub-height wind-speed increases and rotor-layer wind-shear reductions result from switching from maize to soybeans. Based on simulations for the entire month of August 2013, wind-farm energy output increases by 14 %, which would yield a significant monetary gain. Further investigation is required to determine the optimal size, shape, and crop height of the roughness modification to maximize the economic benefit and minimize the cost of such crop-management practices. These considerations must be balanced by other influences on crop choice such as soil requirements and commodity prices.
Could crop height affect the wind resource at agriculturally productive wind farm sites?
Vanderwende, Brian; Lundquist, Julie K.
2015-11-07
The collocation of cropland and wind turbines in the US Midwest region introduces complex meteorological interactions that could influence both agriculture and wind-power production. Crop management practices may affect the wind resource through alterations of land-surface properties. We use the weather research and forecasting (WRF) model to estimate the impact of crop height variations on the wind resource in the presence of a large turbine array. A hypothetical wind farm consisting of 121 1.8-MW turbines is represented using the WRF model wind-farm parametrization. We represent the impact of selecting soybeans rather than maize by altering the aerodynamic roughness length inmore » a region approximately 65 times larger than that occupied by the turbine array. Roughness lengths of 0.1 and 0.25 m represent the mature soy crop and a mature maize crop, respectively. In all but the most stable atmospheric conditions, statistically significant hub-height wind-speed increases and rotor-layer wind-shear reductions result from switching from maize to soybeans. Based on simulations for the entire month of August 2013, wind-farm energy output increases by 14 %, which would yield a significant monetary gain. Further investigation is required to determine the optimal size, shape, and crop height of the roughness modification to maximize the economic benefit and minimize the cost of such crop-management practices. As a result, these considerations must be balanced by other influences on crop choice such as soil requirements and commodity prices.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Vanderwende, Brian J.; Kosović, Branko; Lundquist, Julie K.
2016-08-27
Growth in wind power production has motivated investigation of wind-farm impacts on in situ flow fields and downstream interactions with agriculture and other wind farms. These impacts can be simulated with both large-eddy simulations (LES) and mesoscale wind-farm parameterizations (WFP). The Weather Research and Forecasting (WRF) model offers both approaches. We used the validated generalized actuator disk (GAD) parameterization in WRF-LES to assess WFP performance. A 12-turbine array was simulated using the GAD model and the WFP in WRF. We examined the performance of each scheme in both convective and stable conditions. The GAD model and WFP produced qualitatively similarmore » wind speed deficits and turbulent kinetic energy (TKE) production across the array in both stability regimes, though the magnitudes of velocity deficits and TKE production levels were underestimated and overestimated, respectively. While wake growth slowed in the latter half of the WFP array as expected, wakes did not approach steady state by the end of the array as simulated by the GAD model. A sensitivity test involving the deactivation of explicit TKE production by the WFP resulted in turbulence levels within the array well that were below those produced by the GAD in both stable and unstable conditions. Finally, the WFP overestimated downwind power production deficits in stable conditions because of the lack of wake stabilization in the latter half of the array.« less
Could crop height affect the wind resource at agriculturally productive wind farm sites?
DOE Office of Scientific and Technical Information (OSTI.GOV)
Vanderwende, Brian; Lundquist, Julie K.
The collocation of cropland and wind turbines in the US Midwest region introduces complex meteorological interactions that could influence both agriculture and wind-power production. Crop management practices may affect the wind resource through alterations of land-surface properties. We use the weather research and forecasting (WRF) model to estimate the impact of crop height variations on the wind resource in the presence of a large turbine array. A hypothetical wind farm consisting of 121 1.8-MW turbines is represented using the WRF model wind-farm parametrization. We represent the impact of selecting soybeans rather than maize by altering the aerodynamic roughness length inmore » a region approximately 65 times larger than that occupied by the turbine array. Roughness lengths of 0.1 and 0.25 m represent the mature soy crop and a mature maize crop, respectively. In all but the most stable atmospheric conditions, statistically significant hub-height wind-speed increases and rotor-layer wind-shear reductions result from switching from maize to soybeans. Based on simulations for the entire month of August 2013, wind-farm energy output increases by 14 %, which would yield a significant monetary gain. Further investigation is required to determine the optimal size, shape, and crop height of the roughness modification to maximize the economic benefit and minimize the cost of such crop-management practices. As a result, these considerations must be balanced by other influences on crop choice such as soil requirements and commodity prices.« less
30 CFR 250.1606 - Control of wells.
Code of Federal Regulations, 2011 CFR
2011-07-01
... INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Sulphur Operations... utilize the best available and safest drilling technologies and state-of-the-art methods to evaluate and... protection of personnel, equipment, natural resources, and the environment. ...
30 CFR 250.800 - General requirements.
Code of Federal Regulations, 2013 CFR
2013-07-01
... Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and Gas Production Safety Systems... environments. Production safety systems operated in subfreezing climates shall utilize equipment and procedures...
30 CFR 250.800 - General requirements.
Code of Federal Regulations, 2012 CFR
2012-07-01
... Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and Gas Production Safety Systems... environments. Production safety systems operated in subfreezing climates shall utilize equipment and procedures...
30 CFR 250.800 - General requirements.
Code of Federal Regulations, 2014 CFR
2014-07-01
... Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and Gas Production Safety Systems... environments. Production safety systems operated in subfreezing climates shall utilize equipment and procedures...
Semi-active control of monopile offshore wind turbines under multi-hazards
NASA Astrophysics Data System (ADS)
Sun, C.
2018-01-01
The present paper studies the control of monopile offshore wind turbines subjected to multi-hazards consisting of wind, wave and earthquake. A Semi-active tuned mass damper (STMD) with tunable natural frequency and damping ratio is introduced to control the dynamic response. A new fully coupled analytical model of the monopile offshore wind turbine with an STMD is established. The aerodynamic, hydrodynamic and seismic loading models are derived. Soil effects and damage are considered. The National Renewable Energy Lab monopile 5 MW baseline wind turbine model is employed to examine the performance of the STMD. A passive tuned mass damper (TMD) is utilized for comparison. Through numerical simulation, it is found that before damage occurs, the wind and wave induced response is more dominant than the earthquake induced response. With damage presence in the tower and the foundation, the nacelle and the tower response is increased dramatically and the natural frequency is decreased considerably. As a result, the passive TMD with fixed parameters becomes off-tuned and loses its effectiveness. In comparison, the STMD retuned in real-time demonstrates consistent effectiveness in controlling the dynamic response of the monopile offshore wind turbines under multi-hazards and damage with a smaller stroke.
Research of Cemented Paste Backfill in Offshore Environments
NASA Astrophysics Data System (ADS)
Wang, Kun; Yang, Peng; Lyu, Wensheng; Lin, Zhixiang
2018-01-01
To promote comprehensive utilization of mine waste tailings and control ground pressure, filling mine stopes with cement paste backfill (CPB) is becoming the most widely used and applicable method in contemporary underground mining. However, many urgent new problems have arisen during the exploitation in offshore mines owing to the complex geohydrology conditions. A series of rheological, settling and mechanical tests were carried out to study the influences of bittern ions on CPB properties in offshore mining. The results showed that: (1) the bittern ion compositions and concentrations of backfill water sampled in mine filling station were similar to seawater. Backfill water mixed CPB slurry with its higher viscosity coefficient was adverse to pipeline gravity transporting; (2) Bleeding rate of backfill water mixed slurry was lower than that prepared with tap water at each cement-tailings ratio; (3) The UCS values of backfill water mixed samples were higher at early curing ages (3d, 7d) and then became lower after longer curing time at 14d and 28d. Therefore, for mine production practice, the offshore environments can have adverse effects on the pipeline gravity transporting and have positive effects on stope dewatering process and early-age strength growth.
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.
NASA Astrophysics Data System (ADS)
Bodmer, M.; Toomey, D. R.; Hooft, E. E. E.; Bezada, M.; Schmandt, B.; Byrnes, J. S.
2017-12-01
Amphibious studies of subduction zones promise advances in understanding links between incoming plate structure, the subducting slab, and the upper mantle beneath the slab. However, joint onshore/offshore imaging is challenging due to contrasts between continental and oceanic structure. We present P-wave teleseismic tomography results for the Cascadia subduction zone (CSZ) that utilize existing western US datasets, amphibious seismic data from the Cascadia Initiative, and tomographic algorithms that permit 3D starting models, nonlinear ray tracing, and finite frequency kernels. Relative delay times show systematic onshore/offshore trends, which we attribute to structure in the upper 50 km. Shore-crossing CSZ seismic refraction models predict relative delays >1s, with equal contributions from elevation and crustal thickness. We use synthetic data to test methods of accounting for such shallow structure. Synthetic tests using only station static terms produce margin-wide, sub-slab low-velocity artifacts. Using a more realistic a priori 3D model for the upper 50 km better reproduces known input structures. To invert the observed delays, we use data-constrained starting models of the CSZ. Our preferred models utilize regional surface wave studies to construct a starting model, directly account for elevation, and use 3D nonlinear ray tracing. We image well-documented CSZ features, including the subducted slab down to 350 km, along strike slab variations below 150 km, and deep slab fragmentation. Inclusion of offshore data improves resolution of the sub-slab mantle, where we resolve localized low-velocity anomalies near the edges of the CSZ (beneath the Klamath and Olympic mountains). Our new imaging and resolution tests indicate that previously reported margin-wide, sub-slab low-velocity asthenospheric anomalies are an imaging artifact. Offshore, we observe low-velocity anomalies beneath the Gorda plate consistent with regional deformation and broad upwelling resulting from plate stagnation. At the Juan de Fuca Ridge we observe asymmetric low-velocity anomalies consistent with dynamic upwelling. Our results agree with recent offshore tomography studies using S wave data; however, differences in the recovered relative amplitudes are likely due to anisotropy, which we are exploring.
NASA Astrophysics Data System (ADS)
Campbell, M. S.; Ashley, M.; De Groot, J.; Rodwell, L.
2016-02-01
As an emerging industry, Marine Renewable Energy (MRE) is expected to play a major contributory role if the UK is to successfully reach it's desired target of renewable energy production by 2020. However, due to the competing objectives and priorities of MRE and other industries, for example fisheries, and in the delivering of conservation measures, the demand for space within our marine landscape is increasing, and interactions are inevitable. A semi structured interview was conducted with forty fishers across the UK to elicit further information on the challenges, barriers to progress and priority issues these fishers face in relation to MRE development. The questionnaire also included a fisher assessment of the mitigation agenda developed by de Groot et al. (2014) under the Natural Environment Research Council Marine Renewable Energy Knowledge Exchange Programme ( NERC MREKEP). Qualitative data were extracted and analysed using the text analysis software NVivo8. Fishers identified barriers to progress, and in order of the most important themes included; policy, consultation, trust, lack of knowledge, true representation of all fishers, science vs. fisher observation mismatch and timescales. Priority issues identified in order of importance were; displacement or loss of access, cable disturbance, timings of installation/repairs, effects on the seabed and specifically offshore windfarm (OWF) sitting. The consultation process caused discontent among all fishers interviewed. In relation to working towards a collaborative mitigation agenda, fishers highlighted issues of trust in relation to; trans-boundary management, data management and the consultation process. At all stages of the research, the response rate of the importance of gathering fishers' knowledge (FK) was high. Fishers underlined the importance of this data source in assessing the impacts of MRE on the sectors of the UK fleet. Thus, although at an early stage of development, an initial framework for the collection and application of FK is presented and further work on data needs highlighted.
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
NASA Astrophysics Data System (ADS)
Sun, Jiuce; Sanz, Santiago; León, Andrés; Fraser, Jim; Neumann, Holger
2017-12-01
Superconducting generators (SCG) show the potential to reduce the head mass of large offshore wind turbines. By evaluating the availability and required cooling capacity in the temperatures range around 20 K, a Gifford-McMahon (GM) cryocooler among all the candidates was selected. The cold head of GM cryocooler is supposed to rotate together with the rotating superconducting coil. However, the scroll compressor of the GM cryocooler must stay stationary due to lubricating oil. As a consequence, a rotary helium union (RHU) utilizing Ferrofluidic® sealing technology was successfully developed to transfer helium gas between the rotating cold head and stationary helium compressor at ambient temperatures. It contains a high-pressure and low-pressure helium path with multiple ports, respectively. Besides the helium line, slip rings with optical fiber channels are also integrated into this RHU to transfer current and measurement signals. With promising preliminary test results, the RHU will be installed in a demonstrator of SCG and further performance investigation will be performed.
Segrè, Joel; Liu, Grace; Komrska, Jan
2017-10-01
Manufacturers on four continents currently produce ready-to-use therapeutic foods (RUTF). Some produce locally, near their intended users, while others produce offshore and ship their product long distances. Small quantity lipid-based nutrient supplements (SQ-LNS) such as Nutriset's Enov'Nutributter are not yet in widespread production. There has been speculation whether RUTF and SQ-LNS should be produced primarily offshore, locally, or both. We analyzed The United Nations Children's Fund (UNICEF) Supply Division data, reviewed published literature, and interviewed local manufacturers to identify key benefits and challenges to local versus offshore manufacture of RUTF. Both prices and estimated costs for locally produced product have consistently been higher than offshore prices. Local manufacture faces challenges in taxation on imported ingredients, low factory utilization, high interest rates, long cash conversion cycle, and less convenient access to quality testing labs. Benefits to local economies are not likely to be significant. Although offshore manufacturers offer RUTF at lower cost, local production is getting closer to cost parity for RUTF. UNICEF, which buys the majority of RUTF globally, continues to support local production, and efforts are underway to narrow the cost gap further. Expansion of RUTF producers into the production of other ready-to-use foods, including SQ-LNS in order to reach a larger market and achieve a more sustainable scale, may further close the cost and price gap. Local production of both RUTF and SQ-LNS could be encouraged by a favorable tax environment, assistance in lending, consistent forecasts from buyers, investment in reliable input supply chains, and local laboratory testing. © 2016 John Wiley & Sons Ltd.
NASA Astrophysics Data System (ADS)
Hoadley, K. D.; Lewis, A.; Wham, D.; Pettay, D. T.; Kemp, D.; Warner, M.; Lajeunesse, T.
2016-02-01
The rock island reef habitats of Palau are an ideal location to study climate change effects to reefs, as corals there are exposed to average temperature and pCO2 conditions well above levels experienced at offshore reef locations. We examined the response of 6 coral species, Acropora muricata, Goniastrea sp, Porities rus, Cyphastrea sp, Porites cylindrical and Pachyseris sp, from both rock island and offshore habitats to high temperature (32 Celsius) for 15 days. With the exception of P. rus and P. cylindrica which harbored Symbiodinium C15 at both locations, other rock island corals harbored the thermally tolerant species Symbiodinium trenchii, whereas offshore colonies harbored clade C symbionts. A total of 15 separate host and symbiont physiological variables were utilized to assess thermal acclimation/stress response within each host/symbiont combination. Differences in photophysiology, algal cell volume and biochemical composition were observed for Symbiodinium trenchii within different host species, reflecting the importance of the host organism in mitigating the symbiont response. Similarly, the host thermal response was also dependent on symbiont type, with greater reductions in symbiont density occurring within the offshore colonies. Overall, prior exposure to warmer temperatures, elevated nutrient and pCO2 conditions, along with association with more robust symbionts allowed rock island corals to exhibit greater thermal tolerance toward high temperature. Importantly, the results herein for Symbiodinium trenchii physiological plasticity and thermal mitigation provides useful insight into the potential of scleractinian corals to acclimatize under future climate change scenarios.
NASA Astrophysics Data System (ADS)
Lu, Rong; Sun, Jianhua; Fu, Shenming
2017-04-01
This paper utilizes the observation data from the Southern China Monsoon Rainfall Experiment (SCMREX) and the numerical experiments to investigate the influence of moisture amount and convection development over the northern South China Sea on a heavy rainfall event in coastal South China on May 8, 2014. Intensive sounding and wind profiles data reveal that there existed a convergence region formed by the southwesterly and easterly jet in the Pearl River delta, which provided favorable conditions for the development of convection. Whether the initial relative humidity field was increased or decreased in the offshore area, or turning off sensible and latent heat release from the cumulus and microphysical processes, had significant effects on the intensity and movement of convection in the coastal areas of Guangdong owing to the adjustment of temperature and wind fields. Especially, when increasing offshore initial humidity, prosperous sea convection modified the circulation in the entire simulation area, and suppressed the development of convection over land. Moreover, if sensible and latent heat from cumulus and microphysical processes was turned off, the low-level jets could reach further north, and the convective system moved to the northeast in the later stage. These experiments indicate that offshore initial moisture filed and convection activity are indeed important for precipitation forecast in the coastal areas, therefore it's necessary to enhance offshore observation and data assimilation methods in the future.
NASA Astrophysics Data System (ADS)
Zheng, Ying; Waldron, Susan; Flowers, Hugh
2015-04-01
Peatlands are an important terrestrial carbon reserve and a principal source of dissolved organic carbon (DOC) to the fluvial environment (Wallage et al. 2006). Recently it has been observed that DOC concentrations [DOC] in surface waters have increased in Europe and North America (Monteith et al. 2007). This has been attributed primarily to reduced acid deposition. However, land use change can also release C from peat soils. A significant land use change in Scotland is hosting windfarms. Whether windfarm construction causes such impacts has been a research focus, particularly considering fluvial losses, but usually assessing if there are changes in DOC concentration rather than composition. Our study area is a peaty catchment that hosts wind turbines, has peat restoration activities and forest felling and is drained by two streams. We are using UV-visible and fluorescence spectrophotometry to assess if there are differences between the two steams or temporal changes in DOC composition. We will present data from samples collected since February 2014. The parameters we are focusing on are SUVA254, E4/E6 and E2/E4 ratios as these are indicators of DOC aromaticity, humic acid (HA): fulvic acid (FA) ratio and the proportion of humic substances in DOC (Weishaar, 2003; Spencer et al. 2007; Graham et al. 2012). To assess these we have measured UV-visible absorbance spectra from 200 nm to 800 nm. Meanwhile sample fluorescence emission and excitation matrix (EEM) will be applied with the PARAFAC model to obtain more information about the variations in humic substances in this catchment. Our current analysis indicates spatial differences not only in DOC concentration but also in composition. For example, the mainstem draining the windfarm area had a smaller [DOC] but higher E4/E6 and lower E2/E4 ratio values than the tributary draining an area of felled forestry. This may be indicative of more HAs in the mainstem DOC. Seasonal variations have also been observed. Both streams had high [DOC] in summer and autumn compared to spring. While E2/E4 ratios were steady in both streams, a more variable E4/E6 ratio in the mainstem may suggest DOC composition changed more over time than in the tributary which had a relatively stable E4/E6 ratio. [DOC] fell in both streams during the summer drought period but a corresponding fall in SUVA254 in the mainstem but not the tributary is further evidence of differences in DOC composition between the two streams. Such spatial and temporal understanding is needed to understand if, and how, land use influences the composition of the DOC exported. References: Graham M. C. et al. 2012. Processes controlling manganese distributions and associations in organic-rich freshwater aquatic systems: The example of Loch Bradan, Scotland. Science of the Total Environment, 424, 239-250. Monteith D. et al. 2007. Dissolved organic carbon trends resulting from changes in atmospheric chemistry. Nature,450, 537-540. Spencer R.G.M, Bolton L. and Baker A. 2007. Freeze/thaw and pH effects on freshwater dissolved organic matter fluorescence and absorbance properties from a number of UK locations.Water Research, 41 (13):2941-2950. Wallage Z.E., Holden, J. and McDonald, A.T. 2006. Drain blocking: An effective treatment for reducing dissolved organic carbon loss and water discolouration in a drained peatland. Science of the total environment, 367, 811-821. Weishaar J.L. et al. 2003. Evaluation of specific ultraviolet absorbance as an indicator of the chemical composition and reactivity of dissolved organic carbon. Environmental Science & Technology 37(20): 4702-4708.
Geophysical Data from Offshore of the Chandeleur Islands, Eastern Mississippi Delta
Baldwin, Wayne E.; Pendleton, Elizabeth A.; Twichell, David C.
2009-01-01
This report contains the geophysical and geospatial data that were collected during two cruises on the R/V Acadiana along the eastern, offshore side of the Chandeleur Islands in 2006 and 2007. Data were acquired with the following equipment: a Systems Engineering and Assessment, Ltd., SwathPlus interferometric sonar; a Klein 3000 dual-frequency sidescan sonar; and an EdgeTech 512i chirp sub-bottom profiling system. The long-term goal of this mapping effort is to produce high-quality, high-resolution geologic maps and geophysical interpretations that can be utilized to investigate the impact of Hurricane Katrina, identify sand resources within the region, and make predictions regarding the future evolution of this coastal system.
Polarimetric synthetic aperture radar utilized to track oil spills
NASA Astrophysics Data System (ADS)
Migliaccio, Maurizio; Nunziata, Ferdinando; Brown, Carl E.; Holt, Benjamin; Li, Xiaofeng; Pichel, William; Shimada, Masanobu
2012-04-01
The continued demand for crude oil and related petroleum products along with the resulting upward spiral of the market price of oil have forced oil exploration and production companies to seek out new reserves farther offshore and in deeper waters. The United States is among the top five nations globally in terms of estimated offshore oil reserves and petroleum production. Yet deepwater drilling to extract these reserves is a major engineering challenge for oil companies. Moreover, such drilling activity also comes with a significant environmental risk, and the extremely high pressures associated with deepwater oil wells mean that the mitigation of accidental releases from a deepwater spill is truly a challenging endeavor.
Carr, R.S.; Chapman, D.C.; Presley, B.J.; Biedenbach, J.M.; Robertson, L.; Boothe, P.; Kilada, R.; Wade, T.; Montagna, P.
1996-01-01
As part of a multidisciplinary program to assess the potential long-term impacts of offshore oil and gas exploration and production activities in the Gulf of Mexico, sediment chemical analyses and porewater toxicity tests were conducted in the vicinity of five offshore platforms. Based on data from sea urchin fertilization and embryological development assays, toxicity was observed near four of the five platforms sampled; the majority of the toxic samples were collected within 150 m of a platform. There was excellent agreement among the results of porewater tests with three different species (sea urchin embryological development, polychaete reproduction, and copepod nauplii survival). The sediment concentrations of several metals were well in excess of sediment quality assessment guidelines at a number of stations, and good agreement was observed between predicted and observed toxicity. Porewater metal concentrations compared with EC50, LOEC, and NOEC values generated for water-only exposures indicated that the porewater concentrations for several metals were high enough to account for the observed toxicity. Results of these studies utilizing highly sensitive toxicity tests suggest that the contaminant-induced impacts from offshore platforms are limited to a localized area in the immediate vicinity of the platforms.
Federal Register 2010, 2011, 2012, 2013, 2014
2012-11-06
... 11 commercial fishing vessels from the following Federal American lobster regulations: (1) Gear... patterns of larval dispersal and settlement in the offshore Lobster Management Area 3 (Area 3), 11 federally permitted vessels would utilize a maximum combined total of 50 modified lobster traps to target...
United States Offshore Wind Resource Assessment
NASA Astrophysics Data System (ADS)
Schwartz, M.; Haymes, S.; Heimiller, D.
2008-12-01
The utilization of the offshore wind resource will be necessary if the United States is to meet the goal of having 20% of its electricity generated by wind power because many of the electrical load centers in the country are located along the coastlines. The United States Department of Energy, through its National Renewable Energy Laboratory (NREL), has supported an ongoing project to assess the wind resource for the offshore regions of the contiguous United States including the Great Lakes. Final offshore maps with a horizontal resolution of 200 meters (m) have been completed for Texas, Louisiana, Georgia, northern New England, and the Great Lakes. The ocean wind resource maps extend from the coastline to 50 nautical miles (nm) offshore. The Great Lake maps show the resource for all of the individual lakes. These maps depict the wind resource at 50 m above the water as classes of wind power density. Class 1 represents the lowest available wind resource, while Class 7 is the highest resource. Areas with Class 5 and higher wind resource can be economical for offshore project development. As offshore wind turbine technology improves, areas with Class 4 and higher resource should become economically viable. The wind resource maps are generated using output from a modified numerical weather prediction model combined with a wind flow model. The preliminary modeling is performed by AWS Truewind under subcontract to NREL. The preliminary model estimates are sent to NREL to be validated. NREL validates the preliminary estimates by comparing 50 m model data to available measurements that are extrapolated to 50 m. The validation results are used to modify the preliminary map and produce the final resource map. The sources of offshore wind measurement data include buoys, automated stations, lighthouses, and satellite- derived ocean wind speed data. The wind electric potential is represented as Megawatts (MW) of potential installed capacity and is based on the square kilometers (sq. km) of Class 5 and higher wind resource found in a specific region. NREL uses a factor of 5 MW of installed capacity per sq. km of "windy water" for its raw electric potential calculations. NREL uses Geographic Information System data to break down the offshore wind potential by state, water depth, and distance from shore. The wind potential estimates are based on the updated maps, and on previous offshore resource information for regions where new maps are not available. The estimates are updated as new maps are completed. For example, the updated Texas offshore map shows almost 3000 sq. km of Class 5 resource within 10 nm of shore and nearly 2000 sq. km of Class 5 resource or 10,000 MW of potential installed capacity in water depths of less than 30 m. NREL plans to develop exclusion criteria to further refine the offshore wind potential
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
Connecting onshore and offshore near-surface geology: Delaware's sand inventory project
Ramsey, K.W.; Jordan, R.R.; Talley, J.H.
1999-01-01
Beginning in 1988, the Delaware Geological Survey began a program to inventory on-land sand resources suitable for beach nourishment. The inventory included an assessment of the native beach textures using existing data and developing parameters of what would be considered suitable sand textures for Delaware's Atlantic beaches. An assessment of the economics of on-land sand resources was also conducted, and it was determined that the cost of the sand was competitive with offshore dredging costs. In addition, the sand resources were put into a geologic context for purposes of predicting which depositional environments and lithostratigraphic units were most likely to produce suitable sand resources. The results of the work identified several suitable on-land sand resource areas in the Omar and Beaverdam formations that were deposited in barrier-tidal delta and fluvial-estuarine environments, respectively. The identified on-land resources areas have not been utilized due to difficulties of truck transport and development pressures in the resource areas. The Delaware Geological Survey's participation in years 8, 9, and 10 of the Continental Margins Program was developed to extend the known resource areas onshore to offshore Delaware in order to determine potential offshore sand resources for beach nourishment. Years 8 and 9 involved primarily the collection of all available data on the offshore geology. These data included all seismic lines, surface grab samples, and cores. The data were filtered for those that had reliable locations and geologic information that could be used for geologic investigations. Year 10 completed the investigations onshore by construction of a geologic cross-section from data along the coast of Delaware from Cape Henlopen to Fenwick. This cross section identified the geologic units and potential sand resource bodies as found immediately along the coast. These units and resources are currently being extended offshore and tied to known and potential sand resources as part of the continuing cooperative effort between the Delaware Geological Survey and the Minerals Management Service's INTERMAR office as sand resources are identified in federal waters off Delaware. Offshore sand resources are found in the Pliocene Beaverdam Formation offshore where overlying Quaternary units have been stripped, in the tidal delta complexes of several Quaternary units likely equivalent to the onshore Omar Formation, and in late Pleistocene- and Holocene-age shoal complexes. Onshore lithostratigraphic units can be traced offshore and show another reason for continued geologic mapping both onshore and offshore.The Delaware Geological Survey's participation in years 8, 9, and 10 of the Continental Margins Program was developed to extend the known resource areas onshore to offshore Delaware in order to determine potential offshore sand resources for beach nourishment. Years 8 and 9 involved primarily the collection of all available data on the offshore geology. These data included all seismic lines, surface grab samples, and cores. The data were filtered for those that had reliable locations and geologic information that could be used for geologic investigations. Year 10 completed the investigations onshore by construction of a geologic cross-section from data along the coast of Delaware from cape Henlopen to Fenwick.
Risk analysis for U.S. offshore wind farms: the need for an integrated approach.
Staid, Andrea; Guikema, Seth D
2015-04-01
Wind power is becoming an increasingly important part of the global energy portfolio, and there is growing interest in developing offshore wind farms in the United States to better utilize this resource. Wind farms have certain environmental benefits, notably near-zero emissions of greenhouse gases, particulates, and other contaminants of concern. However, there are significant challenges ahead in achieving large-scale integration of wind power in the United States, particularly offshore wind. Environmental impacts from wind farms are a concern, and these are subject to a number of on-going studies focused on risks to the environment. However, once a wind farm is built, the farm itself will face a number of risks from a variety of hazards, and managing these risks is critical to the ultimate achievement of long-term reductions in pollutant emissions from clean energy sources such as wind. No integrated framework currently exists for assessing risks to offshore wind farms in the United States, which poses a challenge for wind farm risk management. In this "Perspective", we provide an overview of the risks faced by an offshore wind farm, argue that an integrated framework is needed, and give a preliminary starting point for such a framework to illustrate what it might look like. This is not a final framework; substantial work remains. Our intention here is to highlight the research need in this area in the hope of spurring additional research about the risks to wind farms to complement the substantial amount of on-going research on the risks from wind farms. © 2015 Society for Risk Analysis.
Barrier Island Restoration for Storm Damage Reduction: Willapa Bay, Washington, USA
2010-07-01
Harbor Coastal Data Information Program ( CDIP ) 036 buoy located 13 miles northwest of the Entrance are utilized to specify the offshore wave boundary...condition. For the case of the March 3, 1999 storm, there is a gap in the CDIP buoy data; therefore the spectra from the National Data Buoy Center
A Model for On-Offshore Sediment Transport in the Surfzone.
1982-12-01
34 Journal of Waterway Port, Coastal and Ocean Engineering, American Society of Civil Engineers, vol 108, no. WW2 , pp 163-179. Short, A. D. (1978) "Wave...PWO, Mayport FL; Utilities Engr Off. Rota Spain NAVTECHTRACEN SCE. Pensacola FL NAVWPNCEN Code 2636 China Lake; Code 3803 China Lake, CA NAVWPNSTA
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.
Maier, Katherine L.; Paull, Charles K.; Brothers, Daniel; Caress, David W.; McGann, Mary; Lundsten, Eve M.; Anderson, Krystle; Gwiazda, Roberto
2017-01-01
We provide an extensive high‐resolution geophysical, sediment core, and radiocarbon dataset to address late Pleistocene and Holocene fault activity of the San Gregorio fault zone (SGFZ), offshore central California. The SGFZ occurs primarily offshore in the San Andreas fault system and has been accommodating dextral strike‐slip motion between the Pacific and North American plates since the mid‐Miocene. Our study focuses on the SGFZ where it has been mapped through the continental slope north of Monterey Canyon. From 2009 to 2015, the Monterey Bay Aquarium Research Institute collected high‐resolution multibeam bathymetry and chirp sub‐bottom profiles using an autonomous underwater vehicle (AUV). Targeted samples were collected using a remotely operated vehicle (ROV) to provide radiocarbon age constraints. We integrate the high‐resolution geophysical data with radiocarbon dates to reveal Pleistocene seismic horizons vertically offset less than 5 m on nearly vertical faults. These faults are buried by continuous reflections deposited after ∼17.5 ka and likely following erosion during the last sea‐level lowstand ∼21 ka, bracketing the age of faulting to ∼32–21 ka. Clearly faulted horizons are only detected in a small area where mass wasting exhumed older strata to within ∼25 m of the seafloor. The lack of clearly faulted Holocene deposits and possible highly distributed faulting in the study area are consistent with previous interpretations that late Pleistocene and Holocene activity along the SGFZ may decrease to the south. This study illustrates the complexity of the SGFZ, offshore central California, and demonstrates the utility of very high‐resolution data from combined AUV (geophysical)–ROV (seabed sampling) surveys in offshore studies of fault activity.
1981-08-01
rubble- mound breakwater ......................... . ... 66 Ŗ-6 Statistics and costs for nylon-sandbag breakwater ...... ................... .... 68 2-7...64 2-16 Rubble- mound and concrete-box breakwater sections ........... .................... 65 2-17...a series of low, fixed offshore breakwaters utilizing three structural devices: rubble mound , nylon sandbags, and precast concrete boxes, as shown in
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.
NASA Astrophysics Data System (ADS)
Sancho, G.; Edman, R.; Frazier, B.; Bubley, W.
2016-02-01
Understanding the trophic dynamics and habitat utilization of apex predators is central to inferring their influence on different marine landscapes and to help design effective management plans for these animals. Tiger sharks (Galeocerdo cuvier) are abundant in shelf and offshore Gulf Stream waters of the western North Atlantic Ocean, and based on movements from individuals captured in Florida and Bahamas, seem to avoid coastal and shelf waters off South Carolina and Georgia. This contradicts reports of tiger sharks regularly being caught nearshore by anglers in these states, indicating that separate sub-populations may exist in the western North Atlantic. In the present study we captured Tiger Sharks in coastal waters off South Carolina in 2014 and 2015 in order to describe their movement patterns through acoustic and satellite tagging, and trophic dynamics through stable isotope analyses. Movement data show that these tiger sharks repeatedly visit particular inshore areas and mainly travel over the continental shelf, but rarely venture offshore beyond the continental shelf edge. Ongoing C and N stable isotope analyses of muscle, blood and skin tissues from adult and juvenile tiger sharks, as well as from potential prey species and primary producers, will help determine if their diets are based on inshore, shelf or offshore based food webs. Tiger sharks exploiting nearshore environments and shelf waters have much higher probabilities of interacting with humans than individuals occupying far offshore Gulf Stream habitats.
Simplified Technique for Predicting Offshore Pipeline Expansion
NASA Astrophysics Data System (ADS)
Seo, J. H.; Kim, D. K.; Choi, H. S.; Yu, S. Y.; Park, K. S.
2018-06-01
In this study, we propose a method for estimating the amount of expansion that occurs in subsea pipelines, which could be applied in the design of robust structures that transport oil and gas from offshore wells. We begin with a literature review and general discussion of existing estimation methods and terminologies with respect to subsea pipelines. Due to the effects of high pressure and high temperature, the production of fluid from offshore wells is typically caused by physical deformation of subsea structures, e.g., expansion and contraction during the transportation process. In severe cases, vertical and lateral buckling occurs, which causes a significant negative impact on structural safety, and which is related to on-bottom stability, free-span, structural collapse, and many other factors. In addition, these factors may affect the production rate with respect to flow assurance, wax, and hydration, to name a few. In this study, we developed a simple and efficient method for generating a reliable pipe expansion design in the early stage, which can lead to savings in both cost and computation time. As such, in this paper, we propose an applicable diagram, which we call the standard dimensionless ratio (SDR) versus virtual anchor length (L A ) diagram, that utilizes an efficient procedure for estimating subsea pipeline expansion based on applied reliable scenarios. With this user guideline, offshore pipeline structural designers can reliably determine the amount of subsea pipeline expansion and the obtained results will also be useful for the installation, design, and maintenance of the subsea pipeline.
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.
Industry disputes administration report on oil and gas leasing
NASA Astrophysics Data System (ADS)
Showstack, Randy
2012-05-01
Despite the Obama administration's efforts to make millions of acres of public lands available for oil and gas development, most of the acreage onshore and offshore of the contiguous United States remains idle, according to “Oil and gas lease utilization, onshore and offshore,” a 15 May report issued by the Department of the Interior (DOI). The report, which is being disputed by industry representatives, notes that 72% of the nearly 36 million leased offshore acres currently are inactive and that 50.6% of onshore leased acres (about 20.8 million acres) also are idle. “As part of the Obama administration's all-of- the-above energy strategy, we continue to make millions of acres of public lands available for safe and responsible domestic energy production on public lands and in federal waters,” said DOI secretary Ken Salazar. “These lands and waters belong to the American people, and they expect those energy supplies to be developed in a timely and responsible manner and with a fair return to taxpayers. We will continue to encourage companies to diligently bring production online quickly and safely on public lands already under lease.”
NASA Astrophysics Data System (ADS)
Bouabene, Anis
2002-08-01
UTMB is developing with industrial partners the "24/7 telemedicine triage project" to provide emergency medical care to offshore oil and gas rigs and platforms in the Gulf of Mexico. The oil and gas industry is second only to the US department of defense in the number of employees stationed in remote areas. Providing medical care to such populations is logistically complex and expensive. In addition, emergency evacuation is often time-consuming and poses risks for both patients and medical crews. By utilizing high-resolution videoconferencing technology, through a satellite communication, patient visits will be conducted in real time and will provide more informed decisions about the need for more extensive treatment, thereby reducing unnecessary evacuations. In addition, patients who require evacuation will receive a higher standard of care while waiting for transport to a medical facility. UTMB physicians report that 39% of all patients from offshore facilities treated in the emergency department, could have been successfully treated through telemedicine without being evacuated to a hospital. The telemedicine project will employ standard procedures for medical triage, in which patients are directed to appropriate medical experts based on their symptoms or type of injury.
Kurata, Atsushi; Hirose, Yuu; Misawa, Naomi; Wakazuki, Sachiko; Kishimoto, Noriaki; Kobayashi, Tohru
2016-03-10
Here we report the complete genome sequence of Microcella alkaliphila JAM-AC0309, which was newly isolated from the deep subseafloor core sediment from offshore of the Shimokita Peninsula of Japan. An array of genes related to utilization of xylan in this bacterium was identified by whole genome analysis. Copyright © 2016 Elsevier B.V. All rights reserved.
Isotopic and Physiological Effects of Disease in a Sea Fan from Bermuda
NASA Astrophysics Data System (ADS)
Rodrigues, L. J.
2009-05-01
Aspergillosis, a disease caused by the fungus, Aspergillus sydowii, has impacted gorgonian populations throughout much of the Caribbean, including Bermuda. Stable carbon (δ13C) and nitrogen (δ15N) isotopes have been shown to be a useful tool for tracking physiological changes in coral species. To assess the relationship between δ13C, δ15N, and physiological effects of disease in corals, healthy and diseased colonies of the purple sea fan (Gorgonia ventalina) were analyzed. Visibly healthy and diseased samples were collected from a near-shore reef location in July 2007. Healthy samples were also collected from an off-shore reef location, where there was no visible incidence of disease on the reef. The proportion of purpled sclerites was measured for each sample and verified the severity of disease for each colony. Diseased sections of G. ventalina had lower lipid concentrations than healthy sections of the same colony, suggesting that lipid stores are selectively utilized within each colony. Interestingly, healthy sections from near-shore colonies where disease was present had more lipid stores than healthy sections from off-shore colonies where disease was absent. Total biomass was greatest in healthy off-shore colonies. Both δ13C and δ15N did not differ between healthy and diseased colonies, but were more enriched in near-shore compared to off-shore locations. These preliminary results suggest that consumption of lipid stores may be a species-wide physiological strategy amongst corals for coping with stressful events and that soft corals may track levels of local land-based pollution.
Quantifying the demographic cost of human-related mortality to a raptor population
Grainger Hunt, W.; David Wiens, J.; Law, Peter R.; Fuller, Mark R.; Hunt, Teresa L.; Driscoll, Daniel E.; Jackman, Ronald E.
2017-01-01
Raptors are exposed to a wide variety of human-related mortality agents, and yet population-level effects are rarely quantified. Doing so requires modeling vital rates in the context of species life-history, behavior, and population dynamics theory. In this paper, we explore the details of such an analysis by focusing on the demography of a resident, tree-nesting population of golden eagles (Aquila chrysaetos) in the vicinity of an extensive (142 km2) windfarm in California. During 1994–2000, we tracked the fates of >250 radio-marked individuals of four life-stages and conducted five annual surveys of territory occupancy and reproduction. Collisions with wind turbines accounted for 41% of 88 uncensored fatalities, most of which were subadults and nonbreeding adults (floaters). A consistent overall male preponderance in the population meant that females were the limiting sex in this territorial, monogamous species. Estimates of potential population growth rate and associated variance indicated a stable breeding population, but one for which any further decrease in vital rates would require immigrant floaters to fill territory vacancies. Occupancy surveys 5 and 13 years later (2005 and 2013) showed that the nesting population remained intact, and no upward trend was apparent in the proportion of subadult eagles as pair members, a condition that would have suggested a deficit of adult replacements. However, the number of golden eagle pairs required to support windfarm mortality was large. We estimated that the entire annual reproductive output of 216–255 breeding pairs would have been necessary to support published estimates of 55–65 turbine blade-strike fatalities per year. Although the vital rates forming the basis for these calculations may have changed since the data were collected, our approach should be useful for gaining a clearer understanding of how anthropogenic mortality affects the health of raptor populations, particularly those species with delayed maturity and naturally low reproductive rates. PMID:28234926
Quantifying the demographic cost of human-related mortality to a raptor population
Hunt, W. Grainger; Wiens, David; Law, Peter R.; Fuller, Mark R.; Hunt, Teresa L.; Driscoll, Daniel E.; Jackman, Ronald E.
2017-01-01
Raptors are exposed to a wide variety of human-related mortality agents, and yet population-level effects are rarely quantified. Doing so requires modeling vital rates in the context of species life-history, behavior, and population dynamics theory. In this paper, we explore the details of such an analysis by focusing on the demography of a resident, tree-nesting population of golden eagles (Aquila chrysaetos) in the vicinity of an extensive (142 km2) windfarm in California. During 1994–2000, we tracked the fates of >250 radio-marked individuals of four life-stages and conducted five annual surveys of territory occupancy and reproduction. Collisions with wind turbines accounted for 41% of 88 uncensored fatalities, most of which were subadults and nonbreeding adults (floaters). A consistent overall male preponderance in the population meant that females were the limiting sex in this territorial, monogamous species. Estimates of potential population growth rate and associated variance indicated a stable breeding population, but one for which any further decrease in vital rates would require immigrant floaters to fill territory vacancies. Occupancy surveys 5 and 13 years later (2005 and 2013) showed that the nesting population remained intact, and no upward trend was apparent in the proportion of subadult eagles as pair members, a condition that would have suggested a deficit of adult replacements. However, the number of golden eagle pairs required to support windfarm mortality was large. We estimated that the entire annual reproductive output of 216–255 breeding pairs would have been necessary to support published estimates of 55–65 turbine blade-strike fatalities per year. Although the vital rates forming the basis for these calculations may have changed since the data were collected, our approach should be useful for gaining a clearer understanding of how anthropogenic mortality affects the health of raptor populations, particularly those species with delayed maturity and naturally low reproductive rates.
Quantifying the demographic cost of human-related mortality to a raptor population.
Grainger Hunt, W; David Wiens, J; Law, Peter R; Fuller, Mark R; Hunt, Teresa L; Driscoll, Daniel E; Jackman, Ronald E
2017-01-01
Raptors are exposed to a wide variety of human-related mortality agents, and yet population-level effects are rarely quantified. Doing so requires modeling vital rates in the context of species life-history, behavior, and population dynamics theory. In this paper, we explore the details of such an analysis by focusing on the demography of a resident, tree-nesting population of golden eagles (Aquila chrysaetos) in the vicinity of an extensive (142 km2) windfarm in California. During 1994-2000, we tracked the fates of >250 radio-marked individuals of four life-stages and conducted five annual surveys of territory occupancy and reproduction. Collisions with wind turbines accounted for 41% of 88 uncensored fatalities, most of which were subadults and nonbreeding adults (floaters). A consistent overall male preponderance in the population meant that females were the limiting sex in this territorial, monogamous species. Estimates of potential population growth rate and associated variance indicated a stable breeding population, but one for which any further decrease in vital rates would require immigrant floaters to fill territory vacancies. Occupancy surveys 5 and 13 years later (2005 and 2013) showed that the nesting population remained intact, and no upward trend was apparent in the proportion of subadult eagles as pair members, a condition that would have suggested a deficit of adult replacements. However, the number of golden eagle pairs required to support windfarm mortality was large. We estimated that the entire annual reproductive output of 216-255 breeding pairs would have been necessary to support published estimates of 55-65 turbine blade-strike fatalities per year. Although the vital rates forming the basis for these calculations may have changed since the data were collected, our approach should be useful for gaining a clearer understanding of how anthropogenic mortality affects the health of raptor populations, particularly those species with delayed maturity and naturally low reproductive rates.
NASA Astrophysics Data System (ADS)
Kao, Honn; Jian, Pei-Ru; Ma, Kuo-Fong; Huang, Bor-Shouh; Liu, Chun-Chi
Reliable determination of source parameters for offshore earthquakes east of Taiwan with mb<5.5 was a difficult task because of the poor azimuthal coverage by local network and the lack of signals at teleseismic distances. We take advantage of the recently established “Broadband Array in Taiwan for Seismology” (BATS) to invert seismic moment tensors for 7 such events occurred in 1996. To cope with different patterns of background noise and unknown structural details, we utilize variable frequency bands in the inversion and adapt a two-step procedure to select best velocity models for individual epicenter-station paths. Our results are consistent with the overall patterns of regional collision and indicate that the resulting compressive stress has caused significant intraplate deformation within the Philippine Sea plate. Simulation of the region's geological evolution and orogenic processes should take this factor into account and allow the Philippine Sea plate to deform internally.
Applications of Seasat to the offshore oil, gas and mining industries
NASA Technical Reports Server (NTRS)
Mourad, A. G.; Robinson, A. C.
1977-01-01
The NASA satellite Seasat-A (to be launched in 1978) has applications to the offshore oil, gas, and mining industries including: (1) improvements in weather and wave forecasting, (2) studies of past wind and wave statistics for planning design requirements, and (3) monitoring ice formation, breakup, and movement in arctic regions. The primary geographic areas which will be monitored by Seasat-A include: the Beaufort Sea, the Labrador Sea, the Gulf of Mexico, the U.S. east coast, West Africa, Equatorial East Pacific, the Gulf of Alaska, and the North Sea. Seasat-A instrumentation used in ocean monitoring consists of a radar altimeter, a radar scatterometer, a synthetic aperture radar, a microwave radiometer, and a visible and infrared radiometer. The future outlook of the Seasat program is planned in three phases: measurement feasibility demonstration (1978-1980), data accessibility/utility demonstration (1980-1983), and operational system demonstration (1983-1985).
Offshore Wind Measurements Using Doppler Aerosol Wind Lidar (DAWN) at NASA Langley Research Center
NASA Technical Reports Server (NTRS)
Beyon, Jeffrey Y.; Koch, Grady J.; Kavaya, Michael J.
2014-01-01
The latest flight demonstration of Doppler Aerosol Wind Lidar (DAWN) at NASA Langley Research Center (LaRC) is presented. The goal of the campaign was to demonstrate the improvement of DAWN system since the previous flight campaign in 2012 and the capabilities of DAWN and the latest airborne wind profiling algorithm APOLO (Airborne Wind Profiling Algorithm for Doppler Wind Lidar) developed at LaRC. The comparisons of APOLO and another algorithm are discussed utilizing two and five line-of-sights (LOSs), respectively. Wind parameters from DAWN were compared with ground-based radar measurements for validation purposes. The campaign period was June - July in 2013 and the flight altitude was 8 km in inland toward Charlotte, NC, and offshores in Virginia Beach, VA and Ocean City, MD. The DAWN system was integrated into a UC12B with two operators onboard during the campaign.
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.
Offshore wind measurements using Doppler aerosol wind lidar (DAWN) at NASA Langley Research Center
NASA Astrophysics Data System (ADS)
Beyon, Jeffrey Y.; Koch, Grady J.; Kavaya, Michael J.
2014-06-01
The latest flight demonstration of Doppler Aerosol Wind Lidar (DAWN) at NASA Langley Research Center (LaRC) is presented. The goal of the campaign was to demonstrate the improvement of DAWN system since the previous flight campaign in 2012 and the capabilities of DAWN and the latest airborne wind profiling algorithm APOLO (Airborne Wind Profiling Algorithm for Doppler Wind Lidar) developed at LaRC. The comparisons of APOLO and another algorithm are discussed utilizing two and five line-of-sights (LOSs), respectively. Wind parameters from DAWN were compared with ground-based radar measurements for validation purposes. The campaign period was June - July in 2013 and the flight altitude was 8 km in inland toward Charlotte, NC, and offshores in Virginia Beach, VA and Ocean City, MD. The DAWN system was integrated into a UC12B with two operators onboard during the campaign.
SEASAT - A candidate ocean industry economic verification experiments
NASA Technical Reports Server (NTRS)
Miller, B. P.
1976-01-01
The economic benefits of an operational SEASAT system are discussed in the areas of marine transportation, offshore oil and natural gas exploration and development, ocean fishing, and Arctic operations. A description of the candidate economic verification experiments which could be performed with SEASAT-A is given. With the exception of the area of Arctic operations, experiments have been identified in each of the areas of ocean based activity that are expected to show an economic impact from the use of operational SEASAT data. Experiments have been identified in the areas of the offshore oil and natural gas industry, as well as ice monitoring and coastal zone applications. Emphasis has been placed on the identification and the development of those experiments which meet criteria for: (1) end user participation; (2) SEASAT-A data utility; (3) measurability of operational parameters to demonstrate economic effect; and (4) non-proprietary nature of results.
Garel, Erwan; Rey, Cibran Camba; Ferreira, Oscar; van Koningsveld, Mark
2014-08-01
This paper assesses the applicability of the Frame of Reference (FoR) approach for the environmental monitoring of large-scale offshore Marine Renewable Energy (MRE) projects. The focus is on projects harvesting energy from winds, waves and currents. Environmental concerns induced by MRE projects are reported based on a classification scheme identifying stressors, receptors, effects and impacts. Although the potential effects of stressors on most receptors are identified, there are large knowledge gaps regarding the corresponding (positive and negative) impacts. In that context, the development of offshore MRE requires the implementation of fit-for-purpose monitoring activities aimed at environmental protection and knowledge development. Taking European legislation as an example, it is suggested to adopt standardized monitoring protocols for the enhanced usage and utility of environmental indicators. Towards this objective, the use of the FoR approach is advocated since it provides guidance for the definition and use of coherent set of environmental state indicators. After a description of this framework, various examples of applications are provided considering a virtual MRE project located in European waters. Finally, some conclusions and recommendations are provided for the successful implementation of the FoR approach and for future studies. Copyright © 2014 Elsevier Ltd. All rights reserved.
Comparative management of offshore posidonia residues: composting vs. energy recovery.
Cocozza, Claudio; Parente, Angelo; Zaccone, Claudio; Mininni, Carlo; Santamaria, Pietro; Miano, Teodoro
2011-01-01
Residues of the marine plant posidonia (Posidonia oceanica, PO) beached in tourist zones represent a great environmental, economical, social and hygienic problem in the Mediterranean Basin, in general, and in the Apulia Region in particular, because of the great disturb to the bathers and population, and the high costs that the administrations have to bear for their removal and disposal. In the present paper, Authors determined the heating values of leaves and fibres of PO, the main offshore residues found on beaches, and, meantime, composted those residues with mowing and olive pruning wood. The final composts were characterized for pH, electrical conductivity, elemental composition, dynamic respiration index, phytotoxicity, fluorescence and infrared spectroscopic fingerprints. The aim of the paper was to investigate the composting and energy recovery of PO leaves and fibres in order to suggest alternative solutions to the landfill when offshore residues have to be removed from recreational beaches. The fibrous portion of PO residues showed heating values close to those of other biofuels, thus suggesting a possible utilization as source of energy. At the same time, compost obtained from both PO wastes showed high quality features on condition that the electrical conductivity and Na content are lowered by a correct management of wetting during the composting. Copyright © 2010 Elsevier Ltd. All rights reserved.
Vaslet, A; Phillips, D L; France, C A M; Feller, I C; Baldwin, C C
2015-08-01
Stable isotope (δ(13)C and δ(15)N) and gut content analyses were used to investigate size-related feeding habits of four reef fishes (the beaugregory Stegastes leucostictus, the french grunt Haemulon flavolineatum, the schoolmaster snapper Lutjanus apodus and the yellowtail snapper Ocyurus chrysurus) inhabiting an offshore (non-estuarine) mangrove islet off Belize, Central America. Comparisons of isotopic niche space and Schoener diet similarity index suggested a low to moderate degree of niche overlap between fish size groups. The δ(13)C gradient between mangrove and seagrass prey as well as results of Bayesian mixing models revealed that sampled fishes relied mostly on seagrass prey items. Only small and large juveniles of the carnivorous species L. apodus derived a part of their diet from mangroves by targeting mangrove-associated Grapsidae crabs and fish prey, respectively. Isotopic niche shifts were particularly obvious for carnivorous fishes that ingested larger prey items (Xanthidae crabs and fishes) during their ontogeny. The utilization of mangrove food resources is less than expected and depends on the ecology and life history of the fish species considered. This research highlights that mangrove-derived carbon contributed relatively little to the diets of four fish taxa from an offshore mangrove islet. © 2015 The Fisheries Society of the British Isles.
The non-Federal oceanographic community: An overview
NASA Technical Reports Server (NTRS)
Swetnick, M. A.
1981-01-01
A portion of the broad domestic non-Federal oceanographic community that represents a potential market for satellite remote sensor derived oceanographic data and/or marine environmental information is presented. The overview consists of listings of individuals and/or organizations who have used, or are likely to use such data or information for scientific research, offshore engineering purposes, marine resources exploration and utilization, marine related operational applications, or coastal zone management.
NASA Astrophysics Data System (ADS)
Suyehiro, K.; Sugioka, H.; Watanabe, T.
2008-12-01
The hydroacoustic monitoring by the International Monitoring System for CTBT (Comprehensive Nuclear- Test-Ban Treaty) verification system utilizes hydrophone stations (6) and seismic stations (5 and called T- phase stations) for worldwide detection. Some conspicuous signals of natural origin include those from earthquakes, volcanic eruptions, or whale calls. Among artificial sources are non-nuclear explosions and airgun shots. It is important for the IMS system to detect and locate hydroacoustic events with sufficient accuracy and correctly characterize the signals and identify the source. As there are a number of seafloor cable networks operated offshore Japanese islands basically facing the Pacific Ocean for monitoring regional seismicity, the data from these stations (pressure and seismic sensors) may be utilized to increase the capability of IMS. We use these data to compare some selected event parameters with those by IMS. In particular, there have been several unconventional acoustic signals in the western Pacific,which were also captured by IMS hydrophones across the Pacific in the time period of 2007-present. These anomalous examples and also dynamite shots used for seismic crustal structure studies and other natural sources will be presented in order to help improve the IMS verification capabilities for detection, location and characterization of anomalous signals.
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.
Multibrid technology - a significant step to multi-megawatt wind turbines
NASA Astrophysics Data System (ADS)
Siegfriedsen, S.; Böhmeke, G.
1998-12-01
To fulfil the significant economic potential for offshore wind energy, it is essential that the largest possible installations must be allowed to come into use. Infrastructure investments for foundations and energy transport are only slightly dependent on the size of the installation, so these costs become proportionally smaller as the installed power output increases. This article puts forward a technologically novel type of development for a drive train design, specifically introduced for a 5 MW installation. The concept is especially suited for offshore application and the components are designed for this purpose. The usual way of modifying onshore plants partially and using them in the sea has been left with the present proposals. The design comprises a single-stage planetary gear, into which the rotor bearing is integrated, and a generator rotating at slow speed. Both components are assembled into a compact unit and are characterized by low wear and complete enclosure. New solutions are also proposed for the cooling of the machinery and the yaw system, offering particular advantages in offshore application. The advantages of the new technology are brought out from system comparisons with both a conventional plant configuration with a multi-stage gear and a high-speed generator, and also a combination with a direct drive generator in the 1·5 MW class. A particular design solution, worked through for a 5 MW installation, is presented and described in detail. At 31 kg kW-1, the specific tower head mass achieves a value that has not previously been realized in this power output class. As a result of the advantages that are brought together by this technology, both investment and operating costs are lowered, particularly for offshore applications. Implementation of this technology can thus provide a further stimulus for progress in wind energy utilization. Copyright
Western Continental Margin of India - Re-look using potential field data
NASA Astrophysics Data System (ADS)
Rajaram, M.; S P, A.
2008-05-01
The Western Continental Margin of India (WCMI) evolved as a result of rifting between India and Madagascar that took place during mid Cretaceous (~88Ma).The WCMI is equally important in terms of natural resources as well as research point of view. The major tectonic elements in the western offshore includes the Laxmi and Chagos- Laccadive ridge dividing the WCMI and the adjoining Arabian sea into two basins, Pratap Ridge, Alleppey platform etc. Different theories have been proposed for the evolution of each of these tectonic elements. In the current paper we look at geopotential data on the west coast of India and the western off-shore. The data sets utilized include Satellite derived High Resolution Free Air Gravity data over the off-shore, Bouguer data onland, Champ Satellite Magnetic data, published Marine Magnetic data collected by ONGC, NIO, ground magnetic data over west cost collected by IIG and available aeromagnetic data. From the free air gravity anomaly the structural details of the western offshore can be delineated. The Euler depths of FAG depict deep solutions associated with Pratap Ridge, Comorin Ridge, the west coast fault and the Laxmi Ridge. These may be associated with continental margin and continental fragments. From the aeromagnetic and marine magnetic data it is evident that the West Coast Fault is dissected at several places. The shallow circular feature associated with Bombay High is evident both on the FAG and the analytic signal derived from satellite Magnetic data. The crustal magnetic thickness from MF5 lithospheric model of the Champ appears to suggest that the continental crust extends up to the Chagos- Laccadive ridge. Based on the analysis of these geopotential data sets the various theories for the evolution of the WCMI will be evaluated and these results will be presented.
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
NASA Astrophysics Data System (ADS)
Sugioka, H.; Suyehiro, K.; Shinohara, M.
2009-12-01
The hydroacoustic monitoring by the International Monitoring System (IMS) for Comprehensive Nuclear-Test-Treaty (CTBT) verification system utilize hydrophone stations and seismic stations called T-phase stations for worldwide detection. Some signals of natural origin include those from earthquakes, submarine volcanic eruptions, or whale calls. Among artificial sources there are non-nuclear explosions and air-gun shots. It is important for IMS system to detect and locate hydroacoustic events with sufficient accuracy and correctly characterize the signals and identify the source. As there are a number of seafloor cable networks operated offshore Japanese islands basically facing the Pacific Ocean for monitoring regional seismicity, the data from these stations (pressures, hydrophones and seismic sensors) may be utilized to verify and increase the capability of the IMS. We use these data to compare some selected event parameters with those by Pacific in the time period of 2004-present. These anomalous examples and also dynamite shots used for seismic crustal structure studies and other natural sources will be presented in order to help improve the IMS verification capabilities for detection, location and characterization of anomalous signals. The seafloor cable networks composed of three hydrophones and six seismometers and a temporal dense seismic array detected and located hydroacoustic events offshore Japanese island on 12th of March in 2008, which had been reported by the IMS. We detected not only the reverberated hydroacoustic waves between the sea surface and the sea bottom but also the seismic waves going through the crust associated with the events. The determined source of the seismic waves is almost coincident with the one of hydroacoustic waves, suggesting that the seismic waves are converted very close to the origin of the hydroacoustic source. We also detected very similar signals on 16th of March in 2009 to the ones associated with the event of 12th of March in 2008.
Energy economy of salmon aquaculture in the Baltic sea
NASA Astrophysics Data System (ADS)
Folke, Carl
1988-07-01
Resource utilization in Atlantic salmon aquaculture in the Baltic Sea was investigated by means of an energy analysis. A comparison was made between cage farming and sea ranching enterprises each with yearly yields of 40 t of Atlantic salmon. A variety of sea ranching options were evaluated, including (a) conventional ranching, (b) ranching employing a delayed release to the sea of young smolts, (c) harvesting salmon both by offshore fishing fleets and as they return to coastal areas, and (d) when offshore fishing is banned, harvesting salmon only as they return to coastal areas where released. Inputs both from natural ecosystems (i.e., fish consumed by ranched salmon while in the sea and raw materials used for producing dry food pellets) and from the economy (i.e., fossil fuels and energy embodied in economic goods and services) were quantified in tonnes for food energy and as direct plus indirect energy cost (embodied energy). The fixed solar energy (estimated as primary production) and the direct and indirect auxiliary energy requirements per unit of fish output were expressed in similar units. Similar quantities of living resources in tonnes per unit of salmon biomass output are required whether the salmon are feeding in the sea or are caged farmed. Cage farming is about 10 times more dependent on auxiliary energies than sea ranching. Sea ranching applying delayed release of smolts is 35 45% more efficient in the use of auxiliary energies than conventional sea ranching and cage farming. Restriction of offshore fishing would make sea ranching 3 to 6.5 times more efficient than cage farming. The fixed solar energy input to Atlantic salmon aquaculture is 4 to 63 times larger than the inputs of auxiliary energy. Thus, cage farming and sea ranching are both heavily dependent on the productivity of natural ecosystems. It is concluded that sustainable development of the aquaculture industry must be founded on ecologically integrated technologies which utilize the free production in marine ecosystems without exhausting or damaging the marine environment.
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.
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
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
Remote sensing and ichthyoplankton ecology of coastal upwelling fronts off central California
NASA Astrophysics Data System (ADS)
Bjorkstedt, Eric Peter
1998-11-01
Recruitment to many marine populations is determined by processes affecting survival and transport of planktonic larvae. Coastal upwelling poses a trade-off between larval access to high productivity supported by upwelled nutrients and increased risk of offshore transport and failure to return to coastal habitats. I used plankton surveys, remote sensing, and a simple model to investigate the role of coastal upwelling fronts and behavior in pelagic ecology and recruitment success, focussing on rockfish (Sebastes spp.) off central California. Distributions of early stage larvae suggest that coastal upwelling fronts reduce offshore transport of rockfish larvae, in contrast to distributions of taxa with life histories that minimize larval exposure to strong upwelling. Coincident distributions of larval fish, prey (i.e., small copepods and invertebrate eggs) and phytoplankton patches indicate that coastal upwelling fronts provide enhanced foraging conditions for larvae. Thus, coastal upwelling fronts may allow coastal taxa to successfully exploit high productivity during the upwelling season while reducing the risk of offshore transport. I developed a novel method for utilizing a single HF radar to resolve currents and detect fronts that matched sea surface temperature fronts generated by coastal upwelling. Fronts and currents detected with NF radar affect distributions and transport of planktonic larval fish and intertidal barnacle larvae, demonstrating that remote sensing with HF radar can support field and modelling research on ecological dynamics in coastal marine systems. I used an empirically-based model that incorporated the advection-foraging trade-off and long-distance swimming as an active settlement behavior to investigate optimal settlement strategies as a function of pelagic transport and growth. For parameters loosely describing pelagic stages of rockfish, the model predicts optimal settling strategies (ages and sizes) for pelagic juveniles that roughly match observed values for settling rockfish and suggests optimal spawning locations for adults. The model suggests that offshore transport is more important than growth in determining recruitment success. Thus, coastal upwelling fronts may favor recruitment more by reducing offshore transport than by providing rich food resources. Results of this model represent an initial step towards determining the role of active settlement behaviors in population dynamics and life history evolution.
NASA Technical Reports Server (NTRS)
1976-01-01
Developed at Goddard, this improved inorganic paint may help protect coastal bridges subject to extreme corrosion from seawater spray. Potassium silicate formulated into a thin waterbase binder that sprays easily, adheres readily, and can be heavily loaded with zinc particles to provide uniform coverage in a single coat. Stanford Research Institute has measured an annual market in excess of $2 billion in painting highway bridges, utility pipelines, nuclear reactors, and railcar hoppers. Other suitable markets include offshore drilling facilities, railroad bridges, and ships.
2014-03-06
from scattered satellite transmissions, was first demonstrated using Global Navigation Satellite System ( GNSS ) reflections. Recently, reflectometry has...Earth’s atmosphere. The 2012 GNSS +R workshop provided an opportunity for engineers and Earth scientists to assess the state of the art, demonstrate new...bi-static radar technique utilizes signals of opportunity transmitted from existing L-band Global Navigation Satellite Systems ( GNSS ), including GPS
Wind-farm simulation over moderately complex terrain
NASA Astrophysics Data System (ADS)
Segalini, Antonio; Castellani, Francesco
2017-05-01
A comparison between three independent software to estimate the power production and the flow field in a wind farm is conducted, validating them against SCADA (Supervisory, Control And Data Acquisition) data. The three software were ORFEUS, WindSim and WAsP: ORFEUS and WAsP are linearised solvers, while WindSim is fully nonlinear. A wake model (namely a prescribed velocity deficit associated to the turbines) is used by WAsP, while ORFEUS and WindSim use the actuator-disc method to account for the turbines presence. The comparison indicates that ORFEUS and WAsP perform slightly better than WindSim in the assessment of the polar efficiency. The wakes simulated with ORFEUS appear more persistent than the ones of WindSim, which uses a two-equation closure model for the turbulence effects.
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
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
Federal Register 2010, 2011, 2012, 2013, 2014
2012-11-23
... Equipment, Training and Drills Onboard Offshore Facilities and Mobile Offshore Drilling Units (MODUs... lifesaving and fire-fighting equipment, training and drills on board offshore facilities and MODUs operating... guidance concerning lifesaving and fire-fighting equipment, training, and drills onboard manned offshore...
Atmospheric Characterization of the US Offshore Sites and Impact on Turbine Performance (Poster)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Arora, Dhiraj; Ehrmann, Robert; Zuo, Delong
Reliable, long term offshore atmospheric data is critical to development of the US offshore wind industry. There exists significant lack of meteorological, oceanographic, and geological data at potential US offshore sites. Assessment of wind resources at heights in the range of 25-200m is needed to understand and characterize offshore wind turbine performance. Data from the US Department of Energy owned WindSentinel buoy from two US offshore sites and one European site is analyzed. Low Level Jet (LLJ) phenomena and its potential impact on the performance of an offshore wind turbine is investigated.
Evaluation of Quality of Life of Those Living near a Wind Farm
Mroczek, Bożena; Banaś, Joanna; Machowska-Szewczyk, Małgorzata; Kurpas, Donata
2015-01-01
Objectives: Health-related quality of life (HRQoL) can serve as a multidimensional means of evaluating the relationship between the presence of wind turbines in residential areas and their consequence for health. The purpose of this study was to determine whether a relationship exists between the presence of wind farms at different stages of development and the HRQoL of people living in their vicinity in Poland. Method: The instruments employed in this study were the SF-36v2, a questionnaire measuring self-reported health problems, and a sociodemographic questionnaire. The study involved 1277 people who lived within 2 km from a wind turbine. Results: The highest overall QoL scores were obtained by respondents living the closest to wind turbines. The mental health, role emotional, and social functioning scores were significantly higher among respondents living near wind farms and wind-farm construction sites than among those living close to locations where wind farms were planned but where construction had not yet begun. Positive correlations were found between physical and mental component scores and reactions to the news of plans to construct a wind farm. Significant differences in physical and mental component scores were observed between residents who reacted calmly and those who responded with apprehension. Residents who expected the improvement of their financial standing as a result of the wind farm assessed their general health higher than those who did not expect to receive any economic benefits. The lowest QoL scores corresponded to frequent headaches, stomach aches, and back pain over the previous three months, as well as recurrent problems with falling asleep, anxiety, and a lack of acceptance of the project. Conclusion: The lowest overall QoL and general health scores were noted among residents of places where wind-farm developments were either at the stage of planning or under construction. In order to find ways of reducing environmental stress and its adverse effects on health, it is necessary to conduct research on residents of places where a wind farm is either planned or under construction, or has just been completed. PMID:26035657
Evaluation of Quality of Life of Those Living near a Wind Farm.
Mroczek, Bożena; Banaś, Joanna; Machowska-Szewczyk, Małgorzata; Kurpas, Donata
2015-05-29
Health-related quality of life (HRQoL) can serve as a multidimensional means of evaluating the relationship between the presence of wind turbines in residential areas and their consequence for health. The purpose of this study was to determine whether a relationship exists between the presence of wind farms at different stages of development and the HRQoL of people living in their vicinity in Poland. The instruments employed in this study were the SF-36v2, a questionnaire measuring self-reported health problems, and a sociodemographic questionnaire. The study involved 1277 people who lived within 2 km from a wind turbine. The highest overall QoL scores were obtained by respondents living the closest to wind turbines. The mental health, role emotional, and social functioning scores were significantly higher among respondents living near wind farms and wind-farm construction sites than among those living close to locations where wind farms were planned but where construction had not yet begun. Positive correlations were found between physical and mental component scores and reactions to the news of plans to construct a wind farm. Significant differences in physical and mental component scores were observed between residents who reacted calmly and those who responded with apprehension. Residents who expected the improvement of their financial standing as a result of the wind farm assessed their general health higher than those who did not expect to receive any economic benefits. The lowest QoL scores corresponded to frequent headaches, stomach aches, and back pain over the previous three months, as well as recurrent problems with falling asleep, anxiety, and a lack of acceptance of the project. The lowest overall QoL and general health scores were noted among residents of places where wind-farm developments were either at the stage of planning or under construction. In order to find ways of reducing environmental stress and its adverse effects on health, it is necessary to conduct research on residents of places where a wind farm is either planned or under construction, or has just been completed.
1983-05-16
area uti- lized the vegetative species available in the marshes, it appears that this habitat was mainly used as hunting and fishing grounds for the...of the marshlands provide excellent habitats for a wide variety of waterfowl. Most of these birds are transient or only seasonal residents inhabiting...8217 shell. Other shellfish whose habitats range from saline to freshwater (especially Unio sp.) were also utilized by the prehistoric inhabi- tants of the
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.
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.
NREL Researchers Play Integral Role in National Offshore Wind Strategy |
News | NREL Researchers Play Integral Role in National Offshore Wind Strategy NREL Researchers Play Integral Role in National Offshore Wind Strategy December 16, 2016 A photo of three offshore wind turbines in turbulent water. Offshore wind energy in the United States is just getting started, with the
NASA Astrophysics Data System (ADS)
Kudela, Raphael M.; Howard, Meredith D. A.; Hayashi, Kendra; Beck, Carly
2017-02-01
The global eutrophication of coastal ecosystems from anthropogenic nutrients is one of the most significant issues affecting changes to coastal oceans today. A three-week diversion of wastewater effluent from the normal offshore discharge pipe (7 km offshore, 56 m depth) to a shorter outfall located in 16 m water (2.2 km offshore) as part of the 2012 Orange County Sanitation District Diversion provided an opportunity to evaluate the impacts of anthropogenic nitrogen on phytoplankton community response. Nitrogen uptake kinetic parameters were used to evaluate the short-term physiological response of the phytoplankton community to the diverted wastewater and to determine if potential ammonium suppression of nitrate uptake was observed. Despite expectations, there was a muted response to the diversion in terms of biomass accumulation and ambient nutrients remained low. At ambient nitrogen concentrations, calculated uptake rates strongly favored ammonium. During the diversion based on the kinetic parameters determined during short-term experiments, the phytoplankton community was using all three N substrates at low concentrations, and had the capacity to use urea, then ammonium, and then nitrate at high concentrations. Ammonium suppression of nitrate uptake was evident throughout the experiment, with increasing suppression through time. Despite this interaction, there was evidence for simultaneous utilization of nitrate, ammonium, and urea during the experiment. The general lack of phytoplankton response as evidenced by low biomass during the diversion was therefore not obviously linked to changes in uptake rates, physiological capacity, or ammonium suppression of nitrate uptake.
East Cameron Block 270, offshore Louisiana: a Pleistocene field
DOE Office of Scientific and Technical Information (OSTI.GOV)
Holland, D.S.; Sutley, C.E.; Berlitz, R.E.
1976-01-01
Exploration of the Plio-Pleistocene in the Gulf of Mexico since 1970 has led to the discovery of significant hydrocarbon reserves. One of the better gas fields found to date has been the East Cameron Block 270 field, offshore Louisiana. Utilization of a coordinated exploitation plan with Schlumberger Offshore Services has allowed Pennzoil Co., as operator, to develop and put the Block 270 field on production in minimum time. The structure at Block 270 field is a north-south-trending, faulted nose at 6000 ft (1825 m). At the depth of the ''G'' sandstone (8700 ft or 2650 m), the structure is closed;more » it is elongated north-south and dips in all directions from the Block 270 area. Closure is the result of contemporaneous growth of the east-bounding regional fault. Structural and stratigraphic interpretations from dipmeters were used to determine the most favorable offset locations. The producing zones consist of various combinations of bar-like, channel-like, and distributary-front sandstones. The sediment source for most of the producing zones was southwest of the area, except for two zones which derived their sediments from the north through a system of channels paralleling the east-bounding fault. Computed logs were used to convert conventional logging measurements into a more readily usable form for evaluation. The computed results were used for reserve calculations, reservoir-quality determinations, and confirmation of depositional environments as determined from other sources.« less
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.
Introduction Wind farms in complex terrains: an introduction
Alfredsson, P. H.; Segalini, A.
2017-01-01
Wind energy is one of the fastest growing sources of sustainable energy production. As more wind turbines are coming into operation, the best locations are already becoming occupied by turbines, and wind-farm developers have to look for new and still available areas—locations that may not be ideal such as complex terrain landscapes. In these locations, turbulence and wind shear are higher, and in general wind conditions are harder to predict. Also, the modelling of the wakes behind the turbines is more complicated, which makes energy-yield estimates more uncertain than under ideal conditions. This theme issue includes 10 research papers devoted to various fluid-mechanics aspects of using wind energy in complex terrains and illustrates recent progress and future developments in this important field. This article is part of the themed issue ‘Wind energy in complex terrains’. PMID:28265020
DOE Office of Scientific and Technical Information (OSTI.GOV)
Myrent, Noah J.; Barrett, Natalie C.; Adams, Douglas E.
2014-07-01
Operations and maintenance costs for offshore wind plants are significantly higher than the current costs for land-based (onshore) wind plants. One way to reduce these costs would be to implement a structural health and prognostic management (SHPM) system as part of a condition based maintenance paradigm with smart load management and utilize a state-based cost model to assess the economics associated with use of the SHPM system. To facilitate the development of such a system a multi-scale modeling and simulation approach developed in prior work is used to identify how the underlying physics of the system are affected by themore » presence of damage and faults, and how these changes manifest themselves in the operational response of a full turbine. This methodology was used to investigate two case studies: (1) the effects of rotor imbalance due to pitch error (aerodynamic imbalance) and mass imbalance and (2) disbond of the shear web; both on a 5-MW offshore wind turbine in the present report. Sensitivity analyses were carried out for the detection strategies of rotor imbalance and shear web disbond developed in prior work by evaluating the robustness of key measurement parameters in the presence of varying wind speeds, horizontal shear, and turbulence. Detection strategies were refined for these fault mechanisms and probabilities of detection were calculated. For all three fault mechanisms, the probability of detection was 96% or higher for the optimized wind speed ranges of the laminar, 30% horizontal shear, and 60% horizontal shear wind profiles. The revised cost model provided insight into the estimated savings in operations and maintenance costs as they relate to the characteristics of the SHPM system. The integration of the health monitoring information and O&M cost versus damage/fault severity information provides the initial steps to identify processes to reduce operations and maintenance costs for an offshore wind farm while increasing turbine availability, revenue, and overall profit.« less
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)
Honegger, D. A.; Haller, M. C.; Diaz Mendez, G. M.; Pittman, R.; Catalan, P. A.
2012-12-01
Land-based X-band marine radar observations were collected as part of the month-long DARLA-MURI / RIVET-DRI field experiment at New River Inlet, NC in May 2012. Here we present a synopsis of preliminary results utilizing microwave radar backscatter time series collected from an antenna located 400 m inside the inlet mouth and with a footprint spanning 1000 m beyond the ebb shoals. Two crucial factors in the forcing and constraining of nearshore numerical models are accurate bathymetry and offshore variability in the wave field. Image time series of radar backscatter from surface gravity waves can be utilized to infer these parameters over a large swath and during times of poor optical visibility. Presented are radar-derived wavenumber vector maps obtained from the Plant et al. (2008) algorithm and bathymetric estimates as calculated using Holman et al. (JGR, in review). We also evaluate the effects of tidal currents on the wave directions and depth inversion accuracy. In addition, shifts in the average wave breaking patterns at tidal frequencies shed light on depth- (and possibly current-) induced breaking as a function of tide level and tidal current velocity, while shifts over longer timescales imply bedform movement during the course of the experiment. Lastly, lowpass filtered radar image time series of backscatter intensity are shown to identify the structure and propagation of tidal plume fronts and multiscale ebb jets at the offshore shoal boundary.
Proceedings of the Conference Arctic '85; Civil Engineering in the Artic offshore
DOE Office of Scientific and Technical Information (OSTI.GOV)
Bennett, F.L.; Machemehl, J.L.
1985-01-01
Topics of the 1985 Conference included: Arctic construction, Arctic foundation, Arctic structures, and ocean effects. Arctic terminals and coastal offshore bases, protecting the Arctic environment, and probabilistic methods in Arctic offshore engineering were also discussed. Ice mechanics, marine pipelines in the Arctic, and the role of universities in training civil engineers for Arctic offshore development were highlighted. Sessions on remote sensing, surveying, and mapping were included, and offshore installations in the Bering Sea were discussed. Another topic of discussion was research in Civil Engineering for development of the Arctic offshore. The overall thrust of the conference was the application ofmore » Arctic offshore engineering principles and research in the field of oil and gas exploration and exploitation activity.« less
77 FR 17491 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2012-03-26
... from the Mobile Offshore Drilling Unit Guidance Policy, Notice of Availability, request for comments... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2012-0091] National Offshore Safety... Management; Notice of Federal Advisory Committee Meetings. SUMMARY: The National Offshore Safety Advisory...
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.
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...
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...
Wind Energy Conference, Boulder, Colo., April 9-11, 1980, Technical Papers
NASA Astrophysics Data System (ADS)
1980-03-01
Papers are presented concerning the technology, and economics of wind energy conversion systems. Specific topics include the aerodynamic analysis of the Darrieus rotor, the numerical calculation of the flow near horizontal-axis wind turbine rotors, the calculation of dynamic wind turbine rotor loads, markets for wind energy systems, an oscillating-wing windmill, wind tunnel tests of wind rotors, wind turbine generator wakes, the application of a multi-speed electrical generator to wind turbines, the feasibility of wind-powered systems for dairy farms, and wind characteristics over uniform and complex terrain. Attention is also given to performance tests of the DOE/NASA MOD-1 2000-kW wind turbine generator, the assessment of utility-related test data, offshore wind energy conversion systems, and the optimization of wind energy utilization economics through load management.
Pendleton, E.A.; Baldwin, W.E.; Danforth, W.W.; DeWitt, N.T.; Forde, A.S.; Foster, D.S.; Kelso, K.W.; Pfeiffer, W.R.; Turecek, A.M.; Flocks, J.G.; Twichell, D.C.
2011-01-01
This report contains the geophysical and geospatial data that were collected along the western offshore side of the Gulf Islands of Mississippi on the research vessel Tommy Munro during two cruises in 2010. Geophysical data were collected by the U.S. Geological Survey in Woods Hole, Massachusetts, and St. Petersburg, Forida, in cooperation with the U.S. Army Corps of Engineers Mobile District. Bathymetric-sonar, sidescan-sonar, and Chirp seismic-reflection data were acquired with the following equipment, respectively: Systems Engineering and Assessment, Ltd., SwathPlus interferometric sonars; Klein 3000 and 3900 dual-frequency sidescan sonars; and an EdgeTech 512i Chirp sub-bottom profiling system. The long-term goals of this mapping effort are to produce high-quality, high-resolution geologic maps and interpretations that can be utilized to identify sand resources within the region, to better understand the Holocene evolution, and to anticipate future changes in this coastal system. Processed geospatial data files and the geophysical data provided in this report help attain these goals.
NASA Astrophysics Data System (ADS)
Balogun, Abdul-Lateef; Matori, Abdul-Nasir; Wong Toh Kiak, Kelvin
2018-04-01
Environmental resources face severe risks during offshore oil spill disasters and Geographic Information System (GIS) Environmental Sensitivity Index (ESI) maps are increasingly being used as response tools to minimize the huge impacts of these spills. However, ESI maps are generally unable to independently harmonize the diverse preferences of the multiple stakeholders' involved in the response process, causing rancour and delay in response time. This paper's Spatial Decision Support System (SDSS) utilizes the Analytic Hierarchy Process (AHP) model to perform tradeoffs in determining the most significant resources to be secured considering the limited resources and time available to perform the response operation. The AHP approach is used to aggregate the diverse preferences of the stakeholders and reach a consensus. These preferences, represented as priority weights, are incorporated in a GIS platform to generate Environmental sensitivity risk (ESR) maps. The ESR maps provide a common operational platform and consistent situational awareness for the multiple parties involved in the emergency response operation thereby minimizing discord among the response teams and saving the most valuable resources.
High-resolution seismic-reflection data from offshore northern California — Bolinas to Sea Ranch
Sliter, Ray W.; Johnson, Samuel Y.; Chin, John L.; Allwardt, Parker; Beeson, Jeffrey; Triezenberg, Peter J.
2016-12-05
The U.S. Geological Survey collected high-resolution seismic-reflection data in September 2009, on survey S-8-09-NC, offshore of northern California between Bolinas and Sea Ranch.The survey area spans about 125 km of California’s coast and extends around Point Reyes. Data were collected aboard the U.S. Geological Survey R/V Parke Snavely. Cumulatively, ~1,150 km of seismic-reflection data were acquired using a SIG 2mille minisparker. Subbottom acoustic depth of penetration spanned tens to several hundred meters and varied by location and underlying sediments and rock types.This report includes maps and a navigation file of the surveyed transects, utilizing Google Earth™ software, as well as digital data files showing images of each transect in SEG-Y and JPEG formats. The images of bedrock, sediment deposits, and tectonic structure provide geologic information that is essential to hazard assessment, regional sediment management, and coastal and marine spatial planning at Federal, State and local levels. This information is also valuable for future research on the geomorphic, sedimentary, tectonic, and climatic record of central California.
Geophysical Data Collected off the South Shore of Martha's Vineyard, Massachusetts
Denny, J.F.; Danforth, W.W.; Foster, D.S.; Sherwood, C.R.
2010-01-01
The U.S. Geological Survey Woods Hole Science Center conducted a nearshore geophysical survey offshore of the southern coast of Martha's Vineyard, in the vicinity of the Martha's Vineyard Coastal Observatory in 2007. This mapping program was part of a larger research effort supporting the Office of Naval Research Ripples Directed-Research Initiative studies at Martha's Vineyard Coastal Observatory designed to improve our understanding of coastal sediment-transport processes. The survey was conducted aboard the Megan T. Miller August 9-13, 2007. The study area covers 35 square kilometers from about 0.2 kilometers to 5 kilometers offshore of the south shore of Martha's Vineyard, and ranges in depth from ~6 to 24 meters. The geophysical mapping utilized the following suite of high-resolution instrumentation to map the surficial sediment distribution, bathymetry, and sub-surface geology: a dual-frequency 100/500 kilohertz sidescan-sonar system, 234 kilohertz interferometric sonar, and 500 hertz -12 kilohertz chirp subbottom profiler. These geophysical data will be used to provide initial conditions for wave and circulation modeling within the study area.
Estimating the Economic Potential of Offshore Wind in the United States
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, P.; Musial, W.; Smith, A.
The potential for cost reduction and market deployment for offshore wind varies considerably within the United States. This analysis estimates the future economic viability of offshore wind at more than 7,000 sites under a variety of electric sector and cost reduction scenarios. Identifying the economic potential of offshore wind at a high geospatial resolution can capture the significant variation in local offshore resource quality, costs, and revenue potential. In estimating economic potential, this article applies a method initially developed in Brown et al. (2015) to offshore wind and estimates the sensitivity of results under a variety of most likely electricmore » sector scenarios. For the purposes of this analysis, a theoretical framework is developed introducing a novel offshore resource classification system that is analogous to established resource classifications from the oil and gas sector. Analyzing economic potential within this framework can help establish a refined understanding across industries of the technology and site-specific risks and opportunities associated with future offshore wind development. The results of this analysis are intended to inform the development of the U.S. Department of Energy's offshore wind strategy.« less
Boundary Spanning in Offshored Information Systems Development Projects
ERIC Educational Resources Information Center
Krishnan, Poornima
2010-01-01
Recent growth in offshore outsourcing of information systems (IS) services is accompanied by managing the offshore projects successfully. Much of the project failures can be attributed to geographic and organizational boundaries which create differences in culture, language, work patterns, and decision making processes among the offshore project…
78 FR 63233 - National Offshore Safety Advisory Committee; Meeting
Federal Register 2010, 2011, 2012, 2013, 2014
2013-10-23
... Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling Units. (4) Safety Impact of Liftboat... Equipment in Hazardous Areas on Foreign Flag Mobile Offshore Drilling Units (MODUs); (d) Safety Impact of... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2013-0886] National Offshore Safety...
Federal Register 2010, 2011, 2012, 2013, 2014
2011-12-20
... DEPARTMENT OF THE INTERIOR Bureau of Ocean Energy Management Carpinteria Offshore Field Redevelopment Project--Developmental Drilling Into the Carpinteria Offshore Field Oil and Gas Reserves... Lands Commission (CSLC) intend to jointly review a proposal to develop offshore oil and gas resources...
77 FR 71607 - Mobile Offshore Drilling Unit (MODU) Electrical Equipment Certification Guidance
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-03
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2012-0839] Mobile Offshore Drilling... hazardous areas on foreign-flagged Mobile Offshore Drilling Units (MODUs) that have never operated, but... International Maritime Organization (IMO) Code for the Construction and Equipment of Mobile Offshore Drilling...
46 CFR 15.520 - Mobile offshore drilling units (MODUs).
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 1 2014-10-01 2014-10-01 false Mobile offshore drilling units (MODUs). 15.520 Section... MANNING REQUIREMENTS Manning Requirements; Inspected Vessels § 15.520 Mobile offshore drilling units... endorsement on an MMC as offshore installation manager (OIM), barge supervisor (BS), or ballast control...
46 CFR 11.470 - Officer endorsements as offshore installation manager.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Officer endorsements as offshore installation manager... Officer endorsements as offshore installation manager. (a) Officer endorsements as offshore installation manager (OIM) include: (1) OIM Unrestricted; (2) OIM Surface Units on Location; (3) OIM Surface Units...
Investigation using data from ERTS to develop and implement utilization of living marine resources
NASA Technical Reports Server (NTRS)
Stevenson, W. H. (Principal Investigator); Pastula, E. J., Jr.
1973-01-01
The author has identified the following significant results. A feasibility study to demonstrate the potential of satellites for providing fisheries significant information was conducted in the Mississippi Sound and adjacent offshore waters. Attempts were made to relate satellite acquired imagery to selected oceanographic parameters and then to relate these parameters to aircraft remotely sensed distribution patterns of resident surface schooling fishes. Initial results suggest that this approach is valid and that the satellite acquired imagery may have important fisheries resource assessment implications.
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...
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.
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
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.
Bi-directional vibration control of offshore wind turbines using a 3D pendulum tuned mass damper
NASA Astrophysics Data System (ADS)
Sun, C.; Jahangiri, V.
2018-05-01
Offshore wind turbines suffer from excessive bi-directional vibrations due to wind-wave misalignment and vortex induced vibrations. However, most of existing research focus on unidirectional vibration attenuation which is inadequate for real applications. The present paper proposes a three dimensional pendulum tuned mass damper (3d-PTMD) to mitigate the tower and nacelle dynamic response in the fore-aft and side-side directions. An analytical model of the wind turbine coupled with the 3d-PTMD is established wherein the interaction between the blades, the tower and the 3d-PTMD is modeled. Aerodynamic loading is computed using the Blade Element Momentum method where the Prandtls tip loss factor and the Glauert correction are considered. JONSWAP spectrum is adopted to generate wave data. Wave loading is computed using Morisons equation in collaboration with the strip theory. Via a numerical search approach, the design formula of the 3d-PTMD is obtained and examined on a National Renewable Energy Lab (NREL) monopile 5 MW baseline wind turbine model under misaligned wind, wave and seismic loading. Dual linear tuned mass dampers (TMDs) deployed in the fore-aft and side-side directions are utilized for comparison. It is found that the 3d-PTMD with a mass ratio of 2 % can improve the mitigation of the root mean square and peak response by around 10 % when compared with the dual linear TMDs in controlling the bi-directional vibration of the offshore wind turbines under misaligned wind, wave and seismic loading.
Kayen, Robert E.
2017-01-01
Gentle sediment-laden slopes are typical of the onshore coastal zone and offshore continental shelf and slope. Coastal sediment are commonly young weakly consolidated materials that are well stratified, have low strength, and can mobilize shear displacements at low levels of stress. Seismically-driven plastic displacements of these sediment pose a hazard to coastal cities, buried onshore utilities, and offshore infrastructure like harbor protection and outfalls. One-dimensional rigid downslope-directed Newmark sliding block analyses have been used to predict earthquake deformations generally on steeper slopes that are modeled as frictional materials. This study probes the effect of multidirectional earthquake motions on inertial displacements of gently sloping ground of the coastal and offshore condition where soft-compliant soil is expected. Toward that objective, this investigation seeks to understand the effect on Newmark-type displacements of [1] multidirectional earthquake shaking and [2] soil compliance. In order to model multidirectional effects, the earthquake motions are rotated into the local slope strike- and dip-components. On gently sloping ground, including the strike component of motion always results in a larger and more accurate shear stress vector. Strike motions are found to contribute to downslope deformations on any declivity. Compliant response of the soil mass also influences the plastic displacements. The magnitude of seismic displacements can be estimated with a simplified model using only the estimated soil yield-acceleration (ky) and the peak ground velocity (Vmax) of the earthquake motions. Compliance effects can be effectively mapped using the concept of Plastic Displacement Response Spectra (PDRS).
Towards uncovering the structure of power fluctuations of wind farms
NASA Astrophysics Data System (ADS)
Liu, Huiwen; Jin, Yaqing; Tobin, Nicolas; Chamorro, Leonardo P.
2017-12-01
The structure of the turbulence-driven power fluctuations in a wind farm is fundamentally described from basic concepts. A derived tuning-free model, supported with experiments, reveals the underlying spectral content of the power fluctuations of a wind farm. It contains two power-law trends and oscillations in the relatively low- and high-frequency ranges. The former is mostly due to the turbulent interaction between the flow and the turbine properties, whereas the latter is due to the advection between turbine pairs. The spectral wind-farm scale power fluctuations ΦP exhibit a power-law decay proportional to f-5 /3 -2 in the region corresponding to the turbulence inertial subrange and at relatively large scales, ΦP˜f-2 . Due to the advection and turbulent diffusion of large-scale structures, a spectral oscillation exists with the product of a sinusoidal behavior and an exponential decay in the frequency domain.
Towards uncovering the structure of power fluctuations of wind farms.
Liu, Huiwen; Jin, Yaqing; Tobin, Nicolas; Chamorro, Leonardo P
2017-12-01
The structure of the turbulence-driven power fluctuations in a wind farm is fundamentally described from basic concepts. A derived tuning-free model, supported with experiments, reveals the underlying spectral content of the power fluctuations of a wind farm. It contains two power-law trends and oscillations in the relatively low- and high-frequency ranges. The former is mostly due to the turbulent interaction between the flow and the turbine properties, whereas the latter is due to the advection between turbine pairs. The spectral wind-farm scale power fluctuations Φ_{P} exhibit a power-law decay proportional to f^{-5/3-2} in the region corresponding to the turbulence inertial subrange and at relatively large scales, Φ_{P}∼f^{-2}. Due to the advection and turbulent diffusion of large-scale structures, a spectral oscillation exists with the product of a sinusoidal behavior and an exponential decay in the frequency domain.
Introduction Wind farms in complex terrains: an introduction.
Alfredsson, P H; Segalini, A
2017-04-13
Wind energy is one of the fastest growing sources of sustainable energy production. As more wind turbines are coming into operation, the best locations are already becoming occupied by turbines, and wind-farm developers have to look for new and still available areas-locations that may not be ideal such as complex terrain landscapes. In these locations, turbulence and wind shear are higher, and in general wind conditions are harder to predict. Also, the modelling of the wakes behind the turbines is more complicated, which makes energy-yield estimates more uncertain than under ideal conditions. This theme issue includes 10 research papers devoted to various fluid-mechanics aspects of using wind energy in complex terrains and illustrates recent progress and future developments in this important field.This article is part of the themed issue 'Wind energy in complex terrains'. © 2017 The Author(s).
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
46 CFR 2.10-130 - Fees for examination of foreign mobile offshore drilling units.
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 1 2014-10-01 2014-10-01 false Fees for examination of foreign mobile offshore drilling... drilling units. Each foreign mobile offshore drilling unit must pay: (a) For examination for the issuance... Equipment of Mobile Offshore Drilling Units, a fee of $1,830. (b) For examination for the issuance of a...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-02-03
... incentivize offshore wind energy development. While a state may promote such development through activities such as the creation of financial incentives, it is important to note that an offshore wind project... evaluate and determine areas of the OCS that may be suitable for offshore wind energy development. This...
Federal Register 2010, 2011, 2012, 2013, 2014
2013-01-04
... Offshore Wind Collaborative,'' a public-private entity consisting of NYPA, the Long Island Power Authority... Island-New York City Offshore Wind Project'', is designed to generate at least 350 megawatts (MW) of electricity from offshore wind resources, with the ability to expand generation capacity to as much as 700 MW...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 33 Navigation and Navigable Waters 3 2013-07-01 2013-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 33 Navigation and Navigable Waters 3 2012-07-01 2012-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 33 Navigation and Navigable Waters 3 2014-07-01 2014-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2010 CFR
2010-07-01
... 33 Navigation and Navigable Waters 3 2010-07-01 2010-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
33 CFR 334.905 - Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 33 Navigation and Navigable Waters 3 2011-07-01 2011-07-01 false Pacific Ocean, offshore of Camp... REGULATIONS § 334.905 Pacific Ocean, offshore of Camp Pendleton, California; Fallbrook restricted area. (a) The area. The waters of the Gulf of Santa Catalina, offshore of Camp Pendleton in the Pacific Ocean...
76 FR 24813 - Safety Zone; Fourth Annual Offshore Challenge, Sunny Isles Beach, FL
Federal Register 2010, 2011, 2012, 2013, 2014
2011-05-03
... Annual Offshore Challenge will consist of a series of high-speed boat races. The boat races are scheduled... Events, LLC is hosting the Fourth Annual Offshore Challenge, a series of high-speed boat races. The Fourth Annual Offshore Challenge will commence on June 17, 2011 and conclude on June 19, 2011. The boat...
Offshore Wind Jobs and Economic Development Impacts in the United States: Four Regional Scenarios
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, S.; Keyser, D.; Flores-Espino, F.
This report uses the offshore wind Jobs and Economic Development Impacts (JEDI) model and provides four case studies of potential offshore deployment scenarios in different regions of the United States: the Southeast, the Great Lakes, the Gulf Coast, and the Mid-Atlantic. Researchers worked with developers and industry representatives in each region to create potential offshore wind deployment and supply chain growth scenarios, specific to their locations. These scenarios were used as inputs into the offshore JEDI model to estimate jobs and other gross economic impacts in each region.
Construction of VLCC marine oil storage cost index system
NASA Astrophysics Data System (ADS)
Li, Yuan; Li, Yule; Lu, Jinshu; Wu, Wenfeng; Zhu, Faxin; Chen, Tian; Qin, Beichen
2018-04-01
VLCC as the research object, the basic knowledge of VLCC is summarized. According to the phenomenon that VLCC is applied to offshore oil storage gradually, this paper applies the theoretical analysis method to analyze the excess capacity from VLCC, the drop of oil price, the aging VLCC is more suitable for offshore storage The paper analyzes the reason of VLCC offshore oil storage from three aspects, analyzes the cost of VLCC offshore storage from the aspects of manpower cost and shipping cost, and constructs the cost index system of VLCC offshore oil storage.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walt
2015-11-12
Specifically, the work under this CRADA includes, but is not limited to, the development of test procedures for an offshore test site in Delaware waters; testing of installed offshore wind turbines; performance monitoring of those turbines; and a program of research and development on offshore wind turbine blades, components, coatings, foundations, installation and construction of bottom-fixed structures, environmental impacts, policies, and more generally on means to enhance the reliability, facilitate permitting, and reduce costs for offshore wind turbines. This work will be conducted both at NREL's National Wind Technology Center and participant facilities, as well as the established offshore windmore » test sites.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Pandey, D. K., E-mail: pandey@ncaor.org; Pandey, A.; Rajan, S.
2011-03-15
The Deccan basalts in central western India are believed to occupy large onshore-offshore area. Using geophysical and geological observations, onshore sub-surface structural information has been widely reported. On the contrary, information about offshore structural variations has been inadequate due to scarcity of marine geophysical data and lack of onshore-offshore lithological correlations. Till date, merely a few geophysical studies are reported that gauge about the offshore extent of Deccan Traps and the Mesozoic sediments (pre-Deccan). To fill this gap in knowledge, in this article, we present new geophysical evidences to demonstrate offshore continuation of the Deccan volcanics and the Mesozoic sediments.more » The offshore multi-channel seismic and onshore-offshore lithological correlations presented here confirm that the Mesozoic sedimentary column in this region is overlain by 0.2-1.2-km-thick basaltic cover. Two separate phases of Mesozoic sedimentation, having very distinctive physical and lithological characteristics, are observed between overlying basaltic rocks and underlying Precambrian basement. Using onshore-offshore seismic and borehole data this study provides new insight into the extent of the Deccan basalts and the sub-basalt structures. This study brings out a much clearer picture than that was hitherto available about the offshore continuation of the Deccan Traps and the Mesozoic sediments of Kachchh. Further, its implications in identifying long-term storage of anthropogenic CO{sub 2} within sub-basalt targets are discussed. The carbon sequestration potential has been explored through the geological assessment in terms of the thickness of the strata as well as lithology.« less
DOE Office of Scientific and Technical Information (OSTI.GOV)
Ramli, N.
1986-01-01
The J sandstone is an important hydrocarbon-bearing reservoir in the southeastern part of the Malay basin. The lower and upper members of the J sandstone are composed of shoreface and offshore sediments. The shoreface sequence contains depositional structures characteristic of a barred wave- and storm-dominated shoreface. Each shoreface sequence is laterally associated with a series of stacked offshore bars. Offshore bars can be subdivided into proximal and distal types. Two types of proximal offshore bars have been identified: (1) proximal bars formed largely above fair-weather wave base (inner proximal bars), and (2) proximal bars formed below fair-weather wave base (outermore » proximal bars). The inner proximal bars are closely associated with the shoreface sequence and are similar to the middle and lower shoreface. The presence of poorly sorted, polymodal, very fine to very coarse-grained sandstone beneath well-sorted crestal sandstones of inner proximal bars suggests that these offshore bars may have been deposited rapidly by storms. The crests of the inner proximal offshore bars were subsequently reworked by fair-weather processes, and the crests of the outer proximal and distal offshore bars were reworked by waning storm currents and oscillatory waves. Thick marine shales overlying offshore bars contain isolated sheet sandstones. Each sheet sandstone exhibits features that may be characteristic of distal storm shelf deposits. 15 figures, 2 tables.« less
2016 Offshore Wind Market Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walter; Beiter, Philipp; Schwabe, Paul
The 2016 Offshore Wind Technologies Market Report is intended to provide stakeholders with quantitative information about the offshore wind market, technology, and cost trends in the United States and worldwide.
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL... plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a...
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL... plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a...
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2010 CFR
2010-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources MINERALS MANAGEMENT SERVICE, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL SHELF Oil and... a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a) Fitness...
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER CONTINENTAL... plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you must provide: (a...
ERIC Educational Resources Information Center
Zambon, Franco
A major applied research project evaluated the effectiveness of a novel course, Offshore Survival Systems Training. The major course outcome that was evaluated was the increase in frequency with which offshore personnel correctly launched the covered powered survival craft on offshore drilling rigs. The evaluation methodology included the 628…
Offshore Wind Jobs and Economic Development Impact: Four Regional Scenarios (Presentation)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Tegen, S.
NREL's Jobs and Economic Development Impact (JEDI) Model for Offshore Wind, is a computer tool for studying the economic impacts of fixed-bottom offshore wind projects in the United States. This presentation provides the results of an analysis of four offshore wind development scenarios in the Southeast Atlantic, Great Lakes, Mid-Atlantic, and Gulf of Mexico regions.
75 FR 418 - Certificate of Alternative Compliance for the Offshore Supply Vessel KELLY ANN CANDIES
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-05
... Compliance for the Offshore Supply Vessel KELLY ANN CANDIES AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel KELLY ANN CANDIES as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate... Purpose The offshore supply vessel KELLY ANN CANDIES will be used for offshore supply operations. Full...
75 FR 4547 - High Island Offshore System, L.L.C.; Notice of Application
Federal Register 2010, 2011, 2012, 2013, 2014
2010-01-28
... Offshore System, L.L.C.; Notice of Application January 21, 2010. Take notice that on January 12, 2010, High Island Offshore System, L.L.C. (HIOS), 1100 Louisiana St., Houston, Texas 77002, filed in Docket No. CP10... directed to Jeff Molinaro, High Island Offshore System, L.L.C., 1100 Louisiana St., Houston, Texas 77002...
NREL Offshore Balance-of-System Model
DOE Office of Scientific and Technical Information (OSTI.GOV)
Maness, Michael; Maples, Benjamin; Smith, Aaron
The U.S. Department of Energy (DOE) has investigated the potential for 20% of nationwide electricity demand to be generated from wind by 2030 and, more recently, 35% by 2050. Achieving this level of wind power generation may require the development and deployment of offshore wind technologies. DOE (2008) has indicated that reaching these 2030 and 2050 scenarios could result in approximately 10% and 20%, respectively, of wind energy generation to come from offshore resources. By the end of 2013, 6.5 gigawatts of offshore wind were installed globally. The first U.S. project, the Block Island Wind Farm off the coast ofmore » Rhode Island, has recently begun operations. One of the major reasons that offshore wind development in the United States is lagging behind global trends is the high capital expenditures required. An understanding of the costs and associated drivers of building a commercial-scale offshore wind plant in the United States will inform future research and help U.S. investors feel more confident in offshore wind development. In an effort to explain these costs, the National Renewable Energy Laboratory has developed the Offshore Balance-of-System model.« less
Study on optimized decision-making model of offshore wind power projects investment
NASA Astrophysics Data System (ADS)
Zhao, Tian; Yang, Shangdong; Gao, Guowei; Ma, Li
2018-02-01
China’s offshore wind energy is of great potential and plays an important role in promoting China’s energy structure adjustment. However, the current development of offshore wind power in China is inadequate, and is much less developed than that of onshore wind power. On the basis of considering all kinds of risks faced by offshore wind power development, an optimized model of offshore wind power investment decision is established in this paper by proposing the risk-benefit assessment method. To prove the practicability of this method in improving the selection of wind power projects, python programming is used to simulate the investment analysis of a large number of projects. Therefore, the paper is dedicated to provide decision-making support for the sound development of offshore wind power industry.
Assessment of Technologies Used to Characterize Wildlife Populations in the Offshore Environment
DOE Office of Scientific and Technical Information (OSTI.GOV)
Duberstein, Corey A.; Tagestad, Jerry D.; Larson, Kyle B.
Wind energy development in the offshore environment can have both direct and indirect effects on wildlife, yet little is known about most species that use near-shore and offshore waters due in part to the difficulty involved in studying animals in remote, challenging environments. Traditional methods to characterize offshore wildlife populations include shipboard observations. Technological advances have provided researches with an array of technologies to gather information about fauna from afar. This report describes the use and application of radar, thermal and optical imagery, and acoustic detection technologies for monitoring birds, bats, and marine mammals in offshore environments.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Baldock, Nick; Sevilla, Fernando; Redfern, Robin
The United States Department of Energy (DOE) awarded a grant to GL Garrad Hassan (GL GH) to investigate the logistics, opportunities, and costs associated with existing and emerging installation and operation and maintenance (O&M) activities at offshore wind projects as part of the DOE’s program to reduce barriers facing offshore wind project development in the United States (U.S.). This report (the Report) forms part of Subtopic 5.3 “Optimized Installation, Operation and Maintenance Strategies Study” which in turn is part of the “Removing Market Barriers in U.S. Offshore Wind” set of projects for the DOE. The purpose of Subtopic 5.3 ismore » to aid and facilitate informed decision-making regarding installation and O&M during the development, installation, and operation of offshore wind projects in order to increase efficiency and reduce the levelized cost of energy (LCoE). Given the large area of U.S. territorial waters, the generally higher mean wind speeds offshore, and the proximity to the coast of many large U.S. cities, offshore wind power has the potential to become a significant contributor of energy to U.S. markets. However, for the U.S. to ensure that the development of offshore wind energy projects is carried out in an efficient and cost-effective manner, it is important to be cognizant of the current and emerging practices in both the domestic and international offshore wind energy industries. The U.S. can harness the experience gained globally and combine this with the skills and assets of an already sizeable onshore wind industry, as well as the resources of a mature offshore oil and gas industry, to develop a strong offshore wind sector. The work detailed in this report is aimed at assisting with that learning curve, particularly in terms of offshore specific installation and O&M activities. This Report and the Installation and O&M LCoE Analysis Tool, which were developed together by GL GH as part of this study, allow readers to identify, model and probe the economic merits and sensitivities of various approaches to construction and O&M practices, using illustrative offshore projects across a wide range of alternative offshore development areas located in U.S. waters. The intention is to assist decision-makers in clearly understanding the relative economic benefits of both conventional and novel construction installation methodologies and maintenance techniques within the critical parameters of a Project’s LCoE.« less
Work, eat and sleep: towards a healthy ageing at work program offshore.
Riethmeister, Vanessa; Brouwer, Sandra; van der Klink, Jac; Bültmann, Ute
2016-02-09
Health management tools need to be developed to foster healthy ageing at work and sustain employability of ageing work-forces. The objectives of this study were to 1) perform a needs assessment to identify the needs of offshore workers in the Dutch Continental Shelf with regard to healthy ageing at work and 2) to define suitable program objectives for a future healthy ageing at work program in the offshore working population. A mixed methods design was used applying an intervention mapping procedure. Qualitative data were gathered in N = 19 semi-structured interviews and six focus-group sessions (N = 49). Qualitative data were used to develop a questionnaire, which was administered among N = 450 offshore workers. Subgroup analyses were performed to investigate age-related differences relating to health status and work-related factors. The importance of good working environments, food, as well as sleep/fatigue management was identified by the qualitative data analysis. A total of 260 offshore workers completed the questionnaire. Significant differences in work ability were found between offshore workers aged <45 and 45-54 years (mean 8.63 vs. 8.19; p = 0.005) and offshore workers aged <45 and >55 years (mean 8.63 vs. 8.22; p = 0.028). Offshore workers had a high BMI (M = 27.06, SD = 3.67), with 46 % classified as overweight (BMI 25-30) and 21 % classified as obese (BMI >30). A significant difference in BMI was found between offshore workers aged <45 and ≥55 years (mean 26.3 vs. 28.6; p <0.001). In total, 73 % of offshore workers reported prolonged fatigue. A significant difference in fatigue scores was found between offshore workers aged <45 and ≥55 years (mean 36.0 vs. 37.6; p = 0.024). Further, a "dip" was reported by 41 % of offshore workers. Dips were mainly experienced at day 10 or 11 (60 %), with 45 % experiencing the dip both as physical and mental fatigue, whereas 39 % experienced the dip as only mental fatigue. Both qualitative and quantitative analyses identified work, food and sleep/fatigue management as most important program objectives for a healthy ageing at work and sustainable employability program offshore. Future studies should investigate possible causes of dip occurrences and high fatigue scores to identify suitable interventions.
30 CFR 250.417 - What must I provide if I plan to use a mobile offshore drilling unit (MODU)?
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore drilling unit (MODU)? 250.417 Section 250.417 Mineral Resources BUREAU OF OCEAN ENERGY MANAGEMENT, REGULATION, AND ENFORCEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OIL AND GAS AND SULPHUR OPERATIONS IN THE... must I provide if I plan to use a mobile offshore drilling unit (MODU)? If you plan to use a MODU, you...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-07-13
... Compliance for the Offshore Supply Vessel/Well Stimulation Vessel BLUE TARPON AGENCY: Coast Guard, DHS... issued for the offshore supply vessel BLUE TARPON as required by 33 U.S.C. 1605(c) and 33 CFR 81.18... Regulation, Parts 81 and 89, has been issued for the offshore supply vessel BLUE TARPON, O.N. 1226288. The...
Using Sentinel-1 SAR satellites to map wind speed variation across offshore wind farm clusters
NASA Astrophysics Data System (ADS)
James, S. F.
2017-11-01
Offshore wind speed maps at 500m resolution are derived from freely available satellite Synthetic Aperture Radar (SAR) data. The method for processing many SAR images to derive wind speed maps is described in full. The results are tested against coincident offshore mast data. Example wind speed maps for the UK Thames Estuary offshore wind farm cluster are presented.
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore oil and gas extraction facility, must I perform monitoring? 125.137 Section 125.137 Protection of... operator of a new offshore oil and gas extraction facility, must I perform monitoring? As an owner or operator of a new offshore oil and gas extraction facility, you will be required to perform monitoring to...
The onshore influence of offshore fresh groundwater
NASA Astrophysics Data System (ADS)
Knight, Andrew C.; Werner, Adrian D.; Morgan, Leanne K.
2018-06-01
Freshwater contained within the submarine extensions of coastal aquifers is increasingly proposed as a freshwater source for coastal communities. However, the extent to which offshore freshwater supports onshore pumping is currently unknown on a global scale. This study provides the first attempt to examine the likely prevalence of situations where offshore freshwater influences onshore salinities, considering various sites from around the world. The groundwater conditions in twenty-seven confined and semi-confined coastal aquifers with plausible connections to inferred or observed offshore freshwater are explored. The investigation uses available onshore salinities and groundwater levels, and offshore salinity knowledge, in combination with analytical modelling, to develop simplified conceptual models of the study sites. Seven different conceptual models are proposed based on the freshwater-saltwater extent and insights gained from analytical modelling. We consider both present-day and pre-development conditions in assessing potential modern contributions to offshore fresh groundwater. Conceptual models also include interpretations of whether offshore freshwater is a significant factor influencing onshore salinities and well pumping sustainability. The results indicate that onshore water levels have declined between pre-development and present-day conditions in fourteen of the fifteen regions for which pre-development data are available. Estimates of the associated steady-state freshwater extents show the potential for considerable offshore fresh groundwater losses accompanying these declines. Both present-day and pre-development heads are insufficient to account for the observed offshore freshwater in all cases where adequate data exist. This suggests that paleo-freshwater and/or aquifer heterogeneities contribute significantly to offshore freshwater extent. Present-day heads indicate that active seawater intrusion (SWI) will eventually impact onshore pumping wells at fourteen of the twenty-seven sites, while passive SWI is expected onshore in an additional ten regions. Albeit the number of field sites is limited, there is sufficient evidence to indicate that when offshore freshwater has an onshore linkage, it is being mined either passively or actively by onshore use. Thus, offshore freshwater should be assessed in coastal water balances presuming that it serves as an existing freshwater input, rather than as a new potential freshwater resource.
Offshore Energy Knowledge Exchange Workshop Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
none,
2012-04-12
A report detailing the presentations and topics discussed at the Offshore Energy Knowledge Exchange Workshop, an event designed to bring together offshore energy industry representatives to share information, best practices, and lessons learned.
Goldstein, Jason S; Watson, Winsor H
2015-02-01
Some egg-bearing (ovigerous) American lobsters (Homarus americanus) make seasonal inshore-to-offshore movements, subjecting their eggs to different thermal regimes than those of eggs carried by lobsters that do not make these movements. Our goal was to determine if differences in thermal regimes influence the rate of egg development and the subsequent time of hatch. We subjected ovigerous lobsters to typical inshore or offshore water temperatures from September to August in the laboratory (n=8 inshore and 8 offshore, each year) and in the field (n=8 each, inshore and offshore), over 2 successive years. Although the rate of egg development did not differ significantly between treatments in the fall (P∼0.570), eggs exposed to inshore thermal regimes developed faster in the spring (P<0.001). "Inshore" eggs hatched about 30 days earlier (mean=26 June) than "offshore" eggs (mean=27 July), and their time of development from the onset of eyespot to hatch was significantly shorter (inshore=287±11 days vs. offshore: 311.5±7.5 days, P=0.034). Associated growing degree-days (GDD) did not differ significantly between inshore and offshore thermal treatments (P=0.061). However, eggs retained by lobsters exposed to offshore thermal regimes accumulated more GDD in the winter than did eggs carried by inshore lobsters, while eggs exposed to inshore temperatures acquired them more rapidly in the spring. Results suggest that seasonal movements of ovigerous lobsters influence the time and location of hatching, and thus the transport and recruitment of larvae to coastal and offshore locations. © 2015 Marine Biological Laboratory.
Final Technical Report. DeepCwind Consortium Research Program. January 15, 2010 - March 31, 2013
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dagher, Habib; Viselli, Anthony; Goupee, Andrew
This is the final technical report for the U.S. Department of Energy-funded program, DE-0002981: DeepCwind Consortium Research Program. The project objective was the partial validation of coupled models and optimization of materials for offshore wind structures. The United States has a great opportunity to harness an indigenous abundant renewable energy resource: offshore wind. In 2010, the National Renewable Energy Laboratory (NREL) estimated there to be over 4,000 GW of potential offshore wind energy found within 50 nautical miles of the US coastlines (Musial and Ram, 2010). The US Energy Information Administration reported the total annual US electric energy generation inmore » 2010 was 4,120 billion kilowatt-hours (equivalent to 470 GW) (US EIA, 2011), slightly more than 10% of the potential offshore wind resource. In addition, deep water offshore wind is the dominant US ocean energy resource available comprising 75% of the total assessed ocean energy resource as compared to wave and tidal resources (Musial, 2008). Through these assessments it is clear offshore wind can be a major contributor to US energy supplies. The caveat to capturing offshore wind along many parts of the US coast is deep water. Nearly 60%, or 2,450 GW, of the estimated US offshore wind resource is located in water depths of 60 m or more (Musial and Ram, 2010). At water depths over 60 m building fixed offshore wind turbine foundations, such as those found in Europe, is likely economically infeasible (Musial et al., 2006). Therefore floating wind turbine technology is seen as the best option for extracting a majority of the US offshore wind energy resource. Volume 1 - Test Site; Volume 2 - Coupled Models; and Volume 3 - Composite Materials« less
Assessment of Ports for Offshore Wind Development in the United States
DOE Office of Scientific and Technical Information (OSTI.GOV)
Elkinton, Chris; Blatiak, Alicia; Ameen, Hafsa
As offshore wind energy develops in the United States, port facilities will become strategic hubs in the offshore wind farm supply chain because all plant and transport logistics must transit through these facilities. Therefore, these facilities must provide suitable infrastructure to meet the specific requirements of the offshore wind industry. As a result, it is crucial that federal and state policy-makers and port authorities take effective action to position ports in the offshore wind value chain to take best advantage of their economic potential. The U.S. Department of Energy tasked the independent consultancy GL Garrad Hassan (GL GH) with carryingmore » out a review of the current capability of U.S. ports to support offshore wind project development and an assessment of the challenges and opportunities related to upgrading this capability to support the growth of as many as 54 gigawatts of offshore wind installed in U.S. waters by 2030. The GL GH report and the open-access web-based Ports Assessment Tool resulting from this study will aid decision-makers in making informed decisions regarding the choice of ports for specific offshore projects, and the types of investments that would be required to make individual port facilities suitable to serve offshore wind manufacturing, installation and/or operations. The offshore wind industry in the United States is still in its infancy and this study finds that additional port facilities capable of supporting offshore wind projects are needed to meet the anticipated project build-out by 2030; however, no significant barriers exist to prevent the development of such facilities. Furthermore, significant port capabilities are in place today with purpose-build port infrastructure currently being built. While there are currently no offshore wind farms operating in the United States, much of the infrastructure critical to the success of such projects does exist, albeit in the service of other industries. This conclusion is based on GL GH’s review of U.S. ports infrastructure and its readiness to support the development of proposed offshore wind projects in U.S. waters. Specific examples of facility costs and benefits are provided for five coastal regions (North Atlantic, South Atlantic, Gulf of Mexico, Great Lakes, and Pacific) around the country. GL GH began this study by identifying the logistical requirements of offshore wind ports to service offshore wind. This review was based on lessons learned through industry practice in Northern Europe. A web-based port readiness assessment tool was developed to allow a capability gap analysis to be conducted on existing port facilities based on the identified requirements. Cost models were added to the assessment tool, which allowed GL GH to estimate the total upgrade cost to a port over the period 2014-2030 based on a set of regional project build-out scenarios. Port fee information was gathered from each port allowing an estimate of the potential revenue to the port under this same set of scenarios. The comparison of these revenue and improvement cost figures provides an initial indication of the level of offshore wind port readiness. To facilitate a more in-depth infrastructure analysis, six ports from different geographic regions, with varied levels of interest and preparedness towards offshore wind, were evaluated by modeling a range of installation strategies and port use types to identify gaps in capability and potential opportunities for economic development. Commonalities, trends, and specific examples from these case studies are presented and provide a summary of the current state of offshore wind port readiness in the U.S. and also illustrate the direction some ports have chosen to take to prepare for offshore wind projects. For example, the land area required for wind turbine and foundation manufacturing is substantial, particularly due to the large size of offshore wind components. Also, the necessary bearing capacities of the quayside and storage area are typically greater for offshore wind components than for more conventional cargo handling. As a result, most U.S. ports will likely require soil strength improvements before they can fully support offshore wind project construction. As U.S. ports and offshore wind developers look to work together on specific projects, they will encounter synergies and challenges. The challenges they face will include identifying sources of funding for the facility improvements required, and addressing ports’ typical desire to engage in long-term partnerships on the order of 10-20 years. Early projects will especially feel these challenges as they set the precedent for these partnerships in the United States. This study seeks to provide information about gaps, costs, and opportunities to aid these discussions.« less
Code of Federal Regulations, 2013 CFR
2013-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2014 CFR
2014-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2010 CFR
2010-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2012 CFR
2012-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Code of Federal Regulations, 2011 CFR
2011-07-01
... offshore oil and gas extraction facility, must I keep records and report? 125.138 Section 125.138... Intake Structures for New Offshore Oil and Gas Extraction Facilities Under Section 316(b) of the Act § 125.138 As an owner or operator of a new offshore oil and gas extraction facility, must I keep records...
Quantifying the hurricane catastrophe risk to offshore wind power.
Rose, Stephen; Jaramillo, Paulina; Small, Mitchell J; Apt, Jay
2013-12-01
The U.S. Department of Energy has estimated that over 50 GW of offshore wind power will be required for the United States to generate 20% of its electricity from wind. Developers are actively planning offshore wind farms along the U.S. Atlantic and Gulf coasts and several leases have been signed for offshore sites. These planned projects are in areas that are sometimes struck by hurricanes. We present a method to estimate the catastrophe risk to offshore wind power using simulated hurricanes. Using this method, we estimate the fraction of offshore wind power simultaneously offline and the cumulative damage in a region. In Texas, the most vulnerable region we studied, 10% of offshore wind power could be offline simultaneously because of hurricane damage with a 100-year return period and 6% could be destroyed in any 10-year period. We also estimate the risks to single wind farms in four representative locations; we find the risks are significant but lower than those estimated in previously published results. Much of the hurricane risk to offshore wind turbines can be mitigated by designing turbines for higher maximum wind speeds, ensuring that turbine nacelles can turn quickly to track the wind direction even when grid power is lost, and building in areas with lower risk. © 2013 Society for Risk Analysis.
Gibson Smith, Kathrine; Paudyal, Vibhu; Klein, Susan; Stewart, Derek
2018-05-01
The high risk nature of offshore work and inherent occupational hazards necessitate that offshore workers engage in behaviours that promote health and wellbeing. The survey aimed to assess offshore workers' health, self-care, quality of life and mental wellbeing, and to identify associated areas requiring behaviour change. Offshore workers attending a course at a training facility in Scotland were invited to complete a questionnaire comprising 11 validated measures of health, self-care, quality of life and mental wellbeing. A total of 352 offshore workers responded (completion rate 45.4%). Almost three-quarters were identified as overweight/obese (n=236, 74.4%). Median scores for SF-8 quality of life (physical=56.1, interquartile range (IQR)=4.8; mental=54.7, IQR=8.1) and Warwick-Edinburgh Mental Wellbeing scales were positive (52.0, IQR=9.0). The largest proportion of participants' scores across alcohol use (n=187, 53.4%) and sleep quality (n=229, 67.0%) domains were categorised as negative. The median number of self-care domains for which offshore workers scored negatively was 3 (IQR=2.0). There are key areas relating to the health, quality of life, mental wellbeing and self-care of the offshore workforce that warrant addressing.
2016 Cost of Wind Energy Review
DOE Office of Scientific and Technical Information (OSTI.GOV)
Stehly, Tyler J.; Heimiller, Donna M.; Scott, George N.
This report uses representative utility-scale projects to estimate the levelized cost of energy (LCOE) for land-based and offshore wind power plants in the United States. Data and results detailed here are derived from 2016 commissioned plants. More specifically, analysis detailed here relies on recent market data and state-of-the-art modeling capabilities to maintain an up-to-date understanding of wind energy cost trends and drivers. This report is intended to provide insight into current component-level costs as well as a basis for understanding variability in LCOE across the country. This publication represents the sixth installment of this annual report.
Foamed Cement Interactions with CO 2
DOE Office of Scientific and Technical Information (OSTI.GOV)
Verba, Circe; Montross, Scott; Spaulding, Richard
2017-02-02
Geologic carbon storage (GCS) is a potentially viable strategy to reduce greenhouse emissions. Understanding the risks to engineered and geologic structures associated with GCS is an important first step towards developing practices for safe and effective storage. The widespread utilization of foamed cement in wells may mean that carbon dioxide (CO 2)/brine/foamed cement reactions may occur within these GCS sites. Characterizing the difference in alteration rates as well as the physical and mechanical impact of CO 2/brine/foamed cement is an important preliminary step to ensuring offshore and onshore GCS is a prudent anthropogenic CO 2 mitigation choice.
2015 Cost of Wind Energy Review
DOE Office of Scientific and Technical Information (OSTI.GOV)
Moné, Christopher; Hand, Maureen; Bolinger, Mark
This report uses representative utility-scale projects to estimate the levelized cost of energy (LCOE) for land-based and offshore wind plants in the United States. Data and results detailed here are derived from 2015 commissioned plants. More specifically, analysis detailed here relies on recent market data and state-of-the-art modeling capabilities to maintain an up-to-date understanding of wind energy cost trends and drivers. It is intended to provide insight into current component-level costs as well as a basis for understanding variability in LCOE across the industry. This publication reflects the fifth installment of this annual report.
Calibrated Blade-Element/Momentum Theory Aerodynamic Model of the MARIN Stock Wind Turbine: Preprint
DOE Office of Scientific and Technical Information (OSTI.GOV)
Goupee, A.; Kimball, R.; de Ridder, E. J.
2015-04-02
In this paper, a calibrated blade-element/momentum theory aerodynamic model of the MARIN stock wind turbine is developed and documented. The model is created using open-source software and calibrated to closely emulate experimental data obtained by the DeepCwind Consortium using a genetic algorithm optimization routine. The provided model will be useful for those interested in validating interested in validating floating wind turbine numerical simulators that rely on experiments utilizing the MARIN stock wind turbine—for example, the International Energy Agency Wind Task 30’s Offshore Code Comparison Collaboration Continued, with Correlation project.
2015 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana; Connerton, Michael J.; LaPan, Steve; Biesinger, Zy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2016-01-01
Offshore spring total phosphorus (TP) in 2015 was 4.2 μ g/L, the same as in 2014; this is lower than 2001 - 2013, but there is no significant time trend 2001 - 2015. Offshore soluble reactive phosphorus (SRP) was very low in 2015; Apr/May - Oct mean values were <1 μ g/L at most sites. SRP has been stable in nearshore and offshore habitats since 1998 (range, 0.4 – 3.3 μ g/L). TP concentrations were low at both nearshore and offshore locations (range 4.2 - 8.1 μ g/L), and TP and SRP concentrations were significantly higher in the nearshore as compared to the offshore (6.8 μ g/L vs 4.8 μ g/L, TP; 1.1 μ g/L vs 0.7 μ g/L, SRP).Chlorophyll-a and Secchi depth values are indicative of oligotrophic conditions in nearshore and offshore habitats. Offshore summer chlorophyll- a declined significantly 2000 - 2015. Nearshore chlorophyll- a increased 1995 - 2004 but then declined 2005 - 2015. Epilimnetic chlorophyll-a averaged between 0.9 and 1.9 1 μg/L across sites, and offshore concentrations (1.4 1 μg/L) were significantly higher than nearshore (1.1 μg/L). Summer Secchi depth increased significantly in the offshore 2000 -2015 and showed no trend in the nearshore, 1995 - 2015. Apr/May - Oct Secchi depth ranged from 5.0 m to 13.0 m at individual sites and was higher in the offshore (9.5 m) than nearshore (6.2 m).In 2015, Apr/May - Oct epilimnetic zooplankton density, size, and biomass were not different between the offshore and the nearshore, but cyclopoid biomass was higher in the offshore (8.3 mg/m 3 vs 2.0 mg/m3) and Bythotrephes biomass was higher in the nearshore (0.17 mg/m3 vs 0.04 mg/m3).Zooplankton density and biomass peaked in September, an atypical pattern. This coincided with peaks in calanoid copepod, daphnid, and Holopedium Holopedium biomass in the nearshore has increased significantly since 1995.The predatory cladoceran Cercopagis continued to be abundant in summer in the nearshore (3.4 μ g/L) but not in the offshore (0.8 μ g/L). Bythotrephes biomass was very low (<0.3 μ g/L) in both nearshore and offshore habitats. Combined biomass of these predatory cladocerans in the offshore was the lowest recorded since 2001.Summer nearshore zooplankton density and biomass declined significantly 1995 - 2004 and then increased significantly 2005 – 2015. The decline was due to reductions in bosminids and cyclopoids and the increase was due mostly to a rebound in bosminids.Summer offshore zooplankton density and biomass increased significantly 2005 - 2015. The increase was due to an increase in bosminids and cyclopoids. In 2015, offshore summer epilimnetic zooplankton biomass was 52 mg/m3 (2005 - 2014 mean=18 mg/m3).Most zooplankton biomass was found in the metalimnion in July and in the hypolimnion in September. Cyclopoids and Limnocalanus dominated the metalimnion and Limnocalanus dominated the hypolimnion. Whole water column samples taken show a stable zooplankton biomass but changing community composition since 2010. Cyclopoids increased 2013 - 2015 and daphnids declined 2014 - 2015.
National Offshore Wind Energy Grid Interconnection Study Full Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Daniel, John P.; Liu, Shu; Ibanez, Eduardo
2014-07-30
The National Offshore Wind Energy Grid Interconnection Study (NOWEGIS) considers the availability and potential impacts of interconnecting large amounts of offshore wind energy into the transmission system of the lower 48 contiguous United States.
The ARGO Project: assessing NA-TECH risks on off-shore oil platforms
NASA Astrophysics Data System (ADS)
Capuano, Paolo; Basco, Anna; Di Ruocco, Angela; Esposito, Simona; Fusco, Giannetta; Garcia-Aristizabal, Alexander; Mercogliano, Paola; Salzano, Ernesto; Solaro, Giuseppe; Teofilo, Gianvito; Scandone, Paolo; Gasparini, Paolo
2017-04-01
ARGO (Analysis of natural and anthropogenic risks on off-shore oil platforms) is a 2 years project, funded by the DGS-UNMIG (Directorate General for Safety of Mining and Energy Activities - National Mining Office for Hydrocarbons and Georesources) of Italian Ministry of Economic Development. The project, coordinated by AMRA (Center for the Analysis and Monitoring of Environmental Risk), aims at providing technical support for the analysis of natural and anthropogenic risks on offshore oil platforms. In order to achieve this challenging objective, ARGO brings together climate experts, risk management experts, seismologists, geologists, chemical engineers, earth and coastal observation experts. ARGO has developed methodologies for the probabilistic analysis of industrial accidents triggered by natural events (NA-TECH) on offshore oil platforms in the Italian seas, including extreme events related to climate changes. Furthermore the environmental effect of offshore activities has been investigated, including: changes on seismicity and on the evolution of coastal areas close to offshore platforms. Then a probabilistic multi-risk framework has been developed for the analysis of NA-TECH events on offshore installations for hydrocarbon extraction.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, Philipp; Stehly, Tyler
The potential for cost reduction and economic viability for offshore wind varies considerably within the United States. This analysis models the cost impact of a range of offshore wind locational cost variables across more than 7,000 potential coastal sites in the United States' offshore wind resource area. It also assesses the impact of over 50 technology innovations on potential future costs between 2015 and 2027 (Commercial Operation Date) for both fixed-bottom and floating wind systems. Comparing these costs to an initial assessment of local avoided generating costs, this analysis provides a framework for estimating the economic potential for offshore wind.more » Analyzing economic potential within this framework can help establish a refined understanding across industries of the technology and site-specific risks and opportunities associated with future offshore wind development. The findings from the original report indicate that under the modeled scenario, offshore wind can be expected to achieve significant cost reductions and may approach economic viability in some parts of the United States within the next 15 years.« less
Spatio-temporal variations in the siphonophore community of the northern South China Sea
NASA Astrophysics Data System (ADS)
Li, Kaizhi; Yin, Jianqiang; Huang, Liangmin; Lian, Shumin; Zhang, Jianlin
2013-03-01
To understand how hydrological and biological factors affect near- to off-shore variations in the siphonophore community, we sampled zooplankton at 82 stations in the northern South China Sea during summer, winter, and spring. Forty-one species of siphonophore were collected by vertical trawling. The species richness of siphonophores increased from the nearshore to offshore regions in all three seasons of investigation, with maximum richness in summer and minimum richness in winter. The abundance of siphonophores was also higher in summer than in spring and winter, concentrated in the nearshore region in the warm season and scattered in the offshore region in the cold season. Four siphonophore groups were classified according to the frequency of occurrence: nearshore, near-offshore, offshore, and tropical pelagic. Among them, the nearshore group had higher abundance nearshore compared with the offshore. The tropical pelagic group had higher species number offshore than nearshore. Spatial and temporal fluctuations in taxonomic composition and abundance of siphonophores were due to the influence of the coastal upwelling and surface ocean currents of the South China Sea, driven by the East Asia monsoonal system.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, Philipp; Musial, Walter; Smith, Aaron
This report describes a comprehensive effort undertaken by the National Renewable Energy Laboratory (NREL) to understand the cost of offshore wind energy for markets in the United States. The study models the cost impacts of a range of offshore wind locational cost variables for more than 7,000 potential coastal sites in U.S. offshore wind resource areas. It also assesses the impact of more than 50 technology innovations on potential future costs for both fixed-bottom and floating wind systems. Comparing these costs to an initial site-specific assessment of local avoided generating costs, the analysis provides a framework for estimating the economicmore » potential for offshore wind. The analysis is intended to inform a broad set of stakeholders and enable an assessment of offshore wind as part of energy development and energy portfolio planning. It provides information that federal and state agencies and planning commissions could use to inform initial strategic decisions about offshore wind developments in the United States.« less
NASA Astrophysics Data System (ADS)
Wilcox, C.; van Sebille, E.
2016-02-01
Several global studies have attempted to estimate the standing stock of plastic debris in the oceans at the global scale. However, recent work estimating the amount lost from land on an annual basis suggests that the standing stock should be several orders of magnitude larger than the global estimates. We investigate the role of coastal deposition within the first few weeks after plastic enters the ocean and very near its sources, one of the hypothesized sinks for the missing plastic in this mass balance. We utilize a continental scale dataset of plastics collected along Australia's coast and in the offshore regions together with models of plastic release and transport based on Lagrangian tracking to investigate the role of local deposition in the coastal environment. Our models predict that the vast majority of positively buoyant plastic is deposited within a very short distance from its release point, with only a small fraction escaping into the open ocean. These predictions match our coastal and offshore observations, providing clear evidence that this mechanism of immediate coastal deposition is, at least in part, driving the apparent mismatch between coastal emissions and the standing stock in the ocean.
Shape memory alloy actuated accumulator for ultra-deepwater oil and gas exploration
NASA Astrophysics Data System (ADS)
Patil, Devendra; Song, Gangbing
2016-04-01
As offshore oil and gas exploration moves further offshore and into deeper waters to reach hydrocarbon reserves, it is becoming essential for the industry to develop more reliable and efficient hydraulic accumulators to supply pressured hydraulic fluid for various control and actuation operations, such as closing rams of blowout preventers and controlling subsea valves on the seafloor. By utilizing the shape memory effect property of nitinol, which is a type of shape memory alloy (SMA), an innovative SMA actuated hydraulic accumulator prototype has been developed and successfully tested at Smart Materials and Structure Laboratory at the University of Houston. Absence of gas in the developed SMA accumulator prototype makes it immune to hydrostatic head loss caused by water depth and thus reduces the number of accumulators required in deep water operations. Experiments with a feedback control have demonstrated that the proposed SMA actuated accumulator can provide precisely regulated pressurized fluids. Furthermore the potential use of ultracapacitors along with an embedded system to control the electric power supplied to SMA allows this accumulator to be an autonomous device for deployment. The developed SMA accumulator will make deepwater oil extraction systems more compact and cost effective.
Offshore wind development research.
DOT National Transportation Integrated Search
2014-04-01
Offshore wind (OSW) development is a new undertaking in the US. This project is a response to : New Jerseys 2011 Energy Master Plan that envisions procuring 22.5% of the states power : originating from renewable sources by 2021. The Offshore Wi...
30 CFR 253.1 - What is the purpose of this part?
Code of Federal Regulations, 2011 CFR
2011-07-01
... THE INTERIOR OFFSHORE OIL SPILL FINANCIAL RESPONSIBILITY FOR OFFSHORE FACILITIES General § 253.1 What... covered offshore facilities (COFs) under Title I of the Oil Pollution Act of 1990 (OPA), as amended, 33 U...
NASA Astrophysics Data System (ADS)
Melia, Aidan
This current research investigates what the attitudes of Irish people are towards the development of offshore wind farms in Ireland. Using a qualitative approach, a questionnaire is carefully designed and distributed among a sample population from three coastal communities. One is located on the west coast and two on the east coast. The two locations on the east coast have an involvement in offshore wind farms. One of the locations plays host to Ireland's only offshore wind farm, while there are plans in place for an offshore wind farm at the other location. The results from the questionnaires are analyzed with regard to the respondent's proximity to the coast, their age, their gender and their educational levels. This analysis results in a number of conclusions being generated. Overall, it is found that there is a strong support among the respondents for the development of offshore wind farms in Ireland.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Jimenez, Tony; Keyser, David; Tegen, Suzanne
Construction of the first offshore wind power plant in the United States began in 2015, off the coast of Rhode Island, using fixed platform structures that are appropriate for shallow seafloors, like those located off the East Coast and mid-Atlantic. However, floating platforms, which have yet to be deployed commercially, will likely need to be anchored to the deeper seafloor if deployed in Hawaiian waters. To analyze the employment and economic potential for floating offshore wind off Hawaii's coasts, the Bureau of Ocean Energy Management commissioned the National Renewable Energy Laboratory (NREL) to analyze two hypothetical deployment scenarios for Hawaii:more » 400 MW of offshore wind by 2050 and 800 MW of offshore wind by 2050. The results of this analysis can be used to better understand the general scale of economic opportunities that could result from offshore wind development.« less
Nonconsensual clinical trials: a foreseeable risk of offshoring under global corporatism.
Spielman, Bethany
2015-03-01
This paper explores the connection of offshoring and outsourcing to nonconsensual global pharmaceutical trials in low-income countries. After discussing reasons why the topic of nonconsensual offshored clinical trials may be overlooked in bioethics literature, I suggest that when pharmaceutical corporations offshore clinical trials today, nonconsensual experiments are often foreseeable and not simply the result of aberrant ethical conduct by a few individuals. Offshoring of clinical trials is structured so that experiments can be presented as health care in a unique form of outsourcing from the host country to pharmaceutical corporations. Bioethicists' assessments of the risks and potential benefits of offshore corporate pharmaceutical trials should therefore systematically include not only the hoped for benefits and the risks of the experimental drug but also the risk that subjects will not have consented, as well as the broader international consequences of nonconsensual experimentation.
Kirchhoff, Nicole T.; Rough, Kirsty M.; Nowak, Barbara F.
2011-01-01
The effects of offshore aquaculture on SBT health (particularly parasitic infections and haematology) and performance were the main aim of this study. Two cohorts of ranched Southern Bluefin tuna (SBT) (Thunnus maccoyii) were monitored throughout the commercial season, one maintained in the traditional near shore tuna farming zone and one maintained further offshore. SBT maintained offshore had reduced mortality, increased condition index at week 6 post transfer, reduced blood fluke and sealice loads, and haematological variables such as haemoglobin or lysozyme equal to or exceeding near shore maintained fish. The offshore cohort had no Cardicola forsteri and a 5% prevalence of Caligus spp., compared to a prevalence of 85% for Cardicola forsteri and 55% prevalence for Caligus spp. near shore at 6 weeks post transfer. This study is the first of its kind to examine the effects of commercial offshore sites on farmed fish parasites, health and performance. PMID:21901129
Modeling and Simulation of Offshore Wind Power Platform for 5 MW Baseline NREL Turbine.
Roni Sahroni, Taufik
2015-01-01
This paper presents the modeling and simulation of offshore wind power platform for oil and gas companies. Wind energy has become the fastest growing renewable energy in the world and major gains in terms of energy generation are achievable when turbines are moved offshore. The objective of this project is to propose new design of an offshore wind power platform. Offshore wind turbine (OWT) is composed of three main structures comprising the rotor/blades, the tower nacelle, and the supporting structure. The modeling analysis was focused on the nacelle and supporting structure. The completed final design was analyzed using finite element modeling tool ANSYS to obtain the structure's response towards loading conditions and to ensure it complies with guidelines laid out by classification authority Det Norske Veritas. As a result, a new model of the offshore wind power platform for 5 MW Baseline NREL turbine was proposed.
A study of rotor and platform design trade-offs for large-scale floating vertical axis wind turbines
NASA Astrophysics Data System (ADS)
Griffith, D. Todd; Paquette, Joshua; Barone, Matthew; Goupee, Andrew J.; Fowler, Matthew J.; Bull, Diana; Owens, Brian
2016-09-01
Vertical axis wind turbines are receiving significant attention for offshore siting. In general, offshore wind offers proximity to large populations centers, a vast & more consistent wind resource, and a scale-up opportunity, to name a few beneficial characteristics. On the other hand, offshore wind suffers from high levelized cost of energy (LCOE) and in particular high balance of system (BoS) costs owing to accessibility challenges and limited project experience. To address these challenges associated with offshore wind, Sandia National Laboratories is researching large-scale (MW class) offshore floating vertical axis wind turbines (VAWTs). The motivation for this work is that floating VAWTs are a potential transformative technology solution to reduce offshore wind LCOE in deep-water locations. This paper explores performance and cost trade-offs within the design space for floating VAWTs between the configurations for the rotor and platform.
Modeling and Simulation of Offshore Wind Power Platform for 5 MW Baseline NREL Turbine
Roni Sahroni, Taufik
2015-01-01
This paper presents the modeling and simulation of offshore wind power platform for oil and gas companies. Wind energy has become the fastest growing renewable energy in the world and major gains in terms of energy generation are achievable when turbines are moved offshore. The objective of this project is to propose new design of an offshore wind power platform. Offshore wind turbine (OWT) is composed of three main structures comprising the rotor/blades, the tower nacelle, and the supporting structure. The modeling analysis was focused on the nacelle and supporting structure. The completed final design was analyzed using finite element modeling tool ANSYS to obtain the structure's response towards loading conditions and to ensure it complies with guidelines laid out by classification authority Det Norske Veritas. As a result, a new model of the offshore wind power platform for 5 MW Baseline NREL turbine was proposed. PMID:26550605
Design of self-contained sensor for monitoring of deep-sea offshore platform
NASA Astrophysics Data System (ADS)
Song, Yang; Yu, Yan; Zhang, Chunwei; Dong, Weijie; Ou, Jinping
2013-04-01
Offshore platform, which is the base of the production and living in the sea, is the most important infrastructure for developing oil and gas resources. At present, there are almost 6500 offshore platforms servicing in the 53 countries' sea areas around the world, creating great wealth for the world. In general, offshore platforms may work for 20 years, however, offshore platforms are expensive, complex, bulky, and so many of them are on extended active duty. Because of offshore platforms servicing in the harsh marine environment for a long time, the marine environment have a great impact on the offshore platforms. Besides, with the impact and erosion of seawater, and material aging, the offshore platform is possible to be in unexpected situations when a badly sudden situation happens. Therefore, it is of great significance to monitor the marine environment and offshore platforms. The self-contained sensor for deep-sea offshore platform with its unique design, can not only effectively extend the working time of the sensor with the capability of converting vibration energy to electrical energy, but also simultaneously collect the data of acceleration, inclination, temperature and humidity of the deep sea, so that we can achieve the purpose of monitoring offshore platforms through analyzing the collected data. The self-contained sensor for monitoring of deep-sea offshore platform includes sensing unit, data collecting and storage unit, the energy supply unit. The sensing unit with multi-variables, consists of an accelerometer LIS344ALH, an inclinometer SCA103T and a temperature and humidity sensor SHT11; the data collecting and storage unit includes the MSP430 low-power MCU, large capacity memory, clock circuit and the communication interface, the communication interface includes USB interface, serial ports and wireless interface; in addition, the energy supply unit, converting vibration to electrical energy to power the overall system, includes the electromagnetic generator, voltage multiplier circuit and a super capacitor which can withstand virtually unlimited number of charge-discharge cycles. When the seawater impacts on offshore platforms to produce vibration, electromagnetic generator converts vibration to electrical energy, its output(~ 1 V 50 Hz AC) is stepped up and rectified by a voltage multiplier circuit, and the energy is stored in a super capacitor. It is controlled by the MSP430 that monitors the voltage level on the super capacitor. The super capacitor charges the Li-ion battery when the voltage on the super capacitor reaches a threshold, then the whole process of energy supply is completed. The self-contained sensor for deep-sea offshore platform has good application prospects and practical value with small size, low power, being easy to install, converting vibration energy to supply power and high detection accuracy.
The Impact of Gulf Stream-Induced Diabatic Forcing on Coastal Mid-Atlantic Surface Cyclogenesis
NASA Astrophysics Data System (ADS)
Cione, Joseph Jerome
In this dissertation, numerical experiments were conducted using a mesoscale atmospheric model developed at North Carolina State University. Three sets of numerical experiments were conducted and were designed to: quantify the impact Gulf Stream frontal distance, initial surface air temperature and cold air outbreak timing each have on the subsequent development of the marine atmospheric boundary layer during periods of offshore cold advection; investigate critical processes associated with Gulf Stream -induced mesocyclogenesis and; elucidate the role SST gradients and surface fluxes of heat and moisture have on the intensification and track of propagating mesocyclonic systems within the highly baroclinic Gulf Stream region. A major finding from the offshore cold advection simulations is that the initial air-sea contrast is the dominant forcing mechanism linked to the offshore circulation development and marine boundary layer modification. Results from the mesocyclogenesis experiments indicate that surface cyclogenesis was simulated to occur along a Gulf Stream meander in a region where the gradients in sea surface temperature (SST) were maximized. Results from sensitivity experiments illustrate that changes in the Gulf Stream SST gradient pattern can act to alter the timing and degree of cyclonic development simulated, while the inclusion of surface fluxes and moist convective processes during the development phase act to strongly enhance the intensity and/or occurrence of simulated mesocyclogenesis. Both observational and numerical results from studies investigating the impact strong Gulf Stream SST gradients have on the development of pre-existing, propagating cyclonic systems show that the baroclinic nature of the low level environment near the circulation center (as well as the degree of simulated/observed surface cyclonic intensification) appear to be highly dependent upon the mesoscale storm track within the Gulf Stream frontal zone. Furthermore, the numerical storm track experiments conducted in this research illustrate that surfaces fluxes can act to significantly alter the storm track of the surface mesocyclone (in addition to impacting the overall intensification of the simulated cyclonic system). This work also presents the technique development and operational utilization of the recently devised Atlantic Surface Cyclone Intensification Index (ASCII). The index continues to be implemented by the National Weather Service at the Raleigh-Durham and surrounding coastal forecast offices, and to date, has been successfully utilized for 11 coastal winter storm events over the February 1994-January 1996 period.
Aeroelastic Modeling of Offshore Turbines and Support Structures in Hurricane-Prone Regions (Poster)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Damiani, R.
US offshore wind turbines (OWTs) will likely have to contend with hurricanes and the associated loading conditions. Current industry standards do not account for these design load cases (DLCs), thus a new approach is required to guarantee that the OWTs achieve an appropriate level of reliability. In this study, a sequentially coupled aero-hydro-servo-elastic modeling technique was used to address two design approaches: 1.) The ABS (American Bureau of Shipping) approach; and 2.) The Hazard Curve or API (American Petroleum Institute) approach. The former employs IEC partial load factors (PSFs) and 100-yr return-period (RP) metocean events. The latter allows setting PSFsmore » and RP to a prescribed level of system reliability. The 500-yr RP robustness check (appearing in [2] and [3] upcoming editions) is a good indicator of the target reliability for L2 structures. CAE tools such as NREL's FAST and Bentley's' SACS (offshore analysis and design software) can be efficiently coupled to simulate system loads under hurricane DLCs. For this task, we augmented the latest FAST version (v. 8) to include tower aerodynamic drag that cannot be ignored in hurricane DLCs. In this project, a 6 MW turbine was simulated on a typical 4-legged jacket for a mid-Atlantic site. FAST-calculated tower base loads were fed to SACS at the interface level (transition piece); SACS added hydrodynamic and wind loads on the exposed substructure, and calculated mudline overturning moments, and member and joint utilization. Results show that CAE tools can be effectively used to compare design approaches for the design of OWTs in hurricane regions and to achieve a well-balanced design, where reliability levels and costs are optimized.« less
Microplastics in a wind farm area: A case study at the Rudong Offshore Wind Farm, Yellow Sea, China.
Wang, Teng; Zou, Xinqing; Li, Baojie; Yao, Yulong; Li, Jiasheng; Hui, Hejiu; Yu, Wenwen; Wang, Chenglong
2018-03-01
Despite the rapid construction of offshore wind farms, the available information regarding the risks of this type of development in terms of emerging pollutants, particularly microplastics, is scarce. In this study, we quantified the level of microplastic pollution at an offshore wind farm in the Yellow Sea, China, in 2016. The abundance of microplastics was 0.330 ± 0.278 items/m 3 in the surface water and 2.58 ± 1.14 items/g (dry) in the sediment. To the best of our knowledge, the level of microplastic pollution in our study area was slightly higher than that in coastal areas around the world. The microplastics detected in the surface waters and sediments were mainly fibrous (75.3% and 68.7%, respectively) and consisted of some granules and films. The microplastics in the samples might originate from garments or ropes via wastewater discharge. The abundance of plastic in the water and sediment samples collected from the wind farm area was lower than that in the samples collected from outside the wind farm area. The anthropogenic hydrodynamic effect was the main factor affecting the local distribution of microplastics. The presence of a wind farm could increase the bed shear stress during ebb tide, disturbing the bed sediment, facilitating its initiation and transport, and ultimately increasing the ease of washing away the microplastics adhered to the sediment. This study will serve as a reference for further studies of the distribution and migration of microplastics in coastal zones subjected to similar marine utilization. Copyright © 2018 Elsevier Ltd. All rights reserved.
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.
[Offshore substation workers' exposure to harmful factors - Actions minimizing risk of hazards].
Piotrowski, Paweł Janusz; Robak, Sylwester; Polewaczyk, Mateusz Maksymilian; Raczkowski, Robert
2016-01-01
The current development of electric power industry in Poland, especially in the field of renewable energy sources, including wind power, brings about the need to introduce legislation on new work environment. The development of occupational safety and health (OSH) regulations that must be met by new workplaces, such as offshore substations becomes necessary in view of the construction of modern offshore wind power plants - offshore wind farms. Staying on offshore substation is associated with an increased exposure to harmful health factors: physical, chemical, biological and psychophysical. The main sources of health risks on offshore substations are: temperature, electromagnetic field, noise from operating wind turbines, direct and alternating current, chemicals, Legionella bacteria and social isolation of people. The aim of this article is to draw attention to the problem of offshore substation workers' exposure to harmful factors and to present methods of preventing and reducing the risk-related adverse health effects. In this paper, there are identified and described risks occurring on offshore substations (fire, explosion, lightning, accidents at work). Some examples of the means and the methods for reducing the negative impact of exposure on the human health are presented and discussed. The article also highlights the need to develop appropriate laws and health and safety regulations concerning the new working environment at the offshore substations. The review of researches and international standards shows that some of them can be introduced into the Polish labor market. This work is available in Open Access model and licensed under a CC BY-NC 3.0 PL license.
75 FR 47311 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-05
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [USCG-2010-0489] National Offshore Safety Advisory... Offshore Safety Advisory Committee (NOSAC) will meet by teleconference to discuss items related to safety... advice and makes recommendations to the Coast Guard on [[Page 47312
Lamb, Robert W.
2018-01-01
Kelp forests provide important ecosystem services, yet coastal kelp communities are increasingly altered by anthropogenic impacts. Kelp forests in remote, offshore locations may provide an informative contrast due to reduced impacts from local stressors. We tested the hypothesis that shallow kelp assemblages (12–15 m depth) and associated fish and benthic communities in the coastal southwest Gulf of Maine (GOM) differed significantly from sites on Cashes Ledge, 145 km offshore by sampling five coastal and three offshore sites at 43.0 +/- 0.07° N latitude. Offshore sites on Cashes Ledge supported the greatest density (47.8 plants m2) and standing crop biomass (5.5 kg m2 fresh weight) of the foundation species Saccharina latissima kelp at this depth in the Western North Atlantic. Offshore densities of S. latissima were over 150 times greater than at coastal sites, with similar but lower magnitude trends for congeneric S. digitata. Despite these differences, S. latissima underwent a significant 36.2% decrease between 1987 and 2015 on Cashes Ledge, concurrent with a rapid warming of the GOM and invasion by the kelp-encrusting bryozoan Membranipora membranacea. In contrast to kelp, the invasive red alga Dasysiphonia japonica was significantly more abundant at coastal sites, suggesting light or dispersal limitation offshore. Spatial differences in fish abundance mirrored those of kelp, as the average biomass of all fish on Cashes Ledge was 305 times greater than at the coastal sites. Remote video censuses of cod (Gadus morhua), cunner (Tautaogolabrus adspersus), and pollock (Pollachius virens) corroborated these findings. Understory benthic communities also differed between regions, with greater abundance of sessile invertebrates offshore. Populations of kelp-consuming sea urchins Stronglyocentrotus droebachiensis, were virtually absent from Cashes Ledge while small urchins were abundant onshore, suggesting recruitment limitation offshore. Despite widespread warming of the GOM since 1987, extraordinary spatial differences in the abundance of primary producers (kelp), consumers (cod) and benthic communities between coastal and offshore sites have persisted. The shallow kelp forest communities offshore on Cashes Ledge represent an oasis of unusually high kelp and fish abundance in the region, and as such, comprise a persistent abundance hotspot that is functionally significant for sustained biological productivity of offshore regions of the Gulf of Maine. PMID:29298307
Witman, Jon D; Lamb, Robert W
2018-01-01
Kelp forests provide important ecosystem services, yet coastal kelp communities are increasingly altered by anthropogenic impacts. Kelp forests in remote, offshore locations may provide an informative contrast due to reduced impacts from local stressors. We tested the hypothesis that shallow kelp assemblages (12-15 m depth) and associated fish and benthic communities in the coastal southwest Gulf of Maine (GOM) differed significantly from sites on Cashes Ledge, 145 km offshore by sampling five coastal and three offshore sites at 43.0 +/- 0.07° N latitude. Offshore sites on Cashes Ledge supported the greatest density (47.8 plants m2) and standing crop biomass (5.5 kg m2 fresh weight) of the foundation species Saccharina latissima kelp at this depth in the Western North Atlantic. Offshore densities of S. latissima were over 150 times greater than at coastal sites, with similar but lower magnitude trends for congeneric S. digitata. Despite these differences, S. latissima underwent a significant 36.2% decrease between 1987 and 2015 on Cashes Ledge, concurrent with a rapid warming of the GOM and invasion by the kelp-encrusting bryozoan Membranipora membranacea. In contrast to kelp, the invasive red alga Dasysiphonia japonica was significantly more abundant at coastal sites, suggesting light or dispersal limitation offshore. Spatial differences in fish abundance mirrored those of kelp, as the average biomass of all fish on Cashes Ledge was 305 times greater than at the coastal sites. Remote video censuses of cod (Gadus morhua), cunner (Tautaogolabrus adspersus), and pollock (Pollachius virens) corroborated these findings. Understory benthic communities also differed between regions, with greater abundance of sessile invertebrates offshore. Populations of kelp-consuming sea urchins Stronglyocentrotus droebachiensis, were virtually absent from Cashes Ledge while small urchins were abundant onshore, suggesting recruitment limitation offshore. Despite widespread warming of the GOM since 1987, extraordinary spatial differences in the abundance of primary producers (kelp), consumers (cod) and benthic communities between coastal and offshore sites have persisted. The shallow kelp forest communities offshore on Cashes Ledge represent an oasis of unusually high kelp and fish abundance in the region, and as such, comprise a persistent abundance hotspot that is functionally significant for sustained biological productivity of offshore regions of the Gulf of Maine.
Baker, D
2001-03-01
Offshore life can be refreshing for medics who are looking for a little change of pace; however, it is not for everyone. Working offshore can be the easiest or most boring job you'll ever have. It takes a specific type of medic to fit this mold. So, if you are considering a career in the offshore field, take all of the above into consideration. You are not just making a change in jobs, but a change in lifestyle. Once you become accustomed to this lifestyle, it will be hard to go back to the everyday hustle and bustle of the streets. For more information about working offshore, contact Acadian Contract Services at 800/259-333, or visit www.acadian.com.
2015-08-01
ER D C/ CH L TR -1 5- 11 Development of an Extratropical Storm Wind, Wave, and Water Level Climatology for the Offshore Mid-Atlantic...Development of an Extratropical Storm Wind, Wave, and Water Level Climatology for the Offshore Mid-Atlantic Michael F. Forte Field Research Facility...standards for offshore wind farm design and to establish a 100-year (yr) extratropical wind speed, wave height, and water level climatology for the
Thermal Tracker: The Secret Lives of Bats and Birds Revealed
DOE Office of Scientific and Technical Information (OSTI.GOV)
None
Offshore wind developers and stakeholders can accelerate the sustainable, widespread deployment of offshore wind using a new open-source software program, called ThermalTracker. Researchers can now collect the data they need to better understand the potential effects of offshore wind turbines on bird and bat populations. This plug and play software can be used with any standard desktop computer, thermal camera, and statistical software to identify species and behaviors of animals in offshore locations.
On the representation of subsea aquitards in models of offshore fresh groundwater
NASA Astrophysics Data System (ADS)
Solórzano-Rivas, S. C.; Werner, A. D.
2018-02-01
Fresh groundwater is widespread globally in offshore aquifers, and is particularly dependent on the properties of offshore aquitards, which inhibit seawater-freshwater mixing thereby allowing offshore freshwater to persist. However, little is known of the salinity distribution in subsea aquitards, especially in relation to the offshore freshwater distribution. This is critical for the application of recent analytical solutions to subsea freshwater extent given requisite assumptions about aquitard salinity. In this paper, we use numerical simulation to explore the extent of offshore freshwater in simplified situations of subsea aquifers and overlying aquitards, including in relation to the upward leakage of freshwater. The results show that available analytical solutions significantly overestimate the offshore extent of upwelling freshwater due to the presumption of seawater in the aquitard, whereas the seawater wedge toe is less sensitive to the assumed aquitard salinity. We also explore the use of implicit, conductance-based representations of the aquitard (i.e., using the popular SEAWAT code), and find that SEAWAT's implicit approach (i.e., GHB package) can represent the offshore distance of upwelling freshwater using a novel parameterization strategy. The results show that an estimate of the upward freshwater flow that is required to freshen the aquitard is associated with the dimensionless Rayleigh number, whereby the critical Rayleigh number that distinguishes fresh and saline regions (based on the position of the 0.5 isochlor) within the aquitard is approximately 2.
75 FR 75662 - Sunshine Act Meeting
Federal Register 2010, 2011, 2012, 2013, 2014
2010-12-06
..., union representatives and industry groups' to discuss regulation of offshore drilling operations in the... from leading safety experts involved in offshore drilling activities from countries including the... be holding an all day symposium entitled ``International Models of Offshore Oil Rig Regulation'' on...
U.S. Offshore Wind Port Readiness
DOE Office of Scientific and Technical Information (OSTI.GOV)
C. Elkinton, A. Blatiak, H. Ameen
2013-10-13
This study will aid decision-makers in making informed decisions regarding the choice of ports for specific offshore projects, and the types of investments that would be required to make individual port facilities suitable to serve offshore wind manufacturing, installation and/or operations.
2013 status of the Lake Ontario lower trophic levels
Holeck, Kristen T.; Rudstam, Lars G.; Hotaling, Christopher; McCullough, Russ D.; Lemon, Dave; Pearsall, Web; Lantry, Jana R.; Connerton, Michael J.; LaPan, Steve; Trometer, Betsy; Lantry, Brian F.; Walsh, Maureen; Weidel, Brian C.
2014-01-01
Phosphorus showed high variation across nearshore (10 m depth) sites but was more stable at offshore (20 m and deeper) stations. In June and July, sites at the mouth of the Niagara River and at Oak Orchard had high phosphorus concentrations (20 – 46 μg/L). Epilimnetic average April-Oct total phosphorus (TP) ranged between 6.9 and 19.9 μg/L in the nearshore and between 5.8 and 10.2 μg/L in the offshore. Average April-Oct soluble reactive phosphorus (SRP) ranged from 0.9 to 7.3 μg/L in the nearshore and 0.8 to 1.4 μg/L in the offshore. TP and SRP were significantly higher in the nearshore than in the offshore.Spring TP has declined in the longer data series (since 1981), but not since 1995. It averaged 8.4 μg/L in the nearshore and 5.0 μg/L in the offshore in 2013—below the 10 μg/L target set by the Great Lakes Water Quality Agreement of 1978 for offshore waters of Lake Ontario.Offshore summer chlorophyll-a declined significantly in both the short- (1995-2013) and long-term (1981-2013) time series at a rate of 3-4% per year. Nearshore chlorophyll-a increased after 2003 but then declined again after 2009. Epilimnetic chlorophyll-aaveraged between 0.5 and 1.3 μg/L across sites with no difference between nearshore and offshore habitats. Average seasonal Secchi disk depth ranged from 4.5 m to 10.6 m and was higher in the offshore (average 8.1 m) than nearshore stations (6.3 m). These values are indicative of oligotrophic conditions in both habitats.In 2013, Apr/May - Oct epilimnetic zooplankton size and total biomass were significantly higher in the offshore than the nearshore. However, with the exception of Limnocalanus (higher in offshore), there were no differences between habitats for any of the zooplankton groups.Most of the zooplankton biomass was in the metalimnion and hypolimnion during the day in 2013. Between 65 and 98% of zooplankton biomass was found below the thermocline throughout the year.The predatory cladoceran Cercopagis continued to be abundant in the summer, peaking at ~7 mg/m3in the offshore. Bythotrephes peaked in October (~0.7 mg/m3), but Bythotrephes biomass was at its lowest biomass in both offshore and nearshore stations since 2005.Summer nearshore zooplankton density and biomass have declined significantly since 1995 at rates of 9-10% per year. Nearshore epilimnetic zooplankton density and biomass have remained stable since 2005 at low levels relative to previous years.Summer offshore zooplankton density and biomass in the epilimnion of Lake Ontario have also declined since 1995 at rates of 10-14% per year, but those declines are marginally significant; density declined significantly in the long-term (since 1981) but has remained at a lower stable level since 2005.Bosminid and cyclopoid copepod biomass declined significantly in nearshore waters. The same pattern occurred in the offshore but declines were significant for bosminids and marginally significant for cyclopoid copepods. Daphnid biomass has also declined significantly in the nearshore.The decline in Daphnid biomass nearshore and Bythotrephes biomass offshore and nearshore is indicative of increased planktivory by alewife. Significant declines in Bosminid and cyclopoid copepod biomass is indicative of increased invertebrate predation by Cercopagis and Bythotrephes in recent years.
Morgan, Jeffrey; Crooks, Valorie A; Sampson, Carla Jackie; Snyder, Jeremy
2017-06-02
Offshore medical schools are for-profit, private enterprises located in the Caribbean that provide undergraduate medical education to students who must leave the region for postgraduate training and also typically to practice. This growing industry attracts many medical students from the US and Canada who wish to return home to practice medicine. After graduation, international medical graduates can encounter challenges obtaining residency placements and can face other barriers related to practice. We conducted a qualitative thematic analysis to discern the dominant messages found on offshore medical school websites. Dominant messages included frequent references to push and pull factors intended to encourage potential applicants to consider attending an offshore medical school. We reviewed 38 English-language Caribbean offshore medical school websites in order to extract and record content pertaining to push and pull factors. We found two push and four pull factors present across most offshore medical school websites. Push factors include the: shortages of physicians in the US and Canada that require new medical trainees; and low acceptance rates at medical schools in intended students' home countries. Pull factors include the: financial benefits of attending an offshore medical school; geographic location and environment of training in the Caribbean; training quality and effectiveness; and the potential to practice medicine in one's home country. This analysis contributes to our understanding of some of the factors behind students' decisions to attend an offshore medical school. Importantly, push and pull factors do not address the barriers faced by offshore medical school graduates in finding postgraduate residency placements and ultimately practicing elsewhere. It is clear from push and pull factors that these medical schools heavily focus messaging and marketing towards students from the US and Canada, which raises questions about who benefits from this offshoring practice.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Strach-Sonsalla, Mareike; Stammler, Matthias; Wenske, Jan
In 1991, the Vindeby Offshore Wind Farm, the first offshore wind farm in the world, started feeding electricity to the grid off the coast of Lolland, Denmark. Since then, offshore wind energy has developed from this early experiment to a multibillion dollar market and an important pillar of worldwide renewable energy production. Unit sizes grew from 450 kW at Vindeby to the 7.5 MW-class offshore wind turbines (OWT ) that are currently (by October 2014) in the prototyping phase. This chapter gives an overview of the state of the art in offshore wind turbine (OWT) technology and introduces the principlesmore » of modeling and simulating an OWT. The OWT components -- including the rotor, nacelle, support structure, control system, and power electronics -- are introduced, and current technological challenges are presented. The OWT system dynamics and the environment (wind and ocean waves) are described from the perspective of OWT modelers and designers. Finally, an outlook on future technology is provided. The descriptions in this chapter are focused on a single OWT -- more precisely, a horizontal-axis wind turbine -- as a dynamic system. Offshore wind farms and wind farm effects are not described in detail in this chapter, but an introduction and further references are given.« less
[Musculoskeletal disorders in the offshore oil industry].
Morken, Tone; Tveito, Torill H; Torp, Steffen; Bakke, Ashild
2004-10-21
Musculoskeletal disorders are important causes of sick leave and disability among Norwegian offshore petroleum workers. More knowledge and interventions are needed in order to prevent this. In this review we consider prevalence and risk factors among offshore petroleum workers and point to the need for more research. Literature searches on ISI Web of Science and PubMed were supplemented by reports from Norwegian offshore industry companies and the Norwegian Petroleum Directorate. Few studies were found on musculoskeletal disorders among offshore petroleum workers. The disorders are widespread, particularly among catering, construction and drilling personnel. It is not clear whether the prevalence is different from that among onshore workers. Risk factors are physical stressors and fast pace of work. Among catering personnel, these disorders are important causes of loss of the required health certificate but we could not identify any review of causes in the offshore industry generally. More scientific studies are needed on musculoskeletal disorders as comparisons of prevalence and risk factors for offshore and onshore workers may point to more effective interventions. Better knowledge of the causes of loss of the health certificate may contribute to preventing early retirement. Interventions to prevent these disorders should be evaluated by controlled intervention studies.
DOE Office of Scientific and Technical Information (OSTI.GOV)
Robertson, Amy N.; Wendt, Fabian; Jonkman, Jason M.
This paper summarizes the findings from Phase Ib of the Offshore Code Comparison, Collaboration, Continued with Correlation (OC5) project. OC5 is a project run under the International Energy Agency (IEA) Wind Research Task 30, and is focused on validating the tools used for modelling offshore wind systems through the comparison of simulated responses of select offshore wind systems (and components) to physical test data. For Phase Ib of the project, simulated hydrodynamic loads on a flexible cylinder fixed to a sloped bed were validated against test measurements made in the shallow water basin at the Danish Hydraulic Institute (DHI) withmore » support from the Technical University of Denmark (DTU). The first phase of OC5 examined two simple cylinder structures (Phase Ia and Ib) to focus on validation of hydrodynamic models used in the various tools before moving on to more complex offshore wind systems and the associated coupled physics. As a result, verification and validation activities such as these lead to improvement of offshore wind modelling tools, which will enable the development of more innovative and cost-effective offshore wind designs.« less
Aeroelastic Stability Investigations for Large-scale Vertical Axis Wind Turbines
NASA Astrophysics Data System (ADS)
Owens, B. C.; Griffith, D. T.
2014-06-01
The availability of offshore wind resources in coastal regions, along with a high concentration of load centers in these areas, makes offshore wind energy an attractive opportunity for clean renewable electricity production. High infrastructure costs such as the offshore support structure and operation and maintenance costs for offshore wind technology, however, are significant obstacles that need to be overcome to make offshore wind a more cost-effective option. A vertical-axis wind turbine (VAWT) rotor configuration offers a potential transformative technology solution that significantly lowers cost of energy for offshore wind due to its inherent advantages for the offshore market. However, several potential challenges exist for VAWTs and this paper addresses one of them with an initial investigation of dynamic aeroelastic stability for large-scale, multi-megawatt VAWTs. The aeroelastic formulation and solution method from the BLade Aeroelastic STability Tool (BLAST) for HAWT blades was employed to extend the analysis capability of a newly developed structural dynamics design tool for VAWTs. This investigation considers the effect of configuration geometry, material system choice, and number of blades on the aeroelastic stability of a VAWT, and provides an initial scoping for potential aeroelastic instabilities in large-scale VAWT designs.
Robertson, Amy N.; Wendt, Fabian; Jonkman, Jason M.; ...
2016-10-13
This paper summarizes the findings from Phase Ib of the Offshore Code Comparison, Collaboration, Continued with Correlation (OC5) project. OC5 is a project run under the International Energy Agency (IEA) Wind Research Task 30, and is focused on validating the tools used for modelling offshore wind systems through the comparison of simulated responses of select offshore wind systems (and components) to physical test data. For Phase Ib of the project, simulated hydrodynamic loads on a flexible cylinder fixed to a sloped bed were validated against test measurements made in the shallow water basin at the Danish Hydraulic Institute (DHI) withmore » support from the Technical University of Denmark (DTU). The first phase of OC5 examined two simple cylinder structures (Phase Ia and Ib) to focus on validation of hydrodynamic models used in the various tools before moving on to more complex offshore wind systems and the associated coupled physics. As a result, verification and validation activities such as these lead to improvement of offshore wind modelling tools, which will enable the development of more innovative and cost-effective offshore wind designs.« less
Risk analysis of maintenance ship collisions with offshore wind turbines
NASA Astrophysics Data System (ADS)
Presencia, Carla E.; Shafiee, Mahmood
2018-07-01
A large number of offshore wind farms are planned to be built in remote deep-sea areas over the next five years. Though offshore wind sites are often located away from commercial ship traffic, the increased demand for repair or replacement services leads to high traffic densities of "maintenance ships". To date, the risk analysis of collision between maintenance ship vessels and offshore wind turbines has received very little attention. In this paper, we propose a methodology to evaluate and prioritise the collision risks associated with various kinds of ships used for carrying out maintenance tasks on different subassemblies of wind turbines in an offshore wind farm. It is also studied how the risks of ship collision with wind turbines are distributed between two main types of maintenance tasks, namely corrective and preventative. The proposed model is tested on an offshore wind turbine with seventeen components requiring five kinds of ships to perform the maintenance tasks. Our results indicate that collision risks are mostly associated with maintenance of few components of the wind turbine and in particular, those undergoing a corrective maintenance (replacement). Finally, several mitigation strategies are introduced to minimise the risk of maintenance ship collisions with offshore wind turbines.
Strategic Orientation in the Globalization of Software Firms
NASA Astrophysics Data System (ADS)
Dedrick, Jason; Kraemer, Kenneth L.; Carmel, Erran; Dunkle, Debora
In the search for profits, software firms are globalizing their development activities. Some firms achieve greater profits by becoming more efficient, whereas others do so by reaching new markets; some do both. This paper creates an a priori typology of strategies based on the extent to which firms are focused on operational improvement or market access, have a dual focus or are unfocused. We find that firms with these strategies differ in degree of internationalization, organization of offshoring and performance outcomes related to offshoring. Market-oriented firms receive a greater proportion of their total revenue from sales outside the U.S., showing a greater international orientation. They keep more of their offshore development in-house via captive operations. They also are most likely to report increased non-U.S. sales as a result of offshoring. On the other hand, operations-oriented firms have lower levels of international sales, are more likely to go offshore via outsourced software development, and achieve greater costs savings and labor force flexibility as a result of offshoring. Operations-oriented firms also face more obstacles in offshoring, perhaps because of their reliance on outsourcing. Dual focus firms generally achieve some of the best of both strategies, whereas unfocused firms achieve lower cost benefits.
DOE Office of Scientific and Technical Information (OSTI.GOV)
NONE
The original concept envisioned for the use of Fischer-Tropsch processing (FTP) of United States associated natural gas in this study was to provide a way of utilizing gas which could not be brought to market because a pipeline was not available or for which there was no local use. Conversion of gas by FTP could provide a means of utilizing offshore associated gas which would not require installation of a pipeline or re-injection. The premium quality F-T hydrocarbons produced by conversion of the gas can be transported in the same way as the crude oil or in combination (blended) withmore » it, eliminating the need for a separate gas transport system. FTP will produce a synthetic crude oil, thus increasing the effective size of the resource. The two conventional approaches currently used in US territory for handling of natural gas associated with crude petroleum production are re-injection and pipelining. Conversion of natural gas to a liquid product which can be transported to shore by tanker can be accomplished by FTP to produce hydrocarbons, or by conversion to chemical products such as methanol or ammonia, or by cryogenic liquefaction (LNG). This study considers FTP and briefly compares it to methanol and LNG. The Energy International Corporation cobalt catalyst, ratio adjusted, slurry bubble column F-T process was used as the basis for the study and the comparisons. An offshore F-T plant can best be accommodated by an FPSO (Floating Production, Storage, Offloading vessel) based on a converted surplus tanker, such as have been frequently used around the world recently. Other structure types used in deep water (platforms) are more expensive and cannot handle the required load.« less
NASA Astrophysics Data System (ADS)
Edwards, Bethanie R.; Reddy, Christopher M.; Camilli, Richard; Carmichael, Catherine A.; Longnecker, Krista; Van Mooy, Benjamin A. S.
2011-07-01
The Deepwater Horizon oil spill was one of the largest oil spills in history, and the fate of this oil within the Gulf of Mexico ecosystem remains to be fully understood. The goal of this study—conducted in mid-June of 2010, approximately two months after the oil spill began—was to understand the key role that microbes would play in the degradation of the oil in the offshore oligotrophic surface waters near the Deepwater Horizon site. As the utilization of organic carbon by bacteria in the surface waters of the Gulf had been previously shown to be phosphorus limited, we hypothesized that bacteria would be unable to rapidly utilize the oil released from the Macondo well. Although phosphate was scarce throughout the sampling region and microbes exhibited enzymatic signs of phosphate stress within the oil slick, microbial respiration within the slick was enhanced by approximately a factor of five. An incubation experiment to determine hydrocarbon degradation rates confirmed that a large fraction of this enhanced respiration was supported by hydrocarbon degradation. Extrapolating our observations to the entire area of the slick suggests that microbes had the potential to degrade a large fraction of the oil as it arrived at the surface from the well. These observations decidedly refuted our hypothesis. However, a concomitant increase in microbial abundance or biomass was not observed in the slick, suggesting that microbial growth was nutrient limited; incubations amended with nutrients showed rapid increases in cell number and biomass, which supported this conclusion. Our study shows that the dynamic microbial community of the Gulf of Mexico supported remarkable rates of oil respiration, despite a dearth of dissolved nutrients.
Offshore Oil: Environmental Impacts on Land and Sea
ERIC Educational Resources Information Center
Baldwin, Pamela L.
1974-01-01
Presents a counter position to that provided in SE 512 127 in which the author emphasizes that there are too many problems yet to be solved (related to offshore oil development) to proceed with full-scale development of offshore oil drilling. (PEB)
Offshore Fish Community: Ecological Interactions
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...
78 FR 34115 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2013-06-06
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2013-0461] National Offshore Safety.... SUMMARY: The National Offshore Safety Advisory Committee (NOSAC) will meet via teleconference to receive a.... Additionally the committee will reconvene the Subcommittee on commercial diving safety to consider...
75 FR 65025 - National Offshore Safety Advisory Committee
Federal Register 2010, 2011, 2012, 2013, 2014
2010-10-21
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [USCG-2010-0925] National Offshore Safety Advisory Committee AGENCY: Coast Guard, DHS. ACTION: Notice of meeting. SUMMARY: The National Offshore Safety Advisory Committee (NOSAC) will meet to discuss items related to safety of operations and other matters...
Ice interaction with offshore structures
DOE Office of Scientific and Technical Information (OSTI.GOV)
Cammaert, A.B.; Muggeridge, D.B.
1988-01-01
Oil platforms and other offshore structures being built in the arctic regions must be able to withstand icebergs, ice islands, and pack ice. This reference explain the effect ice has on offshore structures and demonstrates design and construction methods that allow such structures to survive in harsh, ice-ridden environments. It analyzes the characteristics of sea ice as well as dynamic ice forces on structures. Techniques for ice modeling and field testing facilitate the design and construction of sturdy, offshore constructions. Computer programs included.
Responses of two marine top predators to an offshore wind farm.
Vallejo, Gillian C; Grellier, Kate; Nelson, Emily J; McGregor, Ross M; Canning, Sarah J; Caryl, Fiona M; McLean, Nancy
2017-11-01
Quantifying the likely effects of offshore wind farms on wildlife is fundamental before permission for development can be granted by any Determining Authority. The effects on marine top predators from displacement from important habitat are key concerns during offshore wind farm construction and operation. In this respect, we present evidence for no significant displacement from a UK offshore wind farm for two broadly distributed species of conservation concern: common guillemot ( Uria aalge ) and harbor porpoise ( Phocoena phocoena ). Data were collected during boat-based line transect surveys across a 360 km 2 study area that included the Robin Rigg offshore wind farm. Surveys were conducted over 10 years across the preconstruction, construction, and operational phases of the development. Changes in guillemot and harbor porpoise abundance and distribution in response to offshore wind farm construction and operation were estimated using generalized mixed models to test for evidence of displacement. Both common guillemot and harbor porpoise were present across the Robin Rigg study area throughout all three development phases. There was a significant reduction in relative harbor porpoise abundance both within and surrounding the Robin Rigg offshore wind farm during construction, but no significant difference was detected between the preconstruction and operational phases. Relative common guillemot abundance remained similar within the Robin Rigg offshore wind farm across all development phases. Offshore wind farms have the potential to negatively affect wildlife, but further evidence regarding the magnitude of effect is needed. The empirical data presented here for two marine top predators provide a valuable addition to the evidence base, allowing future decision making to be improved by reducing the uncertainty of displacement effects and increasing the accuracy of impact assessments.
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.
NASA Astrophysics Data System (ADS)
Stephens, H. S.; Goodes, D. H.
Progress in theoretical, meteorological, and hardware development sectors of wind energy utilization is assessed for various national programs. Wind regime characterization studies in Agentina, China, Indonesia, Norway, the U.S., Canada, Sweden, Hawaii, and offshore of the U.K. are reported. Data gained from wind turbine test sites in the U.S., Denmark, Holland, Germany, and the Netherlands are outlined. Attention is focused on the economics of wind turbine production for utility, agricultural, and third party purposes, with mention made of utilizing the resource appropriately for areas of installation of the wind powered machinery. Analyses are made of diurnal wind variations compared to diurnal demands on conventinal electricity generating power stations. Performance projections are made for wind farms featuring multi-MW machines, taking into account grid inteconnection factors, electrical control, power ramps, and environmental considerations. Mention is made of aeroelastics, dynamics, and the aerodynamics of wind turbines and rotor blades. Finally, icing, noise, fatigue failure, and blade throw problem are discussed, together with wind turbine licensing procedures in Denmark. No invidivual items are abstracted in these volumes
Offshore oil in the Alaskan Arctic
NASA Technical Reports Server (NTRS)
Weeks, W. F.; Weller, G.
1984-01-01
Oil and gas deposits in the Alaskan Arctic are estimated to contain up to 40 percent of the remaining undiscovered crude oil and oil-equivalent natural gas within U.S. jurisdiction. Most (65 to 70 percent) of these estimated reserves are believed to occuur offshore beneath the shallow, ice-covered seas of the Alaskan continental shelf. Offshore recovery operations for such areas are far from routine, with the primary problems associated with the presence of ice. Some problems that must be resolved if efficient, cost-effective, environmentally safe, year-round offshore production is to be achieved include the accurate estimation of ice forces on offshore structures, the proper placement of pipelines beneath ice-produced gouges in the sea floor, and the cleanup of oil spills in pack ice areas.
76 FR 2254 - Notice of Arrival on the Outer Continental Shelf
Federal Register 2010, 2011, 2012, 2013, 2014
2011-01-13
... of arrival for floating facilities, mobile offshore drilling units (MODUs), and vessels planning to... Ship Security Certificate. MMS Minerals Management Service. MODU Mobile Offshore Drilling Unit. NAICS... rule outlines the procedures that owners or operators of floating facilities, mobile offshore drilling...
33 CFR 143.210 - Letter of compliance.
Code of Federal Regulations, 2010 CFR
2010-07-01
...) OUTER CONTINENTAL SHELF ACTIVITIES DESIGN AND EQUIPMENT Mobile Offshore Drilling Units § 143.210 Letter of compliance. (a) The Officer in Charge, Marine Inspection, determines whether a mobile offshore... of a foreign mobile offshore drilling unit requiring a letter of compliance examination must pay the...
40 CFR 435.10 - Applicability; description of the offshore subcategory.
Code of Federal Regulations, 2010 CFR
2010-07-01
... 40 Protection of Environment 29 2010-07-01 2010-07-01 false Applicability; description of the offshore subcategory. 435.10 Section 435.10 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) EFFLUENT GUIDELINES AND STANDARDS OIL AND GAS EXTRACTION POINT SOURCE CATEGORY Offshore...
40 CFR 435.10 - Applicability; description of the offshore subcategory.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 40 Protection of Environment 30 2011-07-01 2011-07-01 false Applicability; description of the offshore subcategory. 435.10 Section 435.10 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) EFFLUENT GUIDELINES AND STANDARDS OIL AND GAS EXTRACTION POINT SOURCE CATEGORY Offshore...
2013-02-14
Kessler, “Protection and Protectionism: The Practicalities of Offshore Software Devleopment in Government Procurement,” Public Contract Law Journal, Volume...Protection and Protectionism: The Practicalities of Offshore Software Development In Government Procurement,” Public Contract Law Journal, Volume 38, No. 1
DOE Office of Scientific and Technical Information (OSTI.GOV)
England, Tony; van Nieuwstadt, Lin; De Roo, Roger
This project, funded by the Department of Energy as DE-EE0005376, successfully measured wind-driven lake ice forces on an offshore structure in Lake Superior through one of the coldest winters in recent history. While offshore regions of the Great Lakes offer promising opportunities for harvesting wind energy, these massive bodies of freshwater also offer extreme and unique challenges. Among these challenges is the need to anticipate forces exerted on offshore structures by lake ice. The parameters of interest include the frequency, extent, and movement of lake ice, parameters that are routinely monitored via satellite, and ice thickness, a parameter that hasmore » been monitored at discrete locations over many years and is routinely modeled. Essential relationships for these data to be of use in the design of offshore structures and the primary objective of this project are measurements of maximum forces that lake ice of known thicknesses might exert on an offshore structure.« less
Sleep patterns of offshore day-workers in relation to overtime work and age.
Parkes, Katharine R
2015-05-01
In addition to long contractual hours during offshore weeks (14 × 12 h shifts), many personnel on North Sea oil/gas installations also work overtime, but little is known about the implications of overtime for sleep patterns offshore. In this study, the additive and interactive effects of overtime and age were analysed as predictors of sleep duration and sleep quality among offshore day-workers (N = 551), 54% of whom reported overtime. Sleep duration and quality were impaired among personnel who worked overtime, relative to those who worked only standard shifts; there was also an inverse dose-response relationship between overtime hours and sleep duration. Although the sleep measures were more favourable during shore leave than during offshore weeks, there was little evidence of compensatory sleep patterns. These findings are discussed with reference to known performance and health effects of short sleep hours; formal guidance on overtime work offshore is noted; and methodological issues are considered. Copyright © 2014 Elsevier Ltd and The Ergonomics Society. All rights reserved.
Operational management of offshore energy assets
NASA Astrophysics Data System (ADS)
Kolios, A. J.; Martinez Luengo, M.
2016-02-01
Energy assets and especially those deployed offshore are subject to a variety of harsh operational and environmental conditions which lead to deterioration of their performance and structural capacity over time. The aim of reduction of CAPEX in new installations shifts focus to operational management to monitor and assess performance of critical assets ensuring their fitness for service throughout their service life and also to provide appropriate and effective information towards requalification or other end of life scenarios, optimizing the OPEX. Over the last decades, the offshore oil & gas industry has developed and applied various approaches in operational management of assets through Structural Health and Condition Monitoring (SHM/CM) systems which can be, at a certain level, transferable to offshore renewable installations. This paper aims to highlight the key differences between offshore oil & gas and renewable energy assets from a structural integrity and reliability perspective, provide a comprehensive overview of different approaches that are available and applicable, and distinguish the benefits of such systems in the efficient operation of offshore energy assets.
Investigation of Wind Turbine Rotor Concepts for Offshore Wind Farms
NASA Astrophysics Data System (ADS)
Ceyhan, Özlem; Grasso, Francesco
2014-06-01
Current plans in offshore wind energy developments call for further reduction of cost of energy. In order to contribute to this goal, several wind turbine rotor concepts have been investigated. Assuming the future offshore wind turbines will operate only in the offshore wind farms, the rotor concepts are not only evaluated for their stand-alone performances and their potential in reducing the loads, but also for their performance in an offshore wind farm. In order to do that, the 10MW reference wind turbine designed in Innwind.EU project is chosen as baseline. Several rotor parameters have been modified and their influences are investigated for offshore wind turbine design purposes. This investigation is carried out as a conceptual parametrical study. All concepts are evaluated numerically with BOT (Blade optimisation tool) software in wind turbine level and with Farmflow software in wind farm level for two wind farm layouts. At the end, all these concepts are compared with each other in terms of their advantages and disadvantages.
2016 Offshore Wind Technologies Market Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walter; Beiter, Philipp; Schwabe, Paul
The 2016 Offshore Wind Technologies Market Report was developed by the National Renewable Energy Laboratory (NREL) for the U.S. Department of Energy (DOE) and is intended to provide offshore wind policymakers, regulators, developers, researchers, engineers, financiers, and supply chain participants, with quantitative information about the offshore wind market, technology, and cost trends in the United States and worldwide. In particular, this report is intended to provide detailed information on the domestic offshore wind industry to provide context to help navigate technical and market barriers and opportunities. The scope of the report covers the status of the 111 operating offshore windmore » projects in the global fleet through December 31, 2016, and provides the status and analysis on a broader pipeline of 593 projects at some stage of development. In addition, this report provides a wider assessment of domestic developments and events through the second quarter of 2017 to provide a more up-to-date discussion of this dynamically evolving industry.« less
-based and offshore wind turbines. He also guides projects aimed at verifying, validating, and applying developing, verifying, and validating simulation models for offshore wind turbines. He is the principal investigator for a DOE-funded project to improve the modeling of offshore floating wind system dynamics. He
Code of Federal Regulations, 2014 CFR
2014-07-01
... BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OPERATIONS IN THE OUTER... Delineation, Testing, or Mining Plan, the bond amount shall be adjusted, if appropriate, to cover the... three areas: (1) The Gulf of Mexico and the area offshore the Atlantic Ocean; (2) The area offshore the...
Code of Federal Regulations, 2012 CFR
2012-07-01
... BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OPERATIONS IN THE OUTER... Delineation, Testing, or Mining Plan, the bond amount shall be adjusted, if appropriate, to cover the... three areas: (1) The Gulf of Mexico and the area offshore the Atlantic Ocean; (2) The area offshore the...
Code of Federal Regulations, 2013 CFR
2013-07-01
... BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE INTERIOR OFFSHORE OPERATIONS IN THE OUTER... Delineation, Testing, or Mining Plan, the bond amount shall be adjusted, if appropriate, to cover the... three areas: (1) The Gulf of Mexico and the area offshore the Atlantic Ocean; (2) The area offshore the...
31 CFR 598.407 - Offshore transactions.
Code of Federal Regulations, 2010 CFR
2010-07-01
... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 598.407 Section 598.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE... Interpretations § 598.407 Offshore transactions. The prohibitions contained in § 598.203 apply to transactions by...
Oil rigs and offshore sport fishing in Louisiana
DOE Office of Scientific and Technical Information (OSTI.GOV)
Dugas, R.; Guillory, V.; Fischer, M.
1979-11-01
The environmental effects of Louisiana's offshore oil platforms are discussed with regard to an increase in sport-fishing. The effects upon fish populations, species diversity, underwater habitats, and food chains from the offshore platforms are obtained from several summaries of studies undertaken between 1970-1979. (DS)
2014-2015 Offshore Wind Technologies Market Report
DOE Office of Scientific and Technical Information (OSTI.GOV)
Smith, Aaron
2015-11-18
This presentation provides an overview of progress toward offshore wind cost reduction in Europe and implications for the U.S. market. The presentation covers an overview of offshore wind developments, economic and performance trends, empirical evidence of LCOE reduction, and challenges and opportunities in the U.S. market.
Flying in, Flying out: Offshore Teaching in Higher Education
ERIC Educational Resources Information Center
Seah, Wee Tiong; Edwards, Julie
2006-01-01
This paper discusses the relatively new phenomenon of university education faculties offering offshore education. The analogy, "flying in, flying out" captures the intensity of such offshore experiences for visiting academics, and contrasts their professional experiences against expatriate academics. This paper reports on case studies of…
Federal Register 2010, 2011, 2012, 2013, 2014
2012-10-12
... DEPARTMENT OF HOMELAND SECURITY Coast Guard [Docket No. USCG-2011-1106] Dynamic Positioning... ``Mobile Offshore Drilling Unit Dynamic Positioning Guidance''. The notice recommended owners and operators of Mobile Offshore Drilling Units (MODUs) follow Marine Technology Society (MTS) Dynamic Positioning...
46 CFR 11.540 - Endorsements for engineers of mobile offshore drilling units.
Code of Federal Regulations, 2013 CFR
2013-10-01
... 46 Shipping 1 2013-10-01 2013-10-01 false Endorsements for engineers of mobile offshore drilling units. 11.540 Section 11.540 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY MERCHANT MARINE... § 11.540 Endorsements for engineers of mobile offshore drilling units. Endorsements as chief engineer...
46 CFR 11.468 - National officer endorsements for mobile offshore drilling units (MODUs).
Code of Federal Regulations, 2014 CFR
2014-10-01
... National Deck Officer Endorsements § 11.468 National officer endorsements for mobile offshore drilling... 46 Shipping 1 2014-10-01 2014-10-01 false National officer endorsements for mobile offshore drilling units (MODUs). 11.468 Section 11.468 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY...
46 CFR 11.540 - Endorsements for engineers of mobile offshore drilling units.
Code of Federal Regulations, 2012 CFR
2012-10-01
... 46 Shipping 1 2012-10-01 2012-10-01 false Endorsements for engineers of mobile offshore drilling units. 11.540 Section 11.540 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY MERCHANT MARINE... § 11.540 Endorsements for engineers of mobile offshore drilling units. Endorsements as chief engineer...
46 CFR 11.540 - Endorsements for engineers of mobile offshore drilling units.
Code of Federal Regulations, 2010 CFR
2010-10-01
... 46 Shipping 1 2010-10-01 2010-10-01 false Endorsements for engineers of mobile offshore drilling units. 11.540 Section 11.540 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY MERCHANT MARINE... § 11.540 Endorsements for engineers of mobile offshore drilling units. Endorsements as chief engineer...
77 FR 41909 - Safety Zone; Port of Dutch Harbor; Dutch Harbor, AK
Federal Register 2010, 2011, 2012, 2013, 2014
2012-07-17
... the anticipated arrival of approximately twenty (20) vessels affiliated with planned offshore drilling...-yard radius of moored or anchored Shell offshore exploration or support vessels, and the navigable waters within a 100-yard radius of underway Shell offshore exploration or support vessels. The purpose of...
46 CFR 11.540 - Endorsements for engineers of mobile offshore drilling units.
Code of Federal Regulations, 2011 CFR
2011-10-01
... 46 Shipping 1 2011-10-01 2011-10-01 false Endorsements for engineers of mobile offshore drilling units. 11.540 Section 11.540 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY MERCHANT MARINE... § 11.540 Endorsements for engineers of mobile offshore drilling units. Endorsements as chief engineer...
issues in the development of offshore wind energy technology. He advises, facilitates, and executes laboratory initiatives in offshore wind, working closely with DOE, industry, and university research partners . Prior to joining NREL, he worked in the offshore oil and gas industry for 20 years. Education M.S. in
78 FR 12037 - Announcement of the American Petroleum Institute's Standards Activities
Federal Register 2010, 2011, 2012, 2013, 2014
2013-02-21
... Execution, 1st Edition Standard 2CCU, Offshore Cargo Container Design, Manufacturing and Inspection, 1st... Integrity Management of Fixed Offshore Structures, 1st Edition Recommended Practice 2SM, Design, Manufacture... Offshore Production Platforms, 8th Edition Specification 14F, Design and Installation of Electrical Systems...
31 CFR 598.407 - Offshore transactions.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 31 Money and Finance:Treasury 3 2014-07-01 2014-07-01 false Offshore transactions. 598.407 Section 598.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF... Interpretations § 598.407 Offshore transactions. The prohibitions contained in § 598.203 apply to transactions by...
31 CFR 598.407 - Offshore transactions.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 31 Money and Finance:Treasury 3 2013-07-01 2013-07-01 false Offshore transactions. 598.407 Section 598.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF... Interpretations § 598.407 Offshore transactions. The prohibitions contained in § 598.203 apply to transactions by...
31 CFR 598.407 - Offshore transactions.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 31 Money and Finance:Treasury 3 2011-07-01 2011-07-01 false Offshore transactions. 598.407 Section 598.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF... Interpretations § 598.407 Offshore transactions. The prohibitions contained in § 598.203 apply to transactions by...
31 CFR 598.407 - Offshore transactions.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 31 Money and Finance:Treasury 3 2012-07-01 2012-07-01 false Offshore transactions. 598.407 Section 598.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF... Interpretations § 598.407 Offshore transactions. The prohibitions contained in § 598.203 apply to transactions by...
33 CFR 100.728 - Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL.
Code of Federal Regulations, 2010 CFR
2010-07-01
...; Hurricane Offshore Classic, St. Petersburg, FL. 100.728 Section 100.728 Navigation and Navigable Waters... WATERS § 100.728 Special Local Regulations; Hurricane Offshore Classic, St. Petersburg, FL. (a) Regulated... commander designated by Coast Guard Sector St. Petersburg, Florida. (2) Spectator craft will be permitted...
76 FR 77223 - Enbridge Offshore Pipelines (UTOS); Notice of Filing
Federal Register 2010, 2011, 2012, 2013, 2014
2011-12-12
... DEPARTMENT OF ENERGY Federal Energy Regulatory Commission [Docket No. AC12-20-000] Enbridge Offshore Pipelines (UTOS); Notice of Filing Take notice that on November 30, 2011, Enbridge Offshore Pipelines (UTOS) submitted a request for a waiver of the reporting requirement to file the FERC Form 2 CPA...
NASA Technical Reports Server (NTRS)
1975-01-01
The economic benefits of improved ocean condition, weather and ice forecasts by SEASAT satellites to the exploration, development and production of oil and natural gas in the offshore regions are considered. The results of case studies which investigate the effects of forecast accuracy on offshore operations in the North Sea, the Celtic Sea, and the Gulf of Mexico are reported. A methodology for generalizing the results to other geographic regions of offshore oil and natural gas exploration and development is described.
NASA Astrophysics Data System (ADS)
Baumstark, René; Duffey, Renee; Pu, Ruiliang
2016-11-01
The offshore extent of seagrass habitat along the West Florida (USA) coast represents an important corridor for inshore-offshore migration of economically important fish and shellfish. Surviving at the fringe of light requirements, offshore seagrass beds are sensitive to changes in water clarity. Beyond and intermingled with the offshore seagrass areas are large swaths of colonized hard bottom. These offshore habitats of the West Florida coast have lacked mapping efforts needed for status and trends monitoring. The objective of this study was to propose an object-based classification method for mapping offshore habitats and to compare results to traditional photo-interpreted maps. Benthic maps were created from WorldView-2 satellite imagery using an Object Based Image Analysis (OBIA) method and a visual photo-interpretation method. A logistic regression analysis identified depth and distance from shore as significant parameters for discriminating spectrally similar seagrass and colonized hard bottom features. Seagrass, colonized hard bottom and unconsolidated sediment (sand) were mapped with 78% overall accuracy using the OBIA method compared to 71% overall accuracy using the photo-interpretation method. This study suggests an alternative for mapping deeper, offshore habitats capable of producing higher thematic and spatial resolution maps compared to those created with the traditional photo-interpretation method.
Work and health: A comparison between Norwegian onshore and offshore employees.
Bjerkan, Anne Mette
2011-01-01
The effect of work-related variables on self reported health complaints were examined among Norwegian onshore and offshore oil workers. Differences in work and health perceptions were also examined as part of the paper. Employees working onshore and offshore in the maintenance and modification division of a large contractor company took part in the study (N=414, response rate 47.1%). The design of the study was a cross-sectional survey. A questionnaire was distributed to onshore personnel while at work - in cooperation with the personnel safety representative - and sent to the home addresses of the offshore personnel. Offshore workers perceived significantly more hazards associated with the work and experienced less control over the work pace compared to onshore workers. Onshore workers experienced significantly more pressure at work and their work tasks as more repetitive. Differences in health perceptions were identified in terms of job type in the onshore and offshore groups respectively. Different work-related factors influenced the self-reported health complaints among onshore and offshore workers. Workers in different work environments and in different job types encounter different type of threats to employee health, indicating that job type must be taken into account when studying the relationship between work-related factors and employee health.
Offshore Wind Plant Balance-of-Station Cost Drivers and Sensitivities (Poster)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Saur, G.; Maples, B.; Meadows, B.
2012-09-01
With Balance of System (BOS) costs contributing up to 70% of the installed capital cost, it is fundamental to understanding the BOS costs for offshore wind projects as well as potential cost trends for larger offshore turbines. NREL developed a BOS model using project cost estimates developed by GL Garrad Hassan. Aspects of BOS covered include engineering and permitting, ports and staging, transportation and installation, vessels, foundations, and electrical. The data introduce new scaling relationships for each BOS component to estimate cost as a function of turbine parameters and size, project parameters and size, and soil type. Based on themore » new BOS model, an analysis to understand the non-turbine costs associated with offshore turbine sizes ranging from 3 MW to 6 MW and offshore wind plant sizes ranging from 100 MW to 1000 MW has been conducted. This analysis establishes a more robust baseline cost estimate, identifies the largest cost components of offshore wind project BOS, and explores the sensitivity of the levelized cost of energy to permutations in each BOS cost element. This presentation shows results from the model that illustrates the potential impact of turbine size and project size on the cost of energy from US offshore wind plants.« less
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.
Station Keeping Results for Seabotix vLBV300 Underwater Vehicle near Newport, OR
DOE Office of Scientific and Technical Information (OSTI.GOV)
Hollinger, Geoffrey
This data set presents results testing the station keeping abilities of a tethered Seabotix vLBV300 underwater vehicle equipped with an inertial navigation system. These results are from an offshore deployment on April 20, 2016 off the coast of Newport, OR (44.678 degrees N, 124.109 degrees W). During the mission period, the sea state varied between 3 and 4, with an average significant wave height of 1.6 m. The vehicle utilizes an inertial navigation system based on a Gladiator Landmark 40 IMU coupled with a Teledyne Explorer Doppler Velocity Log to perform station keeping at a desired location and orientation.
Gas hydrate potential of the mid Atlantic outer continental shelf
Shedd, William W.; Hutchinson, Deborah R.
2006-01-01
For the last two years, the Minerals Management Service (MMS) has been studying the resource potential of gas hydrates in federal offshore lands of the Outer Continental Shelf (OCS) off the Atlantic, Gulf of Mexico, Pacific, and Alaska in collaboration with the U.S. Geological Survey (USGS), the Department of Energy (DOE), the National Oceanic and Atmospheric Administration (NOAA), the Naval Research Lab (NRL) and academia. Utilizing its extensive seismic, well, and geochemical databases, the MMS will be reporting the in-place resource numbers within the next few months. Though the methodology of the study was not prospect oriented, discrete prospects have been recognized.
System Design for Ocean Sensor Data Transmission Based on Inductive Coupling
NASA Astrophysics Data System (ADS)
Xu, Ming; Liu, Fei; Zong, Yuan; Hong, Feng
Ocean observation is the precondition to explore and utilize ocean. How to acquire ocean data in a precise, efficient and real-time way is the key question of ocean surveillance. Traditionally, there are three types of methods for ocean data transmission: underwater acoustic, GPRS via mobile network and satellite communication. However, none of them can meet the requirements of efficiency, accuracy, real-time and low cost at the same time. In this paper, we propose a new wireless transmission system for underwater sensors, which established on FGR wireless modules, combined with inductive coupling lab and offshore experiments confirmed the feasibility and effectiveness of the proposed wireless transmission system.
A Numerical Study of Wind-Turbine Wakes for Three Atmospheric Stability Conditions
NASA Astrophysics Data System (ADS)
Xie, Shengbai; Archer, Cristina L.
2017-10-01
The effects of atmospheric stability on wind-turbine wakes are studied via large-eddy simulations. Three stability conditions are considered: stable, neutral, and unstable, with the same geostrophic wind speed aloft and the same Coriolis frequency. Both a single 5-MW turbine and a wind farm of five turbines are studied. The single-turbine wake is strongly correlated with stability, in terms of velocity deficit, turbulence kinetic energy (TKE) and temperature distribution. Because of the Coriolis effect, the wake shape deviates from a Gaussian distribution. For the wind-farm simulations, the separation of the core region and outer region is clear for the stable and neutral cases, but less distinct for the unstable case. The unstable case exhibits strong horizontal variations in wind speed. Local accelerations such as related to aisle jets are also observed, whose features depend on stability. The added TKE in the wind farm increases with stability. The highest power extraction and lowest power deficit are observed for the unstable case.
Terminology Guideline for Classifying Offshore Wind Energy Resources
DOE Office of Scientific and Technical Information (OSTI.GOV)
Beiter, Philipp; Musial, Walt
The purpose of this guideline is to establish a clear and consistent vocabulary for conveying offshore wind resource potential and to interpret this vocabulary in terms that are familiar to the oil and gas (O&G) industry. This involves clarifying and refining existing definitions of offshore wind energy resource classes. The terminology developed in this guideline represents one of several possible sets of vocabulary that may differ with respect to their purpose, data availability, and comprehensiveness. It was customized to correspond with established offshore wind practices and existing renewable energy industry terminology (e.g. DOE 2013, Brown et al. 2015) while conformingmore » to established fossil resource classification as best as possible. The developers of the guideline recognize the fundamental differences that exist between fossil and renewable energy resources with respect to availability, accessibility, lifetime, and quality. Any quantitative comparison between fossil and renewable energy resources, including offshore wind, is therefore limited. For instance, O&G resources are finite and there may be significant uncertainty associated with the amount of the resource. In contrast, aboveground renewable resources, such as offshore wind, do not generally deplete over time but can vary significantly subhourly, daily, seasonally, and annually. The intent of this guideline is to make these differences transparent and develop an offshore wind resource classification that conforms to established fossil resource classifications where possible. This guideline also provides methods to quantitatively compare certain offshore wind energy resources to O&G resource classes for specific applications. Finally, this guideline identifies areas where analogies to established O&G terminology may be inappropriate or subject to misinterpretation.« less
Observations and a model of undertow over the inner continental shelf
Lentz, Steven J.; Fewings, Melanie; Howd, Peter; Fredericks, Janet; Hathaway, Kent
2008-01-01
Onshore volume transport (Stokes drift) due to surface gravity waves propagating toward the beach can result in a compensating Eulerian offshore flow in the surf zone referred to as undertow. Observed offshore flows indicate that wave-driven undertow extends well offshore of the surf zone, over the inner shelves of Martha’s Vineyard, Massachusetts, and North Carolina. Theoretical estimates of the wave-driven offshore transport from linear wave theory and observed wave characteristics account for 50% or more of the observed offshore transport variance in water depths between 5 and 12 m, and reproduce the observed dependence on wave height and water depth.During weak winds, wave-driven cross-shelf velocity profiles over the inner shelf have maximum offshore flow (1–6 cm s−1) and vertical shear near the surface and weak flow and shear in the lower half of the water column. The observed offshore flow profiles do not resemble the parabolic profiles with maximum flow at middepth observed within the surf zone. Instead, the vertical structure is similar to the Stokes drift velocity profile but with the opposite direction. This vertical structure is consistent with a dynamical balance between the Coriolis force associated with the offshore flow and an along-shelf “Hasselmann wave stress” due to the influence of the earth’s rotation on surface gravity waves. The close agreement between the observed and modeled profiles provides compelling evidence for the importance of the Hasselmann wave stress in forcing oceanic flows. Summer profiles are more vertically sheared than either winter profiles or model profiles, for reasons that remain unclear.
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.
Federal Register 2010, 2011, 2012, 2013, 2014
2010-09-27
...; (B) A mobile offshore drilling unit or other vessel engaged in support of exploration, exploitation, or production of offshore mineral energy resources operating beyond the water above the outer... for: (A) An offshore supply vessel or other similarly engaged vessel of less than 1,600 gross tons as...
75 FR 74674 - Updates to Vessel Inspection Fees
Federal Register 2010, 2011, 2012, 2013, 2014
2010-12-01
... Certificate of Inspection and foreign tankships and mobile offshore drilling units required to maintain a... offshore drilling units trading in U.S. ports. Subpart 2.10 also sets forth fees for inspections conducted...: Length not greater than 200 feet 1,435 More than 200 feet 2,550 Mobile Offshore Drilling Units (MODUs...
33 CFR 146.203 - Requirements for U.S. and undocumented MODUs.
Code of Federal Regulations, 2010 CFR
2010-07-01
... SECURITY (CONTINUED) OUTER CONTINENTAL SHELF ACTIVITIES OPERATIONS Mobile Offshore Drilling Units § 146.203 Requirements for U.S. and undocumented MODUs. Each mobile offshore drilling unit documented under the laws of the United States and each mobile offshore drilling unit that is not documented under the laws of any...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-10-03
... compression ignition (CI) RICE on offshore drilling vessels on the Outer Continental Shelf (OCS) that become... raised during the initial public comment period regarding existing engines on offshore vessels. DATES... (comment from Offshore Operators Committee), EPA-HQ- OAR-2008-0708-1105 at p. 6 (comment from American...
Federal Register 2010, 2011, 2012, 2013, 2014
2013-08-07
... for all Mobile Offshore Drilling Units and Floating Outer Continental Shelf Facilities (as defined in... Commander. Vessels requiring Coast Guard inspection include Mobile Offshore Drilling Units (MODUs), Floating... engage directly in oil and gas exploration or production in the offshore waters of the Eighth Coast Guard...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-07-23
... Offshore Drilling Units AGENCY: Coast Guard, DHS. ACTION: Notice of availability. SUMMARY: The Coast Guard...), Code for the Construction and Equipment of Mobile Offshore Drilling Units, 2009 (2009 MODU Code). CG...: Background and Purpose Foreign documented MODUs engaged in any offshore activity associated with the...
46 CFR 11.540 - Endorsements as engineers of mobile offshore drilling units (MODUs).
Code of Federal Regulations, 2014 CFR
2014-10-01
... 46 Shipping 1 2014-10-01 2014-10-01 false Endorsements as engineers of mobile offshore drilling units (MODUs). 11.540 Section 11.540 Shipping COAST GUARD, DEPARTMENT OF HOMELAND SECURITY MERCHANT... Engineer Officer Endorsements § 11.540 Endorsements as engineers of mobile offshore drilling units (MODUs...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-06-21
... January 2013, and concerns global positioning systems on Mobile Offshore Drilling Units (MODUs). After a... any way. The offshore oil and gas industry will use the information to determine the safest and... to do so. Dated: June 14, 2012. Robert W. Middleton, Deputy Chief, Office of Offshore Regulatory...
Domestic Options to Offshore Oil and Gas.
ERIC Educational Resources Information Center
Kash, Don E.
1983-01-01
The continuing controversey over offshore oil/gas has given impetus to searching for domestic energy alternatives. The need for and types of several alternative sources are discussed. Indicates that the United States needs to pursue both offshore and other domestic liquid-fuel sources if it is to avoid becoming increasingly dependent on imports.…
Federal Register 2010, 2011, 2012, 2013, 2014
2012-03-14
..., Inc. (SWG-2011-00511) for the proposed approximately 300-turbine offshore wind farm located in the... and operation of the offshore wind farm, associated facilities, and appurtenances and is intended to... EIS on the proposed Baryonyx offshore wind farm which would include the proposed construction of...
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)
Patrick Gilman; Maurer, Ben; Feinberg, Luke
2016-09-01
The U.S. Department of Energy, through its Wind Energy Technologies Office, and U.S. Department of the Interior, through its Bureau of Ocean Energy Management, have jointly produced this updated national strategy to facilitate the responsible development of offshore wind energy in the United States.
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...
Canadian Offshore Schools in China: A Comparative Policy Analysis
ERIC Educational Resources Information Center
Wang, Fei
2017-01-01
Internationalisation is no longer a well-recognised feature unique to higher education. It has permeated K-12 education. However, little research has been done on internationalisation at the K-12 level, particularly on offshore schools. This study examines how Canadian and Chinese policies regarding offshore schools have developed over the years,…
77 FR 42467 - Special Local Regulations; Fajardo Offshore Festival II, Fajardo, PR
Federal Register 2010, 2011, 2012, 2013, 2014
2012-07-19
... 1625-AA08 Special Local Regulations; Fajardo Offshore Festival II, Fajardo, PR AGENCY: Coast Guard, DHS... Festival II, a series of high-speed boat races. The event is scheduled to take place on Sunday, September... the Fajardo Offshore Festival II. C. Discussion of Proposed Rule On September 16, 2012, Puerto Rico...
ERIC Educational Resources Information Center
McBurnie, Grant
2006-01-01
Australia is a leading proponent of trade liberalisation, including education services. It is a major provider of fee-charging education to international students, both in Australia and offshore. This paper focuses on the three key motivations for Australian universities to establish offshore campuses--academic, financial, reputational--and…
Academics as Part-Time Marketers in University Offshore Programs: An Exploratory Study
ERIC Educational Resources Information Center
Poole, David; Ewan, Craig
2010-01-01
Australian universities maintain almost 900 offshore programs delivered to more than 100 000 students, primarily in the nations of Singapore, Malaysia, China, and Hong Kong (Universities Australia, 2009; IDP, 2009a). Although offshore students comprise an estimated 30 per cent of international student enrolments at Australian universities (IDP,…
Federal Register 2010, 2011, 2012, 2013, 2014
2013-06-11
...-AA08 Special Local Regulations for Marine Events, Atlantic City Offshore Race, Atlantic Ocean; Atlantic City, NJ AGENCY: Coast Guard, DHS. ACTION: Temporary final rule. SUMMARY: The Coast Guard is..., held on the Atlantic Ocean, offshore of Atlantic City, New Jersey. The marine event formerly originated...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-03-17
... repair and maintenance; and emergency and oil spill response training. Sections 1 and 2 of BP's... NMFS, BP requests authorization to take marine mammals incidental to operation of offshore oil and gas... Importing Marine Mammals; Taking Marine Mammals Incidental to Operation of Offshore Oil and Gas Facilities...
Federal Register 2010, 2011, 2012, 2013, 2014
2011-03-17
... No. BOEM-2010-0063] Commercial Leasing for Wind Power on the Outer Continental Shelf (OCS) Offshore..., Regulation and Enforcement (BOEMRE), Interior. ACTION: Request for Interest (RFI) in Commercial Wind Energy... (BOEMRE) is reopening the comment period on the RFI in Commercial Wind Energy Leasing Offshore...
33 CFR 100.913 - ACORA Garwood Classic Offshore Race, Algonac, MI.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 33 Navigation and Navigable Waters 1 2013-07-01 2013-07-01 false ACORA Garwood Classic Offshore Race, Algonac, MI. 100.913 Section 100.913 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, Algonac, MI. (a) Regulated Area. A regulated area is established to include all...
33 CFR 100.913 - ACORA Garwood Classic Offshore Race, Algonac, MI.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 33 Navigation and Navigable Waters 1 2014-07-01 2014-07-01 false ACORA Garwood Classic Offshore Race, Algonac, MI. 100.913 Section 100.913 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, Algonac, MI. (a) Regulated Area. A regulated area is established to include all...
33 CFR 100.913 - ACORA Garwood Classic Offshore Race, Algonac, MI.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 33 Navigation and Navigable Waters 1 2012-07-01 2012-07-01 false ACORA Garwood Classic Offshore Race, Algonac, MI. 100.913 Section 100.913 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, Algonac, MI. (a) Regulated Area. A regulated area is established to include all...
33 CFR 100.913 - ACORA Garwood Classic Offshore Race, Algonac, MI.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 33 Navigation and Navigable Waters 1 2011-07-01 2011-07-01 false ACORA Garwood Classic Offshore Race, Algonac, MI. 100.913 Section 100.913 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, Algonac, MI. (a) Regulated Area. A regulated area is established to include all...
Fisher, M.A.; Langenheim, V.E.; Nicholson, C.; Ryan, H.F.; Sliter, R.W.
2009-01-01
During late Mesozoic and Cenozoic time, three main tectonic episodes affected the Southern California offshore area. Each episode imposed its unique structural imprint such that early-formed structures controlled or at least influenced the location and development of later ones. This cascaded structural inheritance greatly complicates analysis of the extent, orientation, and activity of modern faults. These fault attributes play key roles in estimates of earthquake magnitude and recurrence interval. Hence, understanding the earthquake hazard posed by offshore and coastal faults requires an understanding of the history of structural inheritance and modifi-cation. In this report we review recent (mainly since 1987) findings about the tectonic development of the Southern California offshore area and use analog models of fault deformation as guides to comprehend the bewildering variety of offshore structures that developed over time. This report also provides a background in regional tectonics for other chapters in this section that deal with the threat from offshore geologic hazards in Southern California. ?? 2009 The Geological Society of America.
Fatal injuries in offshore oil and gas operations - United States, 2003-2010.
2013-04-26
During 2003-2010, the U.S. oil and gas extraction industry (onshore and offshore, combined) had a collective fatality rate seven times higher than for all U.S. workers (27.1 versus 3.8 deaths per 100,000 workers). The 11 lives lost in the 2010 Deepwater Horizon explosion provide a reminder of the hazards involved in offshore drilling. To identify risk factors to offshore oil and gas extraction workers, CDC analyzed data from the Bureau of Labor Statistics (BLS) Census of Fatal Occupational Injuries (CFOI), a comprehensive database of fatal work injuries, for the period 2003-2010. This report describes the results of that analysis, which found that 128 fatalities in activities related to offshore oil and gas operations occurred during this period. Transportation events were the leading cause (65 [51%]); the majority of these involved aircraft (49 [75%]). Nearly one fourth (31 [24%]) of the fatalities occurred among workers whose occupations were classified as "transportation and material moving." To reduce fatalities in offshore oil and gas operations, employers should ensure that the most stringent applicable transportation safety guidelines are followed.
Quantifying the hurricane risk to offshore wind turbines.
Rose, Stephen; Jaramillo, Paulina; Small, Mitchell J; Grossmann, Iris; Apt, Jay
2012-02-28
The U.S. Department of Energy has estimated that if the United States is to generate 20% of its electricity from wind, over 50 GW will be required from shallow offshore turbines. Hurricanes are a potential risk to these turbines. Turbine tower buckling has been observed in typhoons, but no offshore wind turbines have yet been built in the United States. We present a probabilistic model to estimate the number of turbines that would be destroyed by hurricanes in an offshore wind farm. We apply this model to estimate the risk to offshore wind farms in four representative locations in the Atlantic and Gulf Coastal waters of the United States. In the most vulnerable areas now being actively considered by developers, nearly half the turbines in a farm are likely to be destroyed in a 20-y period. Reasonable mitigation measures--increasing the design reference wind load, ensuring that the nacelle can be turned into rapidly changing winds, and building most wind plants in the areas with lower risk--can greatly enhance the probability that offshore wind can help to meet the United States' electricity needs.
Quantifying the hurricane risk to offshore wind turbines
Rose, Stephen; Jaramillo, Paulina; Small, Mitchell J.; Grossmann, Iris; Apt, Jay
2012-01-01
The U.S. Department of Energy has estimated that if the United States is to generate 20% of its electricity from wind, over 50 GW will be required from shallow offshore turbines. Hurricanes are a potential risk to these turbines. Turbine tower buckling has been observed in typhoons, but no offshore wind turbines have yet been built in the United States. We present a probabilistic model to estimate the number of turbines that would be destroyed by hurricanes in an offshore wind farm. We apply this model to estimate the risk to offshore wind farms in four representative locations in the Atlantic and Gulf Coastal waters of the United States. In the most vulnerable areas now being actively considered by developers, nearly half the turbines in a farm are likely to be destroyed in a 20-y period. Reasonable mitigation measures—increasing the design reference wind load, ensuring that the nacelle can be turned into rapidly changing winds, and building most wind plants in the areas with lower risk—can greatly enhance the probability that offshore wind can help to meet the United States’ electricity needs. PMID:22331894
Investigation of the Hosgri Fault, offshore Southern California, Point Sal to Point Conception
Payne, C.M.; Swanson, O.E.; Schell, B.A.
1979-01-01
A high-resolution seismic reflection survey of the inner continental shelf between Point Sal and Point Conception has revealed faults that displace post-Wisconsin strata (less than 17,000-20,000 years). These faults are the Hosgri fault, the Offshore Lompoc fault, and smaller unnamed faults. Faults trending offshore from the adjacent shoreline such as the Pezzoni, Lions Head, Honda, and Pacifico faults, do not show post-Wisconsin activity. The Hosgri fault trends directly toward the coastline between Purisima Point and Point Arguello where it appears to merge with folds and smaller faults in the western Transverse Ranges. This trend of offshore structures toward the Point Arguello-Point Conception area is consistent with a hypothesis that the regional structural fabric of the southern California Coast Ranges and its adjacent offshore area merge with the Transverse Ranges.
NASA Astrophysics Data System (ADS)
Werner, Adrian D.; Robinson, Neville I.
2018-06-01
Existing analytical solutions for the distribution of fresh groundwater in subsea aquifers presume that the overlying offshore aquitard, represented implicitly, contains seawater. Here, we consider the case where offshore fresh groundwater is the result of freshwater discharge from onshore aquifers, and neglect paleo-freshwater sources. A recent numerical modeling investigation, involving explicit simulation of the offshore aquitard, demonstrates that offshore aquitards more likely contain freshwater in areas of upward freshwater leakage to the sea. We integrate this finding into the existing analytical solutions by providing an alternative formulation for steady interface flow in subsea aquifers, whereby the salinity in the offshore aquitard can be chosen. The new solution, taking the aquitard salinity as that of freshwater, provides a closer match to numerical modeling results in which the aquitard is represented explicitly.
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
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.
NASA Astrophysics Data System (ADS)
Steele, C. J.; Dorling, S. R.; von Glasow, R.; Bacon, J.
2012-06-01
The behaviour and characteristics of the marine component of sea breeze cells have received little attention relative to their onshore counterparts. Yet there is a growing interest and dependence on the offshore wind climate from, for example, a wind energy perspective. Using idealized model experiments, we investigate the sea breeze circulation at scales which approximate to those of the Southern North Sea, a region of major ongoing offshore wind farm development. We also contrast the scales and characteristics of the pure and the little known corkscrew and backdoor sea breeze types, where the type is pre-defined by the orientation of the synoptic scale flow relative to the shoreline. We find, crucially, that pure sea breezes, in contrast to corkscrew and backdoor types, can lead to substantial wind speed reductions offshore and that the addition of a second eastern coastline emphasises this effect through generation of offshore "calm zones". The offshore extent of all sea breeze types is found to be sensitive to both the influence of Coriolis acceleration and to the boundary layer scheme selected. These extents range, for example for a pure sea breeze produced in a 2 m s-1 offshore gradient wind, from 10 km to 40 km between the Mellor-Yamada-Nakanishi-Niino and the Yonsei State University schemes, respectively. The corkscrew type restricts the development of a backdoor sea breeze on the eastern coast and is also capable of traversing a 100 km offshore domain even under high gradient wind speed (>15 m s-1) conditions. Realistic variations in sea surface skin temperature during the sea breeze season do not significantly affect the circulation, suggesting that a thermal contrast is only needed as a precondition to the development of the sea breeze. We highlight how sea breeze impacts on circulation need to be considered in order to improve the accuracy of assessments of the offshore wind energy climate.
NASA Astrophysics Data System (ADS)
Steele, C. J.; Dorling, S. R.; von Glasow, R.; Bacon, J.
2013-01-01
The behaviour and characteristics of the marine component of sea breeze cells have received little attention relative to their onshore counterparts. Yet there is a growing interest and dependence on the offshore wind climate from, for example, a wind energy perspective. Using idealized model experiments, we investigate the sea breeze circulation at scales which approximate to those of the southern North Sea, a region of major ongoing offshore wind farm development. We also contrast the scales and characteristics of the pure and the little known corkscrew and backdoor sea breeze types, where the type is pre-defined by the orientation of the synoptic scale flow relative to the shoreline. We find, crucially, that pure sea breezes, in contrast to corkscrew and backdoor types, can lead to substantial wind speed reductions offshore and that the addition of a second eastern coastline emphasises this effect through generation of offshore "calm zones". The offshore extent of all sea breeze types is found to be sensitive to both the influence of Coriolis acceleration and to the boundary layer scheme selected. These extents range, for example for a pure sea breeze produced in a 2 m s-1 offshore gradient wind, from 0 km to 21 km between the Mellor-Yamada-Nakanishi-Niino and the Yonsei State University schemes respectively. The corkscrew type restricts the development of a backdoor sea breeze on the opposite coast and is also capable of traversing a 100 km offshore domain even under high along-shore gradient wind speed (>15 m s-1) conditions. Realistic variations in sea surface skin temperature and initializing vertical thermodynamic profile do not significantly alter the resulting circulation, though the strengths of the simulated sea breezes are modulated if the effective land-sea thermal contrast is altered. We highlight how sea breeze impacts on circulation need to be considered in order to improve the accuracy of both assessments of the offshore wind energy climate and forecasts of wind energy output.
California State Waters Map Series: offshore of San Francisco, California
Cochrane, Guy R.; Johnson, Samuel Y.; Dartnell, Peter; Greene, H. Gary; Erdey, Mercedes D.; Golden, Nadine E.; Hartwell, Stephen R.; Endris, Charles A.; Manson, Michael W.; Sliter, Ray W.; Kvitek, Rikk G.; Watt, Janet Tilden; Ross, Stephanie L.; Bruns, Terry R.; Cochrane, Guy R.; Cochran, Susan A.
2015-01-01
Circulation over the continental shelf in the Offshore of San Francisco map area is dominated by the southward-flowing California Current, an eastern limb of the North Pacific Gyre that flows from Oregon to Baja California. At its midpoint offshore of central California, the California Current transports subarctic surface waters southeastward, about 150 to 1,300 km from shore. Seasonal northwesterly winds that are, in part, responsible for the California Current, generate coastal upwelling. Ocean temperatures offshore of central California have increased over the past 50 years, driving an ecosystem shift from the productive subarctic regime towards a depopulated subtropical environment.
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.
NREL Software Aids Offshore Wind Turbine Designs (Fact Sheet)
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
2013-10-01
NREL researchers are supporting offshore wind power development with computer models that allow detailed analyses of both fixed and floating offshore wind turbines. While existing computer-aided engineering (CAE) models can simulate the conditions and stresses that a land-based wind turbine experiences over its lifetime, offshore turbines require the additional considerations of variations in water depth, soil type, and wind and wave severity, which also necessitate the use of a variety of support-structure types. NREL's core wind CAE tool, FAST, models the additional effects of incident waves, sea currents, and the foundation dynamics of the support structures.
NASA Astrophysics Data System (ADS)
Molde, H.; Zwick, D.; Muskulus, M.
2014-12-01
Support structures for offshore wind turbines are contributing a large part to the total project cost, and a cost saving of a few percent would have considerable impact. At present support structures are designed with simplified methods, e.g., spreadsheet analysis, before more detailed load calculations are performed. Due to the large number of loadcases only a few semimanual design iterations are typically executed. Computer-assisted optimization algorithms could help to further explore design limits and avoid unnecessary conservatism. In this study the simultaneous perturbation stochastic approximation method developed by Spall in the 1990s was assessed with respect to its suitability for support structure optimization. The method depends on a few parameters and an objective function that need to be chosen carefully. In each iteration the structure is evaluated by time-domain analyses, and joint fatigue lifetimes and ultimate strength utilization are computed from stress concentration factors. A pseudo-gradient is determined from only two analysis runs and the design is adjusted in the direction that improves it the most. The algorithm is able to generate considerably improved designs, compared to other methods, in a few hundred iterations, which is demonstrated for the NOWITECH 10 MW reference turbine.
Patterns of population structure for inshore bottlenose dolphins along the eastern United States.
Richards, Vincent P; Greig, Thomas W; Fair, Patricia A; McCulloch, Stephen D; Politz, Christine; Natoli, Ada; Driscoll, Carlos A; Hoelzel, A Rus; David, Victor; Bossart, Gregory D; Lopez, Jose V
2013-01-01
Globally distributed, the bottlenose dolphin (Tursiops truncatus) is found in a range of offshore and coastal habitats. Using 15 microsatellite loci and mtDNA control region sequences, we investigated patterns of genetic differentiation among putative populations along the eastern US shoreline (the Indian River Lagoon, Florida, and Charleston Harbor, South Carolina) (microsatellite analyses: n = 125, mtDNA analyses: n = 132). We further utilized the mtDNA to compare these populations with those from the Northwest Atlantic, Gulf of Mexico, and Caribbean. Results showed strong differentiation among inshore, alongshore, and offshore habitats (ФST = 0.744). In addition, Bayesian clustering analyses revealed the presence of 2 genetic clusters (populations) within the 250 km Indian River Lagoon. Habitat heterogeneity is likely an important force diversifying bottlenose dolphin populations through its influence on social behavior and foraging strategy. We propose that the spatial pattern of genetic variation within the lagoon reflects both its steep longitudinal transition of climate and also its historical discontinuity and recent connection as part of Intracoastal Waterway development. These findings have important management implications as they emphasize the role of habitat and the consequence of its modification in shaping bottlenose dolphin population structure and highlight the possibility of multiple management units existing in discrete inshore habitats along the entire eastern US shoreline.
Patterns of Population Structure for Inshore Bottlenose Dolphins along the Eastern United States
2013-01-01
Globally distributed, the bottlenose dolphin (Tursiops truncatus) is found in a range of offshore and coastal habitats. Using 15 microsatellite loci and mtDNA control region sequences, we investigated patterns of genetic differentiation among putative populations along the eastern US shoreline (the Indian River Lagoon, Florida, and Charleston Harbor, South Carolina) (microsatellite analyses: n = 125, mtDNA analyses: n = 132). We further utilized the mtDNA to compare these populations with those from the Northwest Atlantic, Gulf of Mexico, and Caribbean. Results showed strong differentiation among inshore, alongshore, and offshore habitats (ФST = 0.744). In addition, Bayesian clustering analyses revealed the presence of 2 genetic clusters (populations) within the 250 km Indian River Lagoon. Habitat heterogeneity is likely an important force diversifying bottlenose dolphin populations through its influence on social behavior and foraging strategy. We propose that the spatial pattern of genetic variation within the lagoon reflects both its steep longitudinal transition of climate and also its historical discontinuity and recent connection as part of Intracoastal Waterway development. These findings have important management implications as they emphasize the role of habitat and the consequence of its modification in shaping bottlenose dolphin population structure and highlight the possibility of multiple management units existing in discrete inshore habitats along the entire eastern US shoreline. PMID:24129993
Development of MODIS data-based algorithm for retrieving sea surface temperature in coastal waters.
Wang, Jiao; Deng, Zhiqiang
2017-06-01
A new algorithm was developed for retrieving sea surface temperature (SST) in coastal waters using satellite remote sensing data from Moderate Resolution Imaging Spectroradiometer (MODIS) aboard Aqua platform. The new SST algorithm was trained using the Artificial Neural Network (ANN) method and tested using 8 years of remote sensing data from MODIS Aqua sensor and in situ sensing data from the US coastal waters in Louisiana, Texas, Florida, California, and New Jersey. The ANN algorithm could be utilized to map SST in both deep offshore and particularly shallow nearshore waters at the high spatial resolution of 1 km, greatly expanding the coverage of remote sensing-based SST data from offshore waters to nearshore waters. Applications of the ANN algorithm require only the remotely sensed reflectance values from the two MODIS Aqua thermal bands 31 and 32 as input data. Application results indicated that the ANN algorithm was able to explaining 82-90% variations in observed SST in US coastal waters. While the algorithm is generally applicable to the retrieval of SST, it works best for nearshore waters where important coastal resources are located and existing algorithms are either not applicable or do not work well, making the new ANN-based SST algorithm unique and particularly useful to coastal resource management.
NASA Astrophysics Data System (ADS)
Baumstark, R. D.; Duffey, R.; Pu, R.
2016-12-01
The offshore extent of seagrass habitat along the West Florida (USA) coast represents an important corridor for inshore-offshore migration of economically important fish and shellfish. Surviving at the fringe of light requirements, offshore seagrass beds are sensitive to changes in water clarity. Beyond and intermingled with the offshore seagrass areas are large swaths of colonized hard bottom. These offshore habitats of the West Florida coast have lacked mapping efforts needed for status and trends monitoring. The objective of this study was to propose an object-based classification method for mapping offshore habitats and to compare results to traditional photo-interpreted maps. Benthic maps depicting the spatial distribution and percent biological cover were created from WorldView-2 satellite imagery using Object Based Image Analysis (OBIA) method and a visual photo-interpretation method. A logistic regression analysis identified depth and distance from shore as significant parameters for discriminating spectrally similar seagrass and colonized hard bottom features. Seagrass, colonized hard bottom and unconsolidated sediment (sand) were mapped with 78% overall accuracy using the OBIA method compared to 71% overall accuracy using the photo-interpretation method. This study presents an alternative for mapping deeper, offshore habitats capable of producing higher thematic (percent biological cover) and spatial resolution maps compared to those created with the traditional photo-interpretation method.
Floating Offshore Wind in Oregon: Potential for Jobs and Economic Impacts from Two Future Scenarios
DOE Office of Scientific and Technical Information (OSTI.GOV)
Jimenez, Tony; Keyser, David; Tegen, Suzanne
Construction of the first offshore wind power plant in the United States began in 2015, off the coast of Rhode Island, using fixed platform structures that are appropriate for shallow seafloors, like those located off of the East Coast and mid-Atlantic. However, floating platforms, which have yet to be deployed commercially, will likely need to anchor to the deeper seafloor if deployed off of the West Coast. To analyze the employment and economic potential for floating offshore wind along the West Coast, the Bureau of Ocean Energy Management (BOEM) commissioned the National Renewable Energy Laboratory (NREL) to analyze two hypothetical,more » large-scale deployment scenarios for Oregon: 5,500 megawatts (MW) of offshore wind deployment in Oregon by 2050 (Scenario A), and 2,900 MW of offshore wind by 2050 (Scenario B). These levels of deployment could power approximately 1,600,000 homes (Scenario A) or 870,000 homes (Scenario B). Offshore wind would contribute to economic development in Oregon in the near future, and more substantially in the long term, especially if equipment and labor are sourced from within the state. According to the analysis, over the 2020-2050 period, Oregon floating offshore wind facilities could support 65,000-97,000 job-years and add $6.8 billion-$9.9 billion to the state GDP (Scenario A).« less
Fry, Jillian P; Love, David C; Shukla, Arunima; Lee, Ryan M
2014-11-19
Half of the world's edible seafood comes from aquaculture, and the United States (US) government is working to develop an offshore finfish aquaculture industry in federal waters. To date, US aquaculture has largely been regulated at the state level, and creating an offshore aquaculture industry will require the development of a new regulatory structure. Some aquaculture practices involve hazardous working conditions and the use of veterinary drugs, agrochemicals, and questionable farming methods, which could raise environmental and occupational public health concerns if these methods are employed in the offshore finfish industry in the US. This policy analysis aims to inform public health professionals and other stakeholders in the policy debate regarding how offshore finfish aquaculture should be regulated in the US to protect human health; previous policy analyses on this topic have focused on environmental impacts. We identified 20 federal laws related to offshore finfish aquaculture, including 11 that are relevant to preventing, controlling, or monitoring potential public health risks. Given the novelty of the industry in the US, myriad relevant laws, and jurisdictional issues in an offshore setting, federal agencies need to work collaboratively and transparently to ensure that a comprehensive and functional regulatory structure is established that addresses the potential public health risks associated with this type of food production.
Fry, Jillian P.; Love, David C.; Shukla, Arunima; Lee, Ryan M.
2014-01-01
Half of the world’s edible seafood comes from aquaculture, and the United States (US) government is working to develop an offshore finfish aquaculture industry in federal waters. To date, US aquaculture has largely been regulated at the state level, and creating an offshore aquaculture industry will require the development of a new regulatory structure. Some aquaculture practices involve hazardous working conditions and the use of veterinary drugs, agrochemicals, and questionable farming methods, which could raise environmental and occupational public health concerns if these methods are employed in the offshore finfish industry in the US. This policy analysis aims to inform public health professionals and other stakeholders in the policy debate regarding how offshore finfish aquaculture should be regulated in the US to protect human health; previous policy analyses on this topic have focused on environmental impacts. We identified 20 federal laws related to offshore finfish aquaculture, including 11 that are relevant to preventing, controlling, or monitoring potential public health risks. Given the novelty of the industry in the US, myriad relevant laws, and jurisdictional issues in an offshore setting, federal agencies need to work collaboratively and transparently to ensure that a comprehensive and functional regulatory structure is established that addresses the potential public health risks associated with this type of food production. PMID:25415208
NASA Astrophysics Data System (ADS)
Gross, Felix; Krastel, Sebastian; Geersen, Jacob; Behrmann, Jan Hinrich; Ridente, Domenico; Chiocci, Francesco Latino; Bialas, Jörg; Papenberg, Cord; Cukur, Deniz; Urlaub, Morelia; Micallef, Aaron
2016-01-01
Mount Etna is the largest active volcano in Europe. Instability of its eastern flank is well documented onshore, and continuously monitored by geodetic and InSAR measurements. Little is known, however, about the offshore extension of the eastern volcano flank, defining a serious shortcoming in stability models. In order to better constrain the active tectonics of the continental margin offshore the eastern flank of the volcano, we acquired a new high-resolution 2D reflection seismic dataset. The data provide new insights into the heterogeneous geology and tectonics at the continental margin offshore Mt Etna. The submarine realm is characterized by different blocks, which are controlled by local- and regional tectonics. A compressional regime is found at the toe of the continental margin, which is bound to a complex basin system. Both, the clear link between on- and offshore tectonic structures as well as the compressional regime at the easternmost flank edge, indicate a continental margin gravitational collapse as well as spreading to be present at Mt Etna. Moreover, we find evidence for the offshore southern boundary of the moving flank, which is identified as a right lateral oblique fault north of Catania Canyon. Our findings suggest a coupled volcano edifice/continental margin instability at Mt Etna, demonstrating first order linkage between on- and offshore tectonic processes.
30 CFR 556.52 - Bond requirements for an oil and gas or sulphur lease.
Code of Federal Regulations, 2012 CFR
2012-07-01
... included in the Gulf of Mexico. Areawide bonds issued in the Gulf of Mexico will cover oil and gas or sulphur operations offshore the Atlantic Coast. The three areas are: (1) The Gulf of Mexico and the area offshore the Atlantic Coast. (2) The area offshore the Pacific Coast States of California, Oregon...
Code of Federal Regulations, 2011 CFR
2011-01-01
... Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling 13543 Order 13543 Presidential... Deepwater Horizon Oil Spill and Offshore Drilling By the authority vested in me as President by the... applicable to offshore drilling that would ensure effective oversight, monitoring, and response capabilities...
Coast Guard Regulations Applied to Offshore Drilling. Module SH-45. Safety and Health.
ERIC Educational Resources Information Center
Center for Occupational Research and Development, Inc., Waco, TX.
This student module on Coast Guard regulations applied to offshore drilling is one of 50 modules concerned with job safety and health. This module presents requirements that apply to the design, construction, equipment, inspection, and operation of offshore drilling units. Following the introduction, 10 objectives (each keyed to a page in the…
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-08
... establishing a continued safety zone around the riser for the DEEPWATER HORIZON, a Mobile Offshore Drilling... sinking of the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU), near Mississippi Canyon 252 with... read as follows: Sec. 147.T08-849 DEEPWATER HORIZON Mobile Offshore Drilling Unit Safety Zone. (a...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-12-06
... Offshore Drilling Units). OMB Control Number: 1014-0013. Abstract: The Outer Continental Shelf (OCS) Lands.... The subject of this ICR is an NTL, GPS (Global Positioning System) for MODUs (Mobile Offshore Drilling... Operators (NTL)--Gulf of Mexico OCS Region--GPS (Global Positioning System) for MODUs (Mobile Offshore...
Coast Guard Cutter Procurement: Background and Issues for Congress
2015-07-28
Research Service Summary The Coast Guard’s program of record (POR) calls for procuring 8 National Security Cutters (NSCs), 25 Offshore Patrol Cutters...3 Figure 2. Offshore Patrol Cutter (Generic Conceptual... Offshore Patrol Cutters (OPCs), and 58 Fast Response Cutters (FRCs). These 91 planned cutters are intended as replacements for 90 aging Coast Guard cutters
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-24
... the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU), at Mississippi Canyon 252, in the Outer... the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU), which is currently set to expire on... response to the sinking of the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU), near Mississippi...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-05-23
... electrical power from Deepwater Wind's proposed 30 megawatt (MW) offshore wind energy project located in... (BIWF), a proposed 30 MW offshore wind energy project located in Rhode Island State waters approximately... habitats can be found at: http://www.crmc.ri.gov/samp_ocean.html . There are several species of birds...
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...
Code of Federal Regulations, 2012 CFR
2012-07-01
... 33 Navigation and Navigable Waters 1 2012-07-01 2012-07-01 false Pacific Ocean off Barbers Point, Island of Oahu, Hawaii: Offshore pipeline terminal anchorages. 110.236 Section 110.236 Navigation and... Grounds § 110.236 Pacific Ocean off Barbers Point, Island of Oahu, Hawaii: Offshore pipeline terminal...
Code of Federal Regulations, 2014 CFR
2014-07-01
... 33 Navigation and Navigable Waters 1 2014-07-01 2014-07-01 false Pacific Ocean off Barbers Point, Island of Oahu, Hawaii: Offshore pipeline terminal anchorages. 110.236 Section 110.236 Navigation and... Grounds § 110.236 Pacific Ocean off Barbers Point, Island of Oahu, Hawaii: Offshore pipeline terminal...
Code of Federal Regulations, 2011 CFR
2011-07-01
... 33 Navigation and Navigable Waters 1 2011-07-01 2011-07-01 false Pacific Ocean off Barbers Point, Island of Oahu, Hawaii: Offshore pipeline terminal anchorages. 110.236 Section 110.236 Navigation and... Grounds § 110.236 Pacific Ocean off Barbers Point, Island of Oahu, Hawaii: Offshore pipeline terminal...
2016 Offshore Wind Energy Resource Assessment for the United States
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, Walt; Heimiller, Donna; Beiter, Philipp
2016-09-01
This report, the 2016 Offshore Wind Energy Resource Assessment for the United States, was developed by the National Renewable Energy Laboratory, and updates a previous national resource assessment study, and refines and reaffirms that the available wind resource is sufficient for offshore wind to be a large-scale contributor to the nation's electric energy supply.
40 CFR 125.139 - As the Director, what must I do to comply with the requirements of this subpart?
Code of Federal Regulations, 2014 CFR
2014-07-01
... DISCHARGE ELIMINATION SYSTEM Requirements Applicable to Cooling Water Intake Structures for New Offshore Oil... the initial permit application from the owner or operator of a new offshore oil and gas extraction... offshore oil and gas extraction facility. In addition, the Director must review materials to determine...
40 CFR 125.139 - As the Director, what must I do to comply with the requirements of this subpart?
Code of Federal Regulations, 2013 CFR
2013-07-01
... DISCHARGE ELIMINATION SYSTEM Requirements Applicable to Cooling Water Intake Structures for New Offshore Oil... the initial permit application from the owner or operator of a new offshore oil and gas extraction... offshore oil and gas extraction facility. In addition, the Director must review materials to determine...
40 CFR 125.139 - As the Director, what must I do to comply with the requirements of this subpart?
Code of Federal Regulations, 2012 CFR
2012-07-01
... DISCHARGE ELIMINATION SYSTEM Requirements Applicable to Cooling Water Intake Structures for New Offshore Oil... the initial permit application from the owner or operator of a new offshore oil and gas extraction... offshore oil and gas extraction facility. In addition, the Director must review materials to determine...
40 CFR 125.139 - As the Director, what must I do to comply with the requirements of this subpart?
Code of Federal Regulations, 2011 CFR
2011-07-01
... DISCHARGE ELIMINATION SYSTEM Requirements Applicable to Cooling Water Intake Structures for New Offshore Oil... the initial permit application from the owner or operator of a new offshore oil and gas extraction... offshore oil and gas extraction facility. In addition, the Director must review materials to determine...
40 CFR 125.139 - As the Director, what must I do to comply with the requirements of this subpart?
Code of Federal Regulations, 2010 CFR
2010-07-01
... DISCHARGE ELIMINATION SYSTEM Requirements Applicable to Cooling Water Intake Structures for New Offshore Oil... the initial permit application from the owner or operator of a new offshore oil and gas extraction... offshore oil and gas extraction facility. In addition, the Director must review materials to determine...
ERIC Educational Resources Information Center
Omoregie, Harry O.
2012-01-01
In the last decade, the global information technology offshoring (ITO) and business process outsourcing (BPO) services have grown significantly, especially in Asia. The increased demand for offshore services in Asia has presented a difficult problem for U.S. organizations because countries such as India are now experiencing saturation of labor…
Grid Integration of Offshore Wind | Wind | NREL
. Photograph of a wind turbine in the ocean. Located about 10 kilometers off the coast of Arklow, Ireland, the Grid Integration of Offshore Wind Grid Integration of Offshore Wind Much can be learned from the existing land-based integration research for handling the variability and uncertainty of the wind resource
Chapter 33: Offshore Population Estimates of Marbled Murrelets in California
C. John Ralph; Sherri L. Miller
1995-01-01
We devised a method of estimating population size of Marbled Murrelets (Brachyramphus marmoratus) found in Californiaâs offshore waters. The method involves determining the distribution of birds from the shore outward to 6,000 m offshore. Applying this distribution to data from boat surveys, we derived population estimates and estimates of sampling...
75 FR 12771 - Certificate of Alternative Compliance for the Offshore Supply Vessel CALLAIS PROVIDER
Federal Register 2010, 2011, 2012, 2013, 2014
2010-03-17
... Compliance for the Offshore Supply Vessel CALLAIS PROVIDER AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel CALLAIS PROVIDER as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate... Regulation, Parts 81 and 89, has been issues for the offshore supply vessel CALLAIS PROVIDER. The horizontal...
75 FR 45143 - Certificate of Alternative Compliance for the Offshore Supply Vessel BETTY PFANKUCH
Federal Register 2010, 2011, 2012, 2013, 2014
2010-08-02
... Compliance for the Offshore Supply Vessel BETTY PFANKUCH AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel BETTY PFANKUCH as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate of... 89, has been issued for the offshore supply vessel BETTY PFANKUCH, O.N. 1225768. The horizontal...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-07-09
... DEPARTMENT OF ENERGY National Commission on the BP Deepwater Horizon Oil Spill and Offshore... an open meeting on July 12 and 13, 2010, of the National Commission on the BP Deepwater Horizon Oil Spill and Offshore Drilling, (75 FR 37783). This document makes several corrections to that notice. FOR...
33 CFR 100.740 - Annual Offshore Super Series Boat Race; Fort Myers Beach, FL.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 33 Navigation and Navigable Waters 1 2013-07-01 2013-07-01 false Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. 100.740 Section 100.740 Navigation and Navigable Waters COAST GUARD... Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. (a) Regulated area. (1) The regulated area...
33 CFR 100.740 - Annual Offshore Super Series Boat Race; Fort Myers Beach, FL.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 33 Navigation and Navigable Waters 1 2011-07-01 2011-07-01 false Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. 100.740 Section 100.740 Navigation and Navigable Waters COAST GUARD... Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. (a) Regulated area. (1) The regulated area...
33 CFR 100.740 - Annual Offshore Super Series Boat Race; Fort Myers Beach, FL.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 33 Navigation and Navigable Waters 1 2014-07-01 2014-07-01 false Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. 100.740 Section 100.740 Navigation and Navigable Waters COAST GUARD... Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. (a) Regulated area. (1) The regulated area...
33 CFR 100.740 - Annual Offshore Super Series Boat Race; Fort Myers Beach, FL.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 33 Navigation and Navigable Waters 1 2012-07-01 2012-07-01 false Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. 100.740 Section 100.740 Navigation and Navigable Waters COAST GUARD... Annual Offshore Super Series Boat Race; Fort Myers Beach, FL. (a) Regulated area. (1) The regulated area...
Federal Register 2010, 2011, 2012, 2013, 2014
2013-02-05
...] Commercial Leasing for Wind Power on the Outer Continental Shelf (OCS) Offshore North Carolina--Call for... Commercial Leasing for Wind Power Offshore North Carolina (Call), published on December 13, 2012 (77 FR 7204). DATES: BOEM must receive your nomination describing your interest in obtaining a commercial wind lease...
33 CFR 100.915 - St. Clair River Classic Offshore Race, St. Clair, MI.
Code of Federal Regulations, 2014 CFR
2014-07-01
... 33 Navigation and Navigable Waters 1 2014-07-01 2014-07-01 false St. Clair River Classic Offshore Race, St. Clair, MI. 100.915 Section 100.915 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, St. Clair, MI. (a) Regulated Area. A regulated area is established to include all...
33 CFR 100.915 - St. Clair River Classic Offshore Race, St. Clair, MI.
Code of Federal Regulations, 2012 CFR
2012-07-01
... 33 Navigation and Navigable Waters 1 2012-07-01 2012-07-01 false St. Clair River Classic Offshore Race, St. Clair, MI. 100.915 Section 100.915 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, St. Clair, MI. (a) Regulated Area. A regulated area is established to include all...
33 CFR 100.915 - St. Clair River Classic Offshore Race, St. Clair, MI.
Code of Federal Regulations, 2011 CFR
2011-07-01
... 33 Navigation and Navigable Waters 1 2011-07-01 2011-07-01 false St. Clair River Classic Offshore Race, St. Clair, MI. 100.915 Section 100.915 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, St. Clair, MI. (a) Regulated Area. A regulated area is established to include all...
33 CFR 100.915 - St. Clair River Classic Offshore Race, St. Clair, MI.
Code of Federal Regulations, 2013 CFR
2013-07-01
... 33 Navigation and Navigable Waters 1 2013-07-01 2013-07-01 false St. Clair River Classic Offshore Race, St. Clair, MI. 100.915 Section 100.915 Navigation and Navigable Waters COAST GUARD, DEPARTMENT OF... Classic Offshore Race, St. Clair, MI. (a) Regulated Area. A regulated area is established to include all...
Kshetri, Nir
2011-01-01
Industrialized world-based healthcare providers are increasingly off-shoring low-end healthcare services such as medical transcription, billing and insurance claims. High-skill medical jobs such as tele-imaging and tele-pathology are also being sub-contracted to developing countries. Despite its importance, little theory or research exists to explain what factors affect industry growth. The article's goals, therefore, are to examine economic processes associated with developing economies' shift from low- to high-value information technology enabled healthcare services, and to investigate how these differ in terms of legitimacy from regulative, normative and cognitive institutions in the sending country and how healthcare services differ from other services. This research is conceptual and theory-building. Broadly, its approach can be described as a positivistic epistemology. Anti off-shoring regulative, normative and cognitive pressures in the sending country are likely to be stronger in healthcare than in most business process outsourcing. Moreover, such pressures are likely to be stronger in high-value rather than in low-value healthcare off-shoring. The findings also indicate that off-shoring low-value healthcare services and emergent healthcare industries in a developing economy help accumulate implicit and tacit knowledge required for off-shoring high-value healthcare services. The approach lacks primary data and empirical documentation. The article helps in understanding industry drivers and its possible future direction. The findings help in understanding the lens through which various institutional actors in a sending country view healthcare service off-shoring. The article's value stems from its analytical context, mechanisms and processes associated with developing economies' shift to high-value healthcare off-shoring services.
Aron, Ravi; Singh, Jitendra V
2005-12-01
The prospect of offshoring and outsourcing business processes has captured the imagination of CEOs everywhere. In the past five years, a rising number of companies in North America and Europe have experimented with this strategy, hoping to reduce costs and gain strategic advantage. But many businesses have had mixed results. According to several studies, half the organizations that have shifted processes offshore have failed to generate the expected financial benefits. What's more, many of them have faced employee resistance and consumer dissatisfaction. Clearly, companies have to rethink how they formulate their offshoring strategies. A three-part methodology can help. First, companies need to prioritize their processes, ranking each based on two criteria: the value it creates for customers and the degree to which the company can capture some of that value. Companies will want to keep their core (highest-priority) processes in-house and consider outsourcing their commodity (low-priority) processes; critical (moderate-priority) processes are up for debate and must be considered carefully. Second, businesses should analyze all the risks that accompany offshoring and look systematically at their critical and commodity processes in terms of operational risk (the risk that processes won't operate smoothly after being offshored) and structural risk (the risk that relationships with service providers may not work as expected). Finally, companies should determine possible locations for their offshore efforts, as well as the organizational forms--such as captive centers and joint ventures--that those efforts might take. They can do so by examining each process's operational and structural risks side by side. This article outlines the tools that will help companies choose the right processes to offshore. It also describes a new organizational structure called the extended organization, in which companies specify the quality of services they want and work alongside providers to get that quality.
Optics of the Offshore Columbia River Plume from Glider Observations and Satellite Imagery
NASA Astrophysics Data System (ADS)
Saldias, G.; Shearman, R. K.; Barth, J. A.; Tufillaro, N.
2016-02-01
The Columbia River (CR) is the largest source of freshwater along the U.S. Pacific coast. The resultant plume is often transported southward and offshore forming a large buoyant feature off Oregon and northern California in spring-summer - the offshore CR plume. Observations from autonomous underwater gliders and Moderate Resolution Imaging Spectroradiometer (MODIS) satellite imagery are used to characterize the optics of the offshore CR plume off Newport, Oregon. Vertical sections, under contrasting river flow conditions, reveal a low-salinity and warm surface layer of 20-25 m (fresher in spring and warmer in summer), high Colored Dissolved Organic Matter (CDOM) concentration and backscatter, and associated with the base of the plume high chlorophyll fluorescence. Plume characteristics vary in the offshore direction as the warm and fresh surface layer thickens progressively to an average 30-40 m of depth 270-310 km offshore; CDOM, backscatter, and chlorophyll fluorescence decrease in the upper 20 m and increase at subsurface levels (30-50 m depth). MODIS normalized water-leaving radiance (nLw(λ)) spectra for CR plume cases show enhanced water-leaving radiance at green bands (as compared to no-CR plume cases) up to 154 km from shore. Farther offshore, the spectral shapes for both cases are very similar, and consequently, a contrasting color signature of low-salinity plume water is practically imperceptible from ocean color remote sensing. Empirical algorithms based on multivariate regression analyses of nLw(λ) plus Sea Surface Temperature (SST) data produce more accurate results detecting offshore plume waters than previous studies using single visible bands (e.g. adg(412) or nLw(555)).
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.
2011-01-01
Background To identify and explore the factors promoting sickness presenteeism among offshore catering section workers. Methods Twenty men and women, working in the offshore catering section onboard three offshore oil and gas production platforms on the Norwegian Continental Shelf, participated in three focus groups. Data from the focus groups were analysed according to a phenomenological approach, and supported by theories on presenteeism. Results The results show that the decision to attend work despite illness, first and foremost, was based on the severity of the health complaint. Other factors identified were; the individual's location once the health complaint occurred, job satisfaction, the norms of the team, and experiences of how company policies on sickness absenteeism were implemented by the catering section leaders. Conclusions Offshore working conditions may promote sickness presenteeism. The factors promoting sickness presenteeism onboard the platforms reflected experiences of a healthy work environment. PMID:21418561
Krohne, Kariann; Magnussen, Liv Heide
2011-03-18
To identify and explore the factors promoting sickness presenteeism among offshore catering section workers. Twenty men and women, working in the offshore catering section onboard three offshore oil and gas production platforms on the Norwegian Continental Shelf, participated in three focus groups. Data from the focus groups were analysed according to a phenomenological approach, and supported by theories on presenteeism. The results show that the decision to attend work despite illness, first and foremost, was based on the severity of the health complaint. Other factors identified were; the individual's location once the health complaint occurred, job satisfaction, the norms of the team, and experiences of how company policies on sickness absenteeism were implemented by the catering section leaders. Offshore working conditions may promote sickness presenteeism. The factors promoting sickness presenteeism onboard the platforms reflected experiences of a healthy work environment.
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.
Risks to offshore installations in Europe due to natural hazards
NASA Astrophysics Data System (ADS)
Necci, Amos; Krausmann, Elisabeth
2017-04-01
Natural hazards, such as storms, earthquakes, or lightning are a major threat to industry. In particular, chemical plants, storage facilities, pipelines, and offshore oil and gas facilities are vulnerable to natural events which can cause hazardous materials releases and thereby endanger workers, the population and the environment. These technological accidents are commonly referred to as Natech accidents. Recent events have increased concerns about safety in the offshore oil and gas sector, and the need for improving knowledge on the matter has become evident. With those premises, we analyzed accidents, near misses and accident precursors at offshore facilities in Europe caused by natural events using both a statistical and a qualitative approach. For this purpose, we screened the World Offshore Accident Database (WOAD) to identify all incidents that featured natural events as causes or aggravating factors. A dataset of 1,085 global Natech events was built for the statistical analysis. Among those, a subset composed of 303 European records was selected. The results of the analysis showed that offshore Natech events in Europe are frequent; they resulted, however, in low consequences. The main threat to offshore facilities resulted from bad weather, such as strong winds and heavy seas. Storms can put intense loads on the structural parts of offshore installations, eventually exceeding design resistance specifications. Several incidents triggered by lightning strikes and earthquakes were also recorded. Substantial differences in terms of vulnerability, damage modality and consequences emerged between fixed and floating offshore structures. The main damage mode for floating structures was the failure of station keeping systems due to the rupture of mooring or anchors, mainly caused by adverse meteorological conditions. Most of the incidents at fixed offshore structures in Europe involved falling loads for both metal jacket and concrete base platforms due to storms. In contrast, in other parts of the world, and in particular in the Gulf of Mexico, tropical storms are likely to trigger severe direct damage to structures, resulting in platform capsizing, sinking or grounding. The in-depth analysis of the incident records also showed that the natural event was often just the triggering cause of the accident, which was frequently accompanied by contributing factors (e.g. corrosion, fatigue, wrong procedures, etc.). Under these circumstances, not only extreme storms, but also storms with moderate intensity can trigger incidents. Due to the high density of offshore structures and the unique environmental conditions promoting fatigue and corrosion, the North Sea is the area with the highest number of incidents recorded in Europe, as well as the area with the highest number of incidents at semi-submersible units in the world. About 4% of all reported global Natech events at offshore infrastructures involved casualties, and 2.6% for the European incident subset. Hazardous materials releases were documented for 21 events in Europe, resulting in fires and hydrocarbon spills polluting the sea. Furthermore, a surprisingly high number of severe events occurred during towing which highlights the impact of natural hazards on the safety of offshore transfer operations.
30 CFR 256.52 - Bond requirements for an oil and gas or sulphur lease.
Code of Federal Regulations, 2011 CFR
2011-07-01
... Gulf of Mexico and the area offshore the Atlantic Coast. (2) The area offshore the Pacific Coast States... offshore the Atlantic Coast is included in the Gulf of Mexico. Areawide bonds issued in the Gulf of Mexico... to the United States under a bond or alternative form of security maintained under this section, the...
Federal Register 2010, 2011, 2012, 2013, 2014
2012-05-08
... Shelf Permits Issued to Shell Offshore, Inc. for the Kulluk Conical Drilling Unit AGENCY: United States... (OCS) permit to construct and Title V air quality operating permit to Shell Offshore, Inc. (``Shell'') for operation of the Kulluk conical drilling unit in the Beaufort Sea off the north coast of Alaska...
Federal Register 2010, 2011, 2012, 2013, 2014
2010-05-11
... establishing a safety zone around the riser for the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU... Mexico in response to the sinking of the DEEPWATER HORIZON, a Mobile Offshore Drilling Unit (MODU), which.... 147.T08-849 to read as follows: Sec. 147.T08-849 DEEPWATER HORIZON Mobile Offshore Drilling Unit...
International Collaboration on Offshore Wind Energy Under IEA Annex XXIII
DOE Office of Scientific and Technical Information (OSTI.GOV)
Musial, W.; Butterfield, S.; Lemming, J.
This paper defines the purpose of IEA Annex XXIII, the International Collaboration on Offshore Wind Energy. This international collaboration through the International Energy Agency (IEA) is an efficient forum from which to advance the technical and environmental experiences collected from existing offshore wind energy projects, as well as the research necessary to advance future technology for deep-water wind energy technology.
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...
75 FR 12560 - Certificate of Alternative Compliance for the Offshore Supply Vessel BUMBLE BEE
Federal Register 2010, 2011, 2012, 2013, 2014
2010-03-16
... Compliance for the Offshore Supply Vessel BUMBLE BEE AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The... vessel BUMBLE BEE as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate of... issued for the offshore supply vessel BUMBLE BEE, O.N. 1218416. Full compliance with 72 COLREGS and the...
Code of Federal Regulations, 2010 CFR
2010-10-01
... 50 Wildlife and Fisheries 9 2010-10-01 2010-10-01 false Existing California Area Closures (hatched areas extend to 3 miles offshore; cross-hatched areas extend beyond 3 miles offshore) and Optional..., DEPARTMENT OF COMMERCE (CONTINUED) FISHERIES OFF WEST COAST STATES Coastal Pelagics Fisheries Pt. 660, Subpt...
Design for perception management system on offshore reef based on integrated management
NASA Astrophysics Data System (ADS)
Peng, Li; Qiankun, Wang
2017-06-01
According to an analysis of actual monitoring demands using integrated management and information technology, a quad monitoring system is proposed to provide intelligent perception of offshore reefs, including indoor building environments, architectural structures, and facilities and perimeter integrity. This will strengthen the ability to analyse and evaluate offshore reef operation and health, promoting efficiency in decision making.
75 FR 38406 - Amendment of Norton Sound Low and Control 1234L Offshore Airspace Areas; Alaska
Federal Register 2010, 2011, 2012, 2013, 2014
2010-07-02
...-0071; Airspace Docket No. 10-AAL-1] RIN 2120-AA66 Amendment of Norton Sound Low and Control 1234L.... SUMMARY: This action modifies the Norton Sound Low and Control 1234L Offshore Airspace Areas in Alaska... rulemaking (NPRM) to modify two Alaskan Offshore Airspace Areas, Norton Sound Low, and Control 1234L (75 FR...
75 FR 26783 - Certificate of Alternative Compliance for the Offshore Supply Vessel PEYTON CANDIES
Federal Register 2010, 2011, 2012, 2013, 2014
2010-05-12
... Compliance for the Offshore Supply Vessel PEYTON CANDIES AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel PEYTON CANDIES as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate of..., Parts 81 and 89, has been issued for the offshore supply vessel PEYTON CANDIES, O.N. 1219737. Full...
75 FR 26783 - Certificate of Alternative Compliance for the Offshore Supply Vessel JOSHUA CANDIES
Federal Register 2010, 2011, 2012, 2013, 2014
2010-05-12
... Compliance for the Offshore Supply Vessel JOSHUA CANDIES AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel JOSHUA CANDIES as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate of..., has been issued for the offshore supply vessel JOSHUA CANDIES, O.N. 1219732. Full compliance with 72...
75 FR 36106 - Certificate of Alternative Compliance for the Offshore Supply Vessel SOUTHERN CROSS
Federal Register 2010, 2011, 2012, 2013, 2014
2010-06-24
... Compliance for the Offshore Supply Vessel SOUTHERN CROSS AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel SOUTHERN CROSS as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate of... Federal Regulation, Parts 81 and 89, has been issued for the offshore supply vessel SOUTHERN CROSS, O.N...
75 FR 39956 - Certificate of Alternative Compliance for the Offshore Supply Vessel CALLAIS SEARCHER
Federal Register 2010, 2011, 2012, 2013, 2014
2010-07-13
... Compliance for the Offshore Supply Vessel CALLAIS SEARCHER AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY... supply vessel CALLAIS SEARCHER as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate... Regulation, Parts 81 and 89, has been issued for the offshore supply vessel CALLAIS SEARCHER, O.N. 1226876...
Federal Register 2010, 2011, 2012, 2013, 2014
2011-09-20
... Company; Docket No. CP11-544- 000, TC Offshore LLC] Notice of Application for Abandonment by Sale and... permission and approval to abandon by sale to TC Offshore LLC (TCO) certain onshore facilities located in..., Manager, Certificates, TC Offshore LLC, 717 Texas Street, Suite 2400, Houston, Texas, 77002-2761, phone...
75 FR 17755 - Certificate of Alternative Compliance for the Offshore Supply Vessel C-ATLAS
Federal Register 2010, 2011, 2012, 2013, 2014
2010-04-07
... Compliance for the Offshore Supply Vessel C-ATLAS AGENCY: Coast Guard, DHS. ACTION: Notice. SUMMARY: The... vessel C-ATLAS as required by 33 U.S.C. 1605(c) and 33 CFR 81.18. DATES: The Certificate of Alternate... for the offshore supply vessel C-ATLAS. Full compliance with 72 COLREGS and the Inland Rules Act would...
ERIC Educational Resources Information Center
Li, Jianyao; Liu, Fang; Rojas-Méndez, José I.
2013-01-01
Previous research studies identified country image as an important variable in international students' selection of onshore programs, and it is often perceived that there is little difference between onshore and offshore program selection. Looking at a sample of high school students in China and their selections of offshore programs (from a sample…
78 FR 28164 - Special Local Regulation; Aguada Offshore Grand Prix, Bahia de Aguadilla; Aguada, PR
Federal Register 2010, 2011, 2012, 2013, 2014
2013-05-14
... Aguada Offshore Grand Prix, a high speed boat race. The event is scheduled to take place on Sunday, August 4, 2013. Approximately 30 high-speed power boats will be participating in the races. It is... Series, Inc. is sponsoring the Aguada Offshore Grand Prix, a series of high-speed boat races. The races...
76 FR 35200 - High Island Offshore System, L.L.C.; Notice of Amendment
Federal Register 2010, 2011, 2012, 2013, 2014
2011-06-16
... Offshore System, L.L.C.; Notice of Amendment Take notice that on June 6, 2011, High Island Offshore System, L.L.C. (HIOS), 1100 Louisiana St., Houston, Texas 77002, filed in Docket No. CP10-43-001, to amend... System, L.L.C., 1100 Louisiana St., Houston, Texas 77002, or (telephone) 713-381-2526, or [email protected
WIND Toolkit Offshore Summary Dataset
DOE Office of Scientific and Technical Information (OSTI.GOV)
Draxl, Caroline; Musial, Walt; Scott, George
This dataset contains summary statistics for offshore wind resources for the continental United States derived from the Wind Integration National Datatset (WIND) Toolkit. These data are available in two formats: GDB - Compressed geodatabases containing statistical summaries aligned with lease blocks (aliquots) stored in a GIS format. These data are partitioned into Pacific, Atlantic, and Gulf resource regions. HDF5 - Statistical summaries of all points in the offshore Pacific, Atlantic, and Gulf offshore regions. These data are located on the original WIND Toolkit grid and have not been reassigned or downsampled to lease blocks. These data were developed under contractmore » by NREL for the Bureau of Oceanic Energy Management (BOEM).« less
Doubly Fed Induction Generator in an Offshore Wind Power Plant Operated at Rated V/Hz: Preprint
DOE Office of Scientific and Technical Information (OSTI.GOV)
Muljadi, E.; Singh, M.; Gevorgian, V.
2012-06-01
This paper introduces the concept of constant Volt/Hz operation of offshore wind power plants. The deployment of offshore WPPs requires power transmission from the plant to the load center inland. Since this power transmission requires submarine cables, there is a need to use High-Voltage Direct Current transmission, which is economical for transmission distances longer than 50 kilometers. In the concept presented here, the onshore substation is operated at 60 Hz synced with the grid, and the offshore substation is operated at variable frequency and voltage, thus allowing the WPP to be operated at constant Volt/Hz.
Assessment of Offshore Wind System Design, Safety, and Operation Standards
DOE Office of Scientific and Technical Information (OSTI.GOV)
Sirnivas, Senu; Musial, Walt; Bailey, Bruce
This report is a deliverable for a project sponsored by the U.S. Department of Energy (DOE) entitled National Offshore Wind Energy Resource and Design Data Campaign -- Analysis and Collaboration (contract number DE-EE0005372; prime contractor -- AWS Truepower). The project objective is to supplement, facilitate, and enhance ongoing multiagency efforts to develop an integrated national offshore wind energy data network. The results of this initiative are intended to 1) produce a comprehensive definition of relevant met-ocean resource assets and needs and design standards, and 2) provide a basis for recommendations for meeting offshore wind energy industry data and design certificationmore » requirements.« less
Safety and health in the construction of fixed offshore installations in the petroleum industry
DOE Office of Scientific and Technical Information (OSTI.GOV)
Not Available
1981-01-01
A meeting convened by the ILO (International Labor Office) on safety problems in the offshore petroleum industry recommended the preparation of a code of practice setting out standards for safety and health during the construction of fixed offshore installations. Such a code, to be prepared by the ILO in co-operation with other bodies, including the Inter-Governmental Maritime Consultative Organisation (IMCO), was to take into consideration existing standards applicable to offshore construction activities and to supplement the ILO codes of practice on safety and health in building and civil engineering work, shipbuilding and ship repairing. (Copyright (c) International Labour Organisation 1981.)
Federal Register 2010, 2011, 2012, 2013, 2014
2013-05-13
...The Coast Guard proposes to revise regulations related to the design, certification, inspection, and testing of cranes. These regulations apply to cranes installed on Mobile Offshore Drilling Units (MODUs), Offshore Supply Vessels (OSVs), and floating Outer Continental Shelf (OCS) facilities. This revision would update industry standards incorporated by reference with more recent versions, which are used by industry and incorporated in Bureau of Safety and Environmental Enforcement regulations. Additionally, the Coast Guard proposes to revise regulations regarding certification, inspection, and testing of cranes by allowing use of additional organizations to act in lieu of Coast Guard marine inspectors.
A framework for offshore vendor capability development
NASA Astrophysics Data System (ADS)
Yusuf Wibisono, Yogi; Govindaraju, Rajesri; Irianto, Dradjad; Sudirman, Iman
2016-02-01
Offshore outsourcing is a common practice conducted by companies, especially in developed countries, by relocating one or more their business processes to other companies abroad, especially in developing countries. This practice grows rapidly owing to the ease of accessing qualified vendors with a lower cost. Vendors in developing countries compete more intensely to acquire offshore projects. Indonesia is still below India, China, Malaysia as main global offshore destinations. Vendor capability is among other factors that contribute to the inability of Indonesian vendor in competing with other companies in the global market. Therefore, it is essential to study how to increase the vendor's capability in Indonesia, in the context of global offshore outsourcing. Previous studies on the vendor's capability mainly focus on capabilities without considering the dynamic of capabilities due to the environmental changes. In order to be able to compete with competitors and maintain the competitive advantage, it is necessary for vendors to develop their capabilities continuously. The purpose of this study is to develop a framework that describes offshore vendor capability development along the client-vendor relationship stages. The framework consists of three main components, i.e. the stages of client-vendor relationship, the success of each stage, and the capabilities of vendor at each stage.